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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
INTEL CORP INTCCommon2,019,500-20,000120,867,00015,771,00012/31/2019
Dolby Laboratories, Inc. DLBCl A597,549-99,93741,111,000-3,974,00012/31/2019
S&W Seed Co SANWCommon15,945,017033,485,000-4,464,00012/31/2019
CIT GROUP INC CITCOM620,000028,290,000198,00012/31/2019
BANC OF CALIFORNIA, INC. BANCCOM1,337,500022,978,0004,066,00012/31/2019
AT&T CORP TCommon572,623022,378,000710,00012/31/2019
TIFFANY & CO TIFCommon157,500157,50021,050,00021,050,00012/31/2019
Trinity Place Holdings Inc. TPHSCommon6,708,538020,193,000-6,641,00012/31/2019
Atlantic Capital Bancshares, Inc. ACBICOM950,093017,434,000959,00012/31/2019
WATERSTONE FINANCIAL INC WSBFCOM899,970-70,03017,126,000461,00012/31/2019
WABCO Holdings Inc. WBCCommon122,500016,599,000215,00012/31/2019
Investors Bancorp Inc ISBCCOM1,292,500015,400,000717,00012/31/2019
POPULAR INC BPOPCOM NEW242,500014,247,0001,133,00012/31/2019
BCB BANCORP INC BCBPCOM1,020,4081,020,40814,071,00014,071,00012/31/2019
Carter Bank & Trust CARECOM582,400-251,77513,815,000-1,943,00012/31/2019
CAMPBELL SOUP CO CPBCommon218,175-71,82510,782,000-2,825,00012/31/2019
LEUCADIA NATIONAL CORP JEFCommon484,500010,354,0001,434,00012/31/2019
FMC CORP FMCCommon93,776-106,2249,361,000-8,175,00012/31/2019
CONTINENTAL RESOURCES, INC CLRCommon270,00009,261,000948,00012/31/2019
MEDICINES CO /DE MDCOCommon100,000100,0008,494,0008,494,00012/31/2019
Advanced Emissions Solutions, Inc. ADESCommon800,00008,400,000-3,472,00012/31/2019
Crimson Wine Group, Ltd CWGLCommon Stock1,113,59613,5968,241,000-64,00012/31/2019
NI Holdings, Inc. NODKCOM471,3733,7118,108,00092,00012/31/2019
VORNADO REALTY TRUST VNOSH BEN INT117,000-3,8387,781,00093,00012/31/2019
FRANKLIN RESOURCES INC BENCommon296,33007,699,000-853,00012/31/2019
PLAINS ALL AMERICAN PIPELINE LP PAACommon418,58107,698,000-988,00012/31/2019
Columbia Financial, Inc. CLBKCommon450,000-50,0007,623,000-272,00012/31/2019
TEJON RANCH CO TRCCommon455,2312317,275,000-446,00012/31/2019
FMC TECHNOLOGIES INC FTICOM322,20006,908,000-870,00012/31/2019
BLACKBERRY Ltd BBCOM1,073,500-209,5006,891,000155,00012/31/2019
FIRST MIDWEST BANCORP INC FMBICommon286,67706,611,0001,027,00012/31/2019
NEWS CORP NWSACL A465,00006,575,000102,00012/31/2019
Mercantil Bank Holding Corp AMTBCommon284,185284,1856,192,0006,192,00012/31/2019
WESTLAKE CHEMICAL CORP WLKCommon87,000-4,8006,103,00088,00012/31/2019
MERCANTILE BANKSHARES CORP MRBKCOMMON300,19006,061,000733,00012/31/2019
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