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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
WESTERN DIGITAL CORP WDCCommon5,641,706100,195499,855,00042,514,00006/30/2017
GENERAL DYNAMICS CORP GDCommon2,283,091-333,810452,280,000-37,604,00006/30/2017
Marathon Petroleum Corp MPCCommon8,327,167619,548435,761,00046,218,00006/30/2017
YAHOO INC AABACOM7,535,6967,535,696410,545,000410,545,00006/30/2017
SBA COMMUNICATIONS CORP SBACCOM2,641,1981,237,008356,298,000187,276,00006/30/2017
Allergan plc AGNSHS1,461,378177,545355,246,00048,513,00006/30/2017
S&P Global Inc. SPGICOM2,350,075-533,625343,087,000-33,928,00006/30/2017
SEALED AIR CORP/DE SEECommon7,566,029-86,970338,655,0005,137,00006/30/2017
INTERNATIONAL PAPER CO /NEW/ IPCommon5,342,0501,596,230302,413,000112,200,00006/30/2017
VISTEON CORP VCCommon2,731,761-45,510278,804,0006,770,00006/30/2017
CHECK POINT SOFTWARE TECHNOLOGIES LTD CHKPCommon2,551,116-183,735278,276,000-2,484,00006/30/2017
BALL CORP BLLCommon6,257,8105,322,617264,142,000194,695,00006/30/2017
Owens Corning OCCommon3,932,650-661,722263,173,000-18,784,00006/30/2017
MARTIN MARIETTA MATERIALS INC MLMCommon1,155,04594,930257,090,00025,720,00006/30/2017
Post Holdings, Inc. POSTCommon3,189,688-510,629247,679,000-76,173,00006/30/2017
LABORATORY CORP OF AMERICA HOLDINGS LHCommon1,600,278-7,925246,667,00015,938,00006/30/2017
NEWELL BRANDS INC NWLCommon4,553,544-1,417,905244,161,000-37,512,00006/30/2017
W R GRACE & CO GRACommon3,362,06170,650242,102,00012,658,00006/30/2017
BLACKBERRY Ltd BBRYCOM22,755,984-3,582,909227,332,00023,206,00006/30/2017
ARMSTRONG WORLD INDUSTRIES INC AWICommon4,750,675336,960218,531,00015,279,00006/30/2017
OLIN CORP OLNCommon7,098,1691,553,430214,933,00032,677,00006/30/2017
Univar Inc. UNVRCOM6,924,24610,580202,188,000-9,785,00006/30/2017
HD Supply Holdings, Inc. HDSCOM6,543,2463,000,390200,420,00054,720,00006/30/2017
MGM Resorts International MGMCommon6,137,8956,137,895192,055,000192,055,00006/30/2017
Activision Blizzard, Inc. ATVISTOCK3,331,670352,385191,804,00043,257,00006/30/2017
ORBITAL ATK, INC. OACommon1,903,390100,824187,217,00010,566,00006/30/2017
ALBEMARLE CORP ALBCommon1,771,387-371,060186,952,000-39,376,00006/30/2017
TYSON FOODS INC TSNCommon2,939,610-459,865184,108,000-25,674,00006/30/2017
AUTODESK INC ADSKCommon1,822,653-1,048,445183,760,000-64,504,00006/30/2017
EBAY INC EBAYCommon5,227,531754,475182,545,00032,385,00006/30/2017
Axalta Coating Systems Ltd. AXTACOM5,614,485-2,394,210179,888,000-77,992,00006/30/2017
Adient Ltd ADNTCom2,740,306652,127179,161,00027,413,00006/30/2017
FLEX LTD. FLEXCommon10,318,8641,877,450168,301,00026,485,00006/30/2017
HP INC HPQCOM9,523,4973,653,047166,471,00061,507,00006/30/2017
CASEYS GENERAL STORES INC CASYCommon1,553,345131,245166,379,0006,748,00006/30/2017
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