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Home > Iridian Asset Management
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ARMSTRONG WORLD INDUSTRIES INC AWICommon5,739,6341,281,822347,534,839119,071,83912/31/2017
Intercontinental Exchange, Inc. ICECOM3,033,9461,575,106214,075,000113,853,00012/31/2017
MARTIN MARIETTA MATERIALS INC MLMCommon2,177,847392,445481,391,000113,188,00012/31/2017
TYSON FOODS INC TSNCommon5,462,289629,241442,828,000102,340,00012/31/2017
HALOZYME THERAPEUTICS INC HALOCOM13,306,1543,300,202269,582,68095,779,68012/31/2017
OLIN CORP OLNCommon9,524,9852,154,692338,898,96686,465,96612/31/2017
VISTEON CORP VCCommon3,233,568558,856404,648,70073,599,70012/31/2017
ALLEGHENY TECHNOLOGIES INC ATICommon10,880,4112,266,356262,653,12256,777,12212/31/2017
FLEX LTD. FLEXCommon14,406,9121,628,669259,180,00047,445,00012/31/2017
WYNDHAM WORLDWIDE CORP WYNCommon2,400,474211,886278,143,00047,444,00012/31/2017
QUINENCO SA LQCOM5,430,7701,296,715100,252,00027,906,00012/31/2017
FIRST DATA CORP FDCCommon8,905,3292,147,260148,808,00026,892,00012/31/2017
Yum! China Holding, Inc. YUMCCommon4,828,380616,062193,232,00024,866,00012/31/2017
GCP Applied Technologies Inc. GCPCOM4,840,340510,982154,406,84621,495,84612/31/2017
LABORATORY CORP OF AMERICA HOLDINGS LHCommon1,618,22636,260258,123,00019,294,00012/31/2017
Adient Ltd ADNTCom3,213,181425,367252,877,00018,729,00012/31/2017
HP INC HPQCOM11,337,316271,715238,197,00017,328,00012/31/2017
Versum Materials, LLC VSMCommon5,573,826456,764210,969,00012,325,00012/31/2017
Activision Blizzard, Inc. ATVISTOCK3,399,445198,784215,253,0008,778,00012/31/2017
iSHARES TRUST IWRETF17,3129,9423,603,0002,150,00012/31/2017
WARRIOR MET COAL, LLC HCCCOM54,46625,0781,370,000677,00012/31/2017
DCP Midstream, LP DCPCommon49,16612,6011,786,000519,00012/31/2017
BROOKFIELD ASSET MANAGEMENT INC. BAMCommon24,2609,1451,056,000432,00012/31/2017
Aon plc AONCOM7,8002,8001,045,000314,00012/31/2017
VANGUARD WORLD FUND VFHCommon25,3892,9641,778,000312,00012/31/2017
iSHARES TRUST IWMCommon11,1981,3331,707,000245,00012/31/2017
EAGLE PHARMACEUTICALS, INC. EGRXCommon901,69787,48348,169,000-391,00012/31/2017
CrossAmerica Partners LP CAPLCOM144,2231,5973,425,000-462,00012/31/2017
MEDICINES CO /DE MDCOCommon2,170,215408,17759,334,000-5,932,00012/31/2017
AUTODESK INC ADSKCommon1,876,48568,904196,712,000-6,207,00012/31/2017
INTREXON CORP XONCOM4,518,112828,36852,049,000-18,093,00012/31/2017
WESTERN DIGITAL CORP WDCCommon5,989,26768,610476,326,000-35,219,00012/31/2017
Allergan plc AGNSHS1,712,40478,455280,115,000-54,763,00012/31/2017
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