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Home > Iridian Asset Management
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
PENTAIR plc PNRCommon0-3,459,8490-235,720,00006/30/2018
CHECK POINT SOFTWARE TECHNOLOGIES LTD CHKPCommon0-2,085,3950-207,163,00006/30/2018
TECK RESOURCES LTD TCKCommon0-7,220,1950-185,992,00006/30/2018
CHIPOTLE MEXICAN GRILL INC CMGCl A0-528,2070-170,669,00006/30/2018
AUTODESK INC ADSKCommon0-1,247,5110-156,662,00006/30/2018
CASEYS GENERAL STORES INC CASYCommon0-1,277,8350-140,268,00006/30/2018
Viacom Inc. VIA.BCommon0-3,694,6600-114,756,00006/30/2018
QUINENCO SA LQCOM0-5,929,4870-112,127,00006/30/2018
FLEX LTD. FLEXCommon0-5,726,1230-93,508,00006/30/2018
ALLSCRIPTS HEALTHCARE SOLUTIONS, INC. MDRXCommon0-7,150,9310-88,314,00006/30/2018
ALTABA INC. AABACOM0-458,1720-33,923,00006/30/2018
SPDR GOLD TRUST GLDGOLD SHS0-60,3000-7,585,00006/30/2018
CrossAmerica Partners LP CAPLCOM0-144,2230-2,965,00006/30/2018
MASCO CORP /DE/ MASCALL0-57,2000-2,313,00006/30/2018
MBIA INC MBICommon0-78,8240-730,00006/30/2018
Seagate Technology plc STXCOM0-12,3230-721,00006/30/2018
T-Mobile US, Inc. TMUSCALL0-8,5000-519,00006/30/2018
Domtar CORP UFSCommon0-8,8000-374,00006/30/2018
LyondellBasell Industries N.V. LYBCommon0-3,0000-317,00006/30/2018
HD Supply Holdings, Inc. HDSCALL0-7,7000-292,00006/30/2018
WAL MART STORES INC WMTCommon0-2,5000-222,00006/30/2018
ORBITAL ATK, INC. OACommon0-5450-72,00006/30/2018
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