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Home > Iridian Asset Management
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
SEALED AIR CORP/DE SEECommon0-4,924,8630-210,390,00012/31/2017
PERRIGO Co plc PRGOCOM0-1,208,4650-102,297,00012/31/2017
Ally Financial Inc. ALLYCommon0-3,258,6980-79,056,00012/31/2017
PINNACLE FOODS INC. PFCOM0-1,143,3500-65,365,00012/31/2017
CommScope Holding Company, Inc. COMMCOM0-1,210,9360-40,215,00012/31/2017
PERRIGO Co plc PRGOCALL0-26,7000-2,260,00012/31/2017
MBIA INC MBICommon0-69,2570-603,00012/31/2017
TripAdvisor, Inc. TRIPCommon0-12,8000-519,00012/31/2017
Viacom Inc. VIA.BCommon0-15,0000-418,00012/31/2017
CF Industries Holdings, Inc. CFCommon0-10,4360-367,00012/31/2017
PITNEY BOWES INC /DE/ PBICommon0-15,0200-210,00012/31/2017
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