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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
SPRINT Corp SCommon0-39,782,9570-339,349,00003/31/2019
SANDRIDGE ENERGY INC SDCommon0-46,787,7400-334,532,00003/31/2019
AMERICAN INTERNATIONAL GROUP INC AIGCOM0-5,443,1000-297,084,00003/31/2019
SIRIUS XM HOLDINGS INC. SIRICOM0-82,015,0280-283,772,00003/31/2019
CHIMERA INVESTMENT CORP CIMCommon0-65,627,2880-209,351,00003/31/2019
DISH Network CORP DISHCommon0-3,183,1790-207,161,00003/31/2019
Motorola Solutions, Inc. MSICOM0-2,938,9760-195,648,00003/31/2019
Targa Energy LP AHDCommon0-4,099,4400-183,983,00003/31/2019
SUNEDISON, INC. SUNEQCommon0-7,349,9480-166,109,00003/31/2019
EBAY INC EBAYCommon0-3,189,0000-159,641,00003/31/2019
Gaming & Leisure Properties, Inc. GLPICOM0-4,665,4500-158,485,00003/31/2019
HALLIBURTON CO HALCommon0-2,214,3000-157,237,00003/31/2019
HRG GROUP, INC. HRGCOMMON STOCK0-12,122,2470-153,953,00003/31/2019
E TRADE FINANCIAL CORP ETFCCOM0-6,923,8940-147,202,00003/31/2019
HCA Holdings, Inc. HCACOM0-2,544,7000-143,470,00003/31/2019
Altisource Portfolio Solutions S.A. ASPSCommon0-1,232,5390-141,224,00003/31/2019
EASTMAN CHEMICAL CO EMNCommon0-1,611,2080-140,739,00003/31/2019
CAESARS ENTERTAINMENT Corp CZRCOM0-6,991,0330-126,398,00003/31/2019
MCKESSON CORP MCKCommon0-669,7750-124,719,00003/31/2019
KKR & Co. L.P. KKRCommon0-5,080,1730-123,601,00003/31/2019
KINDER MORGAN, INC. KMICOM0-3,294,4590-119,457,00003/31/2019
APPLE INC AAPLCommon0-1,264,6900-117,528,00003/31/2019
COMCAST CORP CMCSKCommon0-2,181,2720-116,327,00003/31/2019
Targa Pipeline Partners LP APLLP0-3,379,3300-116,249,00003/31/2019
DENBURY RESOURCES INC DNRCommon0-6,035,0070-111,406,00003/31/2019
Titan Energy, LLC ARPJQCommon0-5,422,6940-109,972,00003/31/2019
JPMORGAN CHASE & CO JPMCommon0-1,872,1000-107,870,00003/31/2019
QUALCOMM INC/DE QCOMCommon0-1,271,1350-100,674,00003/31/2019
Intercontinental Exchange, Inc. ICECOM0-532,5700-100,602,00003/31/2019
LyondellBasell Industries N.V. LYBCommon0-1,020,7330-99,675,00003/31/2019
TRANSOCEAN INC RIGCommon0-2,049,6450-92,296,00003/31/2019
PVH CORP. /DE/ PVHCOM0-762,4010-88,896,00003/31/2019
FREEPORT-MCMORAN INC FCXCommon0-2,420,6000-88,352,00003/31/2019
SLM CORP SLMCommon0-10,266,1960-85,312,00003/31/2019
BOSTON SCIENTIFIC CORP BSXCommon0-6,549,4790-83,637,00003/31/2019
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