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Home > Shamrock Capital Advisors
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
TEXAS INDUSTRIES INC TXICommon2,826,556096,583,000-2,318,00003/31/2010
ARRIS GROUP INC ARRSCommon7,155,514085,938,0004,150,00003/31/2010
OUTERWALL INC CSTRCommon2,525,011082,063,00011,918,00003/31/2010
WEBSENSE INC WBSNCommon2,804,498-909,21363,858,000-983,00003/31/2010
WEST PHARMACEUTICAL SERVICES INC WSTCommon1,516,279063,608,0004,170,00003/31/2010
MOBILE MINI INC MINICommon3,115,317048,256,0004,361,00003/31/2010
MAGELLAN HEALTH INC MGLNCommon815,236-880,45035,446,000-33,619,00003/31/2010
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