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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
General Motors Co GMCommon54,755,00001,912,592,000-23,545,00006/30/2017
AerCap Holdings N.V. AERCommon12,460,5080578,542,0005,733,00006/30/2017
APPLE INC AAPLCommon3,928,600-42,400565,797,000-4,677,00006/30/2017
Mylan N.V. MYLCommon10,701,7072,009,400415,441,00076,529,00006/30/2017
CONSOL Energy Inc CNXCommon22,663,0810338,587,000-41,700,00006/30/2017
Green Brick Partners, Inc. GRBKCOM24,118,6680276,159,00036,177,00006/30/2017
YAHOO INC AABACOM4,282,1004,282,100233,288,000233,288,00006/30/2017
Voya Financial, Inc. VOYACOM5,920,8530218,419,000-6,336,00006/30/2017
PERRIGO Co plc PRGOCOM2,527,000827,000190,839,00077,975,00006/30/2017
VANECK VECTORS ETF TR GOLD MINERS GDXSTOCK7,944,8960175,423,000-5,800,00006/30/2017
CHUGAI PHARMACEUTICAL CO LTD CPNCommon10,961,0000148,302,00027,183,00006/30/2017
DILLARDS INC DDSCl A2,515,347623,675145,111,00046,290,00006/30/2017
Chemours Co CCCOM3,603,070-1,396,930136,629,000-55,871,00006/30/2017
CONDUENT Inc CNDTCOM5,960,000095,003,000-5,006,00006/30/2017
CNX Coal Resources LP CNXCCommon5,488,438082,052,14814810/06/2017
AMERCO /NV/ UHALCommon220,000080,533,000-3,329,00006/30/2017
MICRON TECHNOLOGY INC MUCommon2,650,0001,050,00079,129,00032,889,00006/30/2017
Hewlett Packard Enterprise Co HPECOM4,450,0004,450,00073,826,00073,826,00006/30/2017
Alyst Acquisition Corp. AYACOM3,962,684070,851,0003,607,00006/30/2017
RITE AID CORP RADCommon16,778,989049,498,000-21,813,00006/30/2017
MONSANTO CO /NEW/ MONCommon384,900-25,10045,557,000-855,00006/30/2017
PVH CORP. /DE/ PVHCOM386,837-227,93344,293,000-19,317,00006/30/2017
Alcoa Corp AACOM1,275,000041,628,000-2,232,00006/30/2017
DSW Inc. DSWCL A2,256,106215,00039,933,000-2,278,00006/30/2017
TEGNA INC TGNACommon2,400,0002,400,00034,584,00034,584,00006/30/2017
Adient Ltd ADNTCom439,161439,16128,712,00028,712,00006/30/2017
Varex Imaging Corp VREXCOMMON STOCK665,000022,477,000133,00006/30/2017
TEMPUR SEALY INTERNATIONAL, INC. TPXCommon400,000400,00021,356,00021,356,00006/30/2017
CAPITAL AUTOMOTIVE REIT CARSCOM548,399548,39914,604,00014,604,00006/30/2017
FREDS INC FREDCL A1,500,000-680,72113,844,000-14,723,00006/30/2017
Clipper Realty Inc. CLPRCommon1,000,000011,941,0004,00006/30/2017
New York REIT, Inc. NYRTCOM1,000,0001,000,0008,640,0008,640,00006/30/2017
Quorum Health Corp QHCCOM1,096,991-1,073,0094,552,000-7,253,00006/30/2017
ALERE INC. ALRCOM0-1,046,6970-41,585,00006/30/2017
CIGNA CORP CICommon0-435,0000-63,723,00006/30/2017
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