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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Green Brick Partners, Inc. GRBKCOM24,118,6680194,155,000-82,728,00003/31/2020
Brighthouse Financial, Inc. BHFCOMMON STOCK3,640,33266,33287,986,000-52,223,00003/31/2020
AerCap Holdings N.V. AERCommon3,271,09170,32274,548,000-122,204,00003/31/2020
Change Healthcare Inc. CHNGCOM5,294,0055,294,00552,887,00052,887,00003/31/2020
Chemours Co CCCOM4,883,549-1,927,19443,318,000-79,888,00003/31/2020
CONSOL Energy Inc CNXCOMMON7,388,9231,506,66239,309,000-12,750,00003/31/2020
Altice USA, Inc. ATUSCommon1,625,380-532,36036,229,000-22,763,00003/31/2020
CNX Coal Resources LP CCRCommon5,488,438031,284,000-20,307,00003/31/2020
Adient Ltd ADNTCom1,854,406-660,18116,819,000-36,617,00003/31/2020
CROWN HOLDINGS INC CCKCommon213,500213,50012,391,00012,391,00003/31/2020
CENTENE CORP CNCCommon204,700204,70012,162,00012,162,00003/31/2020
ALTRIA GROUP, INC. MOCommon305,400305,40011,810,00011,810,00003/31/2020
PAYCHEX INC PAYXCommon185,000185,00011,640,00011,640,00003/31/2020
Ohr Pharmaceutical Inc NBSECommon1,538,462010,954,000-123,00003/31/2020
AMERICAN EXPRESS CO AXPCommon127,200127,20010,889,00010,889,00003/31/2020
GOLDMAN SACHS GROUP INC GSCommon69,10069,10010,683,00010,683,00003/31/2020
DANAHER CORP /DE/ DHRCommon76,80076,80010,630,00010,630,00003/31/2020
BERKSHIRE HATHAWAY INC BRK/BCommon57,50057,50010,512,00010,512,00003/31/2020
Walt Disney Co DISCommon108,700108,70010,501,00010,501,00003/31/2020
TESLA MOTORS INC TSLAPUT10,90010,9005,712,0005,712,00003/31/2020
Teekay LNG Partners L.P. TGPOPT580,201-269,0735,680,000-7,534,00003/31/2020
Quinpario Acquisition Corp. 2 XELACommon7,518,723-504,2051,541,000-1,731,00003/31/2020
GULFPORT ENERGY CORP GPORCommon700,000700,000312,000312,00003/31/2020
MEDICINES CO /DE MDCOCommon0-229,9000-19,528,00003/31/2020
TEMPUR SEALY INTERNATIONAL, INC. TPXCommon0-267,5000-23,289,00003/31/2020
CONSOL Mining Corp CEIXCommon0-610,0530-8,852,00003/31/2020
EchoStar CORP SATSCommon0-677,0000-29,321,00003/31/2020
Everett SpinCo, Inc. DXCCOM0-813,0000-30,561,00003/31/2020
SCIENTIFIC GAMES CORP SGMSCommon0-1,126,8420-30,177,00003/31/2020
General Motors Co GMCommon0-6,154,7020-225,263,00003/31/2020
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