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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Green Brick Partners, Inc. GRBKCOM24,118,6680276,883,00018,813,00012/31/2019
General Motors Co GMCommon6,154,7020225,263,000-5,414,00012/31/2019
AerCap Holdings N.V. AERCommon3,200,769-282,300196,752,0006,054,00012/31/2019
Brighthouse Financial, Inc. BHFCOMMON STOCK3,574,0000140,209,000-4,430,00012/31/2019
Chemours Co CCCOM6,810,743327,402123,206,00026,345,00012/31/2019
Altice USA, Inc. ATUSCommon2,157,740-1,030,00058,992,000-32,433,00012/31/2019
Adient Ltd ADNTCom2,514,587053,436,000-4,299,00012/31/2019
CONSOL Energy Inc CNXCOMMON5,882,261052,059,0009,354,00012/31/2019
CNX Coal Resources LP CCRCommon5,488,438051,591,000-22,504,00012/31/2019
Everett SpinCo, Inc. DXCCOM813,000813,00030,561,00030,561,00012/31/2019
SCIENTIFIC GAMES CORP SGMSCommon1,126,842-367,93630,177,000-242,00012/31/2019
EchoStar CORP SATSCommon677,00084,90029,321,0005,861,00012/31/2019
TEMPUR SEALY INTERNATIONAL, INC. TPXCommon267,500-204,52523,289,000-13,151,00012/31/2019
MEDICINES CO /DE MDCOCommon229,900-501,70019,528,000-17,052,00012/31/2019
Teekay LNG Partners L.P. TGPOPT849,274013,214,0001,622,00012/31/2019
Ohr Pharmaceutical Inc NBSECommon1,538,462011,077,0003,400,00012/31/2019
CONSOL Mining Corp CEIXCommon610,053-66,8298,852,000-1,728,00012/31/2019
Quinpario Acquisition Corp. 2 XELACommon8,022,92803,270,948-6,196,05212/31/2019
DILLARDS INC DDSCl A0-297,1700-19,646,00012/31/2019
Voya Financial, Inc. VOYACOM0-315,4460-17,173,00012/31/2019
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