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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Kadmon Holdings, LLC KDMNSTOCK6,713,4266,505,09322,557,11121,745,11109/28/2017
Rice Energy Inc. RICECommon844,423844,42322,487,00022,487,00006/30/2017
MICROSEMI CORP MSCCCommon479,111479,11122,422,00022,422,00006/30/2017
CLIFFS NATURAL RESOURCES INC. CLFCOM3,113,2833,113,28321,544,00021,544,00006/30/2017
DELTA AIR LINES INC /DE/ DALCommon319,528-363,61717,171,000-14,226,00006/30/2017
PACCAR INC PCARCommon259,960259,96017,168,00017,168,00006/30/2017
AMC ENTERTAINMENT HOLDINGS, INC. AMCCL A COM753,535753,53517,143,00017,143,00006/30/2017
Parsley Energy, Inc. PECommon613,977613,97717,026,00017,026,00006/30/2017
SPIRIT REALTY CAPITAL, INC. SRCCOM2,164,9452,164,94516,042,00016,042,00006/30/2017
Liberty Interactive Corp LINTACommon647,960-964,04015,901,000-16,371,00006/30/2017
Huntsman CORP HUNCommon606,015173,04015,659,0005,034,00006/30/2017
YAHOO INC AABACOM267,770267,77014,588,00014,588,00006/30/2017
PHH CORP PHHCommon920,000920,00012,678,00012,678,00006/30/2017
VALVOLINE INC VVVCOM466,855011,074,000-387,00006/30/2017
TAILORED BRANDS INC TLRDCommon900,000900,00010,044,00010,044,00006/30/2017
WideOpenWest, Inc. WOWCOM479,355479,3558,341,0008,341,00006/30/2017
TELEFONICA BRASIL S.A. VIVADR600,000600,0008,094,0008,094,00006/30/2017
SOUTHWESTERN ENERGY CO SWNCommon1,329,2011,329,2018,082,0008,082,00006/30/2017
SPDR SERIES TRUST XBICommon70,415-98,8355,433,000-6,306,00006/30/2017
FAIRPOINT COMMUNICATIONS INC FRPCommon341,858-818,8285,350,000-13,917,00006/30/2017
AMBAC FINANCIAL GROUP INC AMBCCOM NEW174,8874,8003,031,000-177,00006/30/2017
Eagle Bulk Shipping Inc. EGLESHS NEW294,75501,394,000-283,00006/30/2017
ORANGE ORANSPONSORED ADR25,1006,100398,000102,00006/30/2017
Teekay LNG Partners L.P. TGPOPT16,1205,535247,00061,00006/30/2017
YAHOO INC YHOOCommon0-27,8250-1,292,00006/30/2017
TRIBUNE MEDIA CO TRCOCommon0-281,1450-10,478,00006/30/2017
Teekay Offshore Partners L.P. TOOCommon0-1,510,5070-7,658,00006/30/2017
TEEKAY CORP TKCommon0-3,319,4330-30,373,00006/30/2017
PENN NATIONAL GAMING INC PENNCommon0-536,7070-9,892,00006/30/2017
New Gold Inc. /FI NGDCommon0-6,034,0790-17,982,00006/30/2017
MGM Resorts International MGMCommon0-352,6900-9,664,00006/30/2017
LENNAR CORP /NEW/ LENCL A0-229,8510-11,766,00006/30/2017
HORTON D R INC /DE/ DHICommon0-362,9470-12,090,00006/30/2017
CHUGAI PHARMACEUTICAL CO LTD CPNCommon0-1,764,8120-19,501,00006/30/2017
BERRY PLASTICS GROUP INC BERYCommon0-196,7850-9,558,00006/30/2017
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