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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Eagle Bulk Shipping Inc. EGLESHS NEW11,097,96210,803,20754,918,00053,597,00003/31/2018
ASSURED GUARANTY LTD AGOCommon1,164,1131,164,11342,164,00042,164,00003/31/2018
Valeant Pharmaceuticals International, Inc. VRXCOM2,344,8332,344,83337,330,00037,330,00003/31/2018
Ocean Rig UDW Inc. ORIGCommon1,353,086-48,00034,138,000-3,411,00003/31/2018
TIME WARNER INC. TWXCOM330,204330,20431,257,00031,257,00003/31/2018
SPIRIT REALTY CAPITAL, INC. SRCCOM3,540,1412,695,37527,471,00020,223,00003/31/2018
ENTERCOM COMMUNICATIONS CORP ETMCommon2,713,2531,245,57626,183,00010,332,00003/31/2018
Vistra Energy Corp VSTCommon1,146,017-660,06923,872,000-9,215,00003/31/2018
ENERGEN CORP EGNCommon377,091377,09123,708,00023,708,00003/31/2018
VICI PROPERTIES INC.  Common1,181,1611,181,16121,639,00021,639,00003/31/2018
FIRSTENERGY CORP FECommon626,810149,70321,324,0006,715,00003/31/2018
PACCAR INC PCARCommon322,03556,66021,309,0002,446,00003/31/2018
EDISON INTERNATIONAL EIXCommon310,000310,00019,735,00019,735,00003/31/2018
Parsley Energy, Inc. PECommon643,269-1,848,37218,648,000-54,706,00003/31/2018
Mylan N.V. MYLCommon419,696419,69617,279,00017,279,00003/31/2018
Nomad Foods Ltd NOMDCommon984,94374,54415,503,000108,00003/31/2018
Consolidated Communications Holdings, Inc. CNSLCOM1,370,908424,51715,025,0003,488,00003/31/2018
AMC ENTERTAINMENT HOLDINGS, INC. AMCCL A COM1,013,7771,013,77714,244,00014,244,00003/31/2018
EQT Corp EQTCOM264,813-871,58512,581,000-52,103,00003/31/2018
NAVIENT CORP NAVICOM912,614-567,62511,973,000-7,744,00003/31/2018
TRANSOCEAN INC RIGCommon1,200,0001,200,00011,880,00011,880,00003/31/2018
Constellium N.V. CSTMCommon1,082,9321,082,93211,750,00011,750,00003/31/2018
US Foods Holding Corp. USFDCommon325,64081,89010,671,0002,888,00003/31/2018
CAESARS ENTERTAINMENT Corp CZRCOM855,000855,0009,619,0009,619,00003/31/2018
Kadmon Holdings, LLC KDMNSTOCK2,059,254447,5248,752,0002,918,00003/31/2018
Huntsman CORP HUNCommon294,16508,604,000-1,189,00003/31/2018
Integer Holdings Corp ITGRCOMMON141,323141,3237,971,0007,971,00003/31/2018
ALTABA INC. AABACOM72,74505,388,000307,00003/31/2018
FRONTIER COMMUNICATIONS CORP FTRCOMMON670,908670,9084,978,0004,978,00003/31/2018
Teekay LNG Partners L.P. TGPOPT25,8550463,000-58,00003/31/2018
ORANGE ORANSPONSORED ADR16,6500282,000-7,00003/31/2018
Boardwalk Pipeline Partners, LP BWPCommon0-18,0750-234,00003/31/2018
NXP Semiconductors N.V. NXPICOM0-70,7240-8,277,00003/31/2018
DELTA AIR LINES INC /DE/ DALCommon0-174,2330-9,757,00003/31/2018
BP PLC BPSPONSORED ADR0-287,3700-12,078,00003/31/2018
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