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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
RADIAN GROUP INC RDNCommon2,304,4471,253,12253,578,00032,289,00003/31/2021
TECK RESOURCES LTD TCKCommon2,162,207829,19341,471,00017,277,00003/31/2021
CommScope Holding Company, Inc. COMMCOM2,678,659847,12041,144,00016,601,00003/31/2021
PULTEGROUP INC/MI/ PHMCommon729,955164,12038,279,00013,880,00003/31/2021
VODAFONE GROUP PUBLIC LTD CO VODCommon3,871,023176,27171,343,00010,453,00003/31/2021
iSHARES TRUST EWWCommon305,699110,99413,399,0005,029,00003/31/2021
iShares, Inc. EZACommon222,24836,24810,975,0002,821,00003/31/2021
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