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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
California Resources Corp CRCCommon19,573,924-213,130462,578,0003,824,00003/31/2021
Bausch Health Companies Inc. BHCcom8,588,292-2,603,061272,592,00039,812,00003/31/2021
Eagle Bulk Shipping Inc. EGLECOM3,044,151-18,523109,829,00051,704,00003/31/2021
Thryv Holdings, Inc. THRYCommon4,472,660-219,286104,660,00041,319,00003/31/2021
iSHARES TRUST HYGCommon1,150,000-575,000100,257,000-50,335,00003/31/2021
DENBURY INC DENCommon1,773,435-3,745,99284,930,000-56,998,00003/31/2021
VODAFONE GROUP PUBLIC LTD CO VODCommon3,871,023176,27171,343,00010,453,00003/31/2021
RADIAN GROUP INC RDNCommon2,304,4471,253,12253,578,00032,289,00003/31/2021
SLM Corp SLMCommon2,804,026-8,666,28250,388,000-91,729,00003/31/2021
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
FREEPORT-MCMORAN INC FCXCommon1,158,4531,158,45338,148,00038,148,00003/31/2021
OneMain Holdings, Inc. OMFCOM701,302701,30237,674,00037,674,00003/31/2021
Vistra Corp. VSTCommon2,026,224-2,264,08935,824,000-48,524,00003/31/2021
CHESAPEAKE ENERGY CORP CHKCommon642,000642,00027,856,00027,856,00003/31/2021
Altice USA, Inc. ATUSCommon791,110025,735,000-4,224,00003/31/2021
TWENTY-FIRST CENTURY FOX, INC. FOXACOM625,000625,00022,569,00022,569,00003/31/2021
Coupang, Inc. CPNGCommon Stock385,714385,71419,035,00019,035,00003/31/2021
NRG ENERGY, INC. NRGCommon459,461459,46117,335,00017,335,00003/31/2021
BERRY GLOBAL GROUP, INC. BERYCommon268,665-216,54316,496,000-10,768,00003/31/2021
TIM S.A.  Common1,334,658015,148,000-3,430,00003/31/2021
iSHARES TRUST EWWCommon305,699110,99413,399,0005,029,00003/31/2021
ISHARES MSCI BRZ CAP EWZOPTION369,424-586,34612,357,000-23,073,00003/31/2021
iShares, Inc. EZACommon222,24836,24810,975,0002,821,00003/31/2021
COMCAST CORP CMCSACommon202,000202,00010,930,00010,930,00003/31/2021
NATURAL RESOURCE PARTNERS LP NRPCommon560,45009,040,0001,334,00003/31/2021
EDISON INTERNATIONAL EIXCommon146,522-237,9118,586,000-15,564,00003/31/2021
VANECK VECTORS ETF TR RUSSIA RSXSTOCK258,930-58,0556,683,000-972,00003/31/2021
iShares, Inc. EWYCommon69,660-52,7406,249,000-4,284,00003/31/2021
iSHARES TRUST INDACommon106,270106,2704,482,0004,482,00003/31/2021
Berkshire Grey, Inc. RAACCommon335,000335,0003,397,0003,397,00003/31/2021
iSHARES TRUST EEMCommon41,186-110,8142,197,000-5,657,00003/31/2021
ODP Corp ODPCOM8,3548,354362,000362,00003/31/2021
Berkshire Grey, Inc. RAACW*W EXP 12/01/202111,666111,666221,000221,00003/31/2021
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