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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Banco Santander, S.A. STDCALL10,740,00010,740,00087,745,800,00087,745,800,00009/30/2013
Mead Johnson Nutrition Co MJNCommon965,734965,73471,715,407,00071,715,407,00009/30/2013
EXPRO GROUP HOLDINGS N.V. FICOM1,979,1011,979,10159,234,493,00059,234,493,00009/30/2013
WALTER INVESTMENT MANAGEMENT CORP WACCommon863,413863,41334,139,350,00034,139,350,00009/30/2013
SPDR S&P 500 ETF TRUST SPYUNIT SER 1200,500200,50033,686,005,00033,686,005,00009/30/2013
CORELOGIC, INC. CLGXcommon1,009,1981,009,19827,298,806,00027,298,806,00009/30/2013
Autodesk, Inc. ADSKCALL453,000453,00018,650,010,00018,650,010,00009/30/2013
MANITOWOC CO INC MTWCALL926,000926,00018,113,486,00018,113,486,00009/30/2013
RALPH LAUREN CORP RLCOM84,85584,85513,978,165,00013,978,165,00009/30/2013
TAPESTRY, INC. COHCommon157,270157,2708,575,933,0008,575,933,00009/30/2013
AUTOZONE INC AZOCommon19,76419,7648,354,836,0008,354,836,00009/30/2013
LL Flooring Holdings, Inc. LLCOM73,29073,2907,816,378,0007,816,378,00009/30/2013
ROLLINS INC ROLCommon287,973287,9737,634,164,0007,634,164,00009/30/2013
STARWOOD HOTELS & RESORTS WORLDWIDE, LLC HOTCommon79,14079,1405,258,853,0005,258,853,00009/30/2013
Northern Tier Energy LP NTICommon13,00013,000256,360,000256,360,00009/30/2013
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