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Home > Iridian Asset Management
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
WESTERN DIGITAL CORP WDCCommon5,985,177-4,090552,252,00075,926,00003/31/2018
TYSON FOODS INC TSNCommon5,873,154410,865429,856,000-12,972,00003/31/2018
MARTIN MARIETTA MATERIALS INC MLMCommon2,014,001-163,846417,502,000-63,889,00003/31/2018
S&P Global Inc. SPGICOM1,956,072-232,172373,727,0003,038,00003/31/2018
WYNDHAM WORLDWIDE CORP WYNCommon3,124,299723,825357,514,00079,371,00003/31/2018
INTERNATIONAL PAPER CO /NEW/ IPCommon6,585,965321,576351,888,000-11,071,00003/31/2018
T-Mobile US, Inc. TMUSCOM4,802,5974,802,597293,151,000293,151,00003/31/2018
Allergan plc AGNSHS1,735,16122,757292,010,00011,895,00003/31/2018
GENERAL DYNAMICS CORP GDCommon1,304,682-205,285288,204,000-18,999,00003/31/2018
HD Supply Holdings, Inc. HDSCOM7,587,9401,266,986287,886,00034,858,00003/31/2018
VISTEON CORP VCCommon2,501,372-100,881275,751,000-49,895,00003/31/2018
LABORATORY CORP OF AMERICA HOLDINGS LHCommon1,690,92172,695273,506,00015,383,00003/31/2018
ARMSTRONG WORLD INDUSTRIES INC AWICommon4,675,66443,666263,240,000-17,227,00003/31/2018
Marathon Petroleum Corp MPCCommon3,517,686-3,581,517257,178,000-211,227,00003/31/2018
Intercontinental Exchange, Inc. ICECOM3,332,246298,300241,654,00027,579,00003/31/2018
HP INC HPQCOM10,943,297-394,019239,877,0001,680,00003/31/2018
PENTAIR plc PNRCommon3,459,849-39,733235,720,000-11,420,00003/31/2018
Owens Corning OCCommon2,926,998-149,653235,331,000-47,536,00003/31/2018
SBA COMMUNICATIONS CORP SBACCOM1,365,819-663,978233,446,000-98,142,00003/31/2018
OLIN CORP OLNCommon7,437,815-322,662226,035,000-50,083,00003/31/2018
Chemours Co CCCOM4,548,0894,548,089221,537,000221,537,00003/31/2018
Versum Materials, LLC VSMCommon5,661,15487,328213,029,0002,060,00003/31/2018
Huntsman CORP HUNCommon7,178,6311,010,814209,975,0004,648,00003/31/2018
CHECK POINT SOFTWARE TECHNOLOGIES LTD CHKPCommon2,085,395-164,727207,163,000-25,995,00003/31/2018
Univar Inc. UNVRCOM7,199,824348,346199,795,000-12,327,00003/31/2018
Adient Ltd ADNTCom3,268,83455,653195,346,000-57,531,00003/31/2018
ALLEGHENY TECHNOLOGIES INC ATICommon8,066,250-583,313191,009,000-17,791,00003/31/2018
Post Holdings, Inc. POSTCommon2,506,417141,631189,886,0002,524,00003/31/2018
TECK RESOURCES LTD TCKCommon7,220,1957,220,195185,992,000185,992,00003/31/2018
ALBEMARLE CORP ALBCommon1,985,826602,784184,166,0007,289,00003/31/2018
EBAY INC EBAYCommon4,273,173-751,878171,952,000-17,693,00003/31/2018
CHIPOTLE MEXICAN GRILL INC CMGCl A528,207528,207170,669,000170,669,00003/31/2018
MGM Resorts International MGMCommon4,804,281-245,303168,246,000-360,00003/31/2018
BLACKBERRY Ltd BBCOM14,378,483-2,186,467165,353,000-19,677,00003/31/2018
HALOZYME THERAPEUTICS INC HALOCOM8,192,378-582,695160,489,000-17,294,00003/31/2018
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