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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
VALEANT PHARMACEUTICALS INTERNATIONAL VRXCommon4,433,287-1,996,826231,817,000-44,099,00006/30/2010
BALL CORP BLLCommon4,073,789111,450215,218,0003,708,00006/30/2010
GENERAL DYNAMICS CORP GDCommon3,607,100-258,600211,232,000-87,200,00006/30/2010
Dresser-Rand Group Inc. DRCCommon6,602,824-16,189208,319,000350,00006/30/2010
DEVON ENERGY CORP/DE DVNCommon3,255,153-118,490198,304,000-19,060,00006/30/2010
CROWN HOLDINGS INC CCKCommon7,827,8454,495196,009,000-14,909,00006/30/2010
AMGEN INC AMGNCommon3,188,000-244,405167,689,000-37,432,00006/30/2010
AUTOZONE INC AZOCommon855,621269,710165,323,00063,908,00006/30/2010
PRECISION CASTPARTS CORP PCPCommon1,556,271-167,175160,171,000-58,207,00006/30/2010
COMPUTER SCIENCES CORP CSCCommon3,067,373-30,810138,799,000-30,021,00006/30/2010
BAXTER INTERNATIONAL INC BAXCommon3,380,980462,755137,403,000-32,438,00006/30/2010
VALSPAR CORP VALCommon4,305,070-736,720129,669,000-18,963,00006/30/2010
EASTMAN CHEMICAL CO EMNCommon2,352,11127,840125,509,000-22,501,00006/30/2010
TEEKAY CORP TKCommon4,474,82877,870117,106,00017,119,00006/30/2010
CHEMED CORP CHECommon2,114,533-169,875115,538,000-8,688,00006/30/2010
PRAXAIR INC PXCommon1,447,180-103,000109,971,000-18,694,00006/30/2010
SEAGATE TECHNOLOGY STXCOM8,012,2408,012,240104,480,000104,480,00006/30/2010
AGILENT TECHNOLOGIES INC ACommon3,442,131-446,36097,860,000-35,865,00006/30/2010
PACKAGING CORP OF AMERICA PKGCommon4,272,225219,08094,074,000-5,674,00006/30/2010
ATMEL CORP ATMLCommon19,069,369-422,94391,533,000-6,513,00006/30/2010
Tyco Electronics Ltd. TELCOM3,492,4211,916,68188,638,00045,337,00006/30/2010
TECK COMINCO LTD TCKCommon2,916,078985,06586,258,0002,143,00006/30/2010
Owens Corning OCCommon2,867,400-1,410,06585,764,000-23,055,00006/30/2010
BIOGEN IDEC INC. BIIBCommon1,779,433-251,61084,434,000-32,067,00006/30/2010
Sara Lee Corp SLECommon5,981,790241,40084,343,0004,379,00006/30/2010
AOL Inc. AOLCOM4,001,093287,06383,183,000-10,708,00006/30/2010
EXTERRAN HOLDINGS INC. EXHCommon3,195,6321,294,79882,479,00036,536,00006/30/2010
RAYTHEON CO/ RTNCommon1,661,500-143,89080,400,000-22,724,00006/30/2010
INGERSOLL RAND CO LTD IRCOM2,266,7702,266,77078,181,00078,181,00006/30/2010
SHERWIN WILLIAMS CO SHWCommon1,052,161-311,94072,799,000-19,523,00006/30/2010
NVIDIA CORP NVDACommon7,064,340405,60072,127,000-43,602,00006/30/2010
LSI CORP LSICommon15,021,793-1,094,63469,100,000-29,533,00006/30/2010
ATLAS AMERICA INC ATLSCOM2,502,814-842,94167,751,000-36,369,00006/30/2010
WYNDHAM WORLDWIDE CORP WYNCommon3,284,0743,284,07466,141,00066,141,00006/30/2010
HEALTH NET INC HNTCommon2,366,728-165,00257,677,000-5,287,00006/30/2010
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