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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
VISA INC. VCL A0-17,2360-2,991,00009/30/2019
Mastercard Inc MACL A0-7,6340-2,019,00009/30/2019
CSX CORP CSXCommon0-24,8010-1,919,00009/30/2019
INVESCO QQQ TRUST, SERIES 1 QQQETF0-6,2550-1,168,00009/30/2019
UNION PACIFIC CORP UNPCommon0-6,0780-1,028,00009/30/2019
COPART INC CPRTCommon0-11,9990-897,00009/30/2019
FIRST INDUSTRIAL REALTY TRUST INC FRCommon0-24,1550-887,00009/30/2019
STARBUCKS CORP SBUXCommon0-7,4730-626,00009/30/2019
State Auto Financial CORP STFCCommon0-15,3250-536,00009/30/2019
TIFFANY & CO TIFCommon0-5,4710-512,00009/30/2019
TAKE TWO INTERACTIVE SOFTWARE INC TTWOCommon0-4,0880-464,00009/30/2019
Morningstar, Inc. MORNCommon0-2,9030-420,00009/30/2019
COSTAR GROUP, INC. CSGPCommon0-7480-414,00009/30/2019
NEW YORK TIMES CO NYTCL A0-11,7120-382,00009/30/2019
EMC INSURANCE GROUP INC EMCICommon0-9,7250-350,00009/30/2019
Alteryx, Inc. AYXCommon0-1,8680-204,00009/30/2019
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