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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
CIT GROUP INC CITCOM10,590,4290358,591,000-54,012,00006/30/2010
PFIZER INC PFECommon23,154,0985,000,000330,177,00018,834,00006/30/2010
ENSCO INTERNATIONAL INC ESVADR7,416,8807,416,880291,335,000291,335,00006/30/2010
CARDINAL HEALTH INC CAHCommon6,550,5000220,162,000-15,853,00006/30/2010
MICROSOFT CORP MSFTCommon7,660,4424,260,442176,267,00076,681,00006/30/2010
NCR CORP NCRCommon11,468,6583,234,593139,001,00036,733,91306/30/2010
MARKET VECTORS ETF TRUST GDXGOLD MINER ETF2,583,371-616,629134,232,000-7,880,00006/30/2010
BECTON DICKINSON & CO BDXCommon1,796,5001,131,500121,479,00069,123,00006/30/2010
EINSTEIN NOAH RESTAURANT GROUP INC BAGLCommon10,733,4690115,814,000-14,598,00006/30/2010
XEROX CORP XRXCommon13,500,0006,500,000108,540,00040,290,00006/30/2010
EMC CORP EMCCommon5,790,000-3,112,600105,957,000-54,646,00006/30/2010
TRAVELERS COMPANIES, INC. TRVCommon2,132,2720105,014,000-10,001,00006/30/2010
ASPEN INSURANCE HOLDINGS LTD AHLCommon4,140,0000102,423,000-16,974,00006/30/2010
RALCORP HOLDINGS INC /MO RAHCommon1,765,854415,85496,769,0005,266,00006/30/2010
HEALTH NET INC HNTCommon3,502,337085,353,000-1,750,00006/30/2010
APPLE INC AAPLCommon312,500312,50078,602,00078,602,00006/30/2010
FOSTER WHEELER LTD FWLTCOM3,593,472-38,00075,678,000-22,881,00006/30/2010
EVEREST RE GROUP LTD RECommon980,445069,337,000-10,010,00006/30/2010
MI DEVELOPMENTS INC MIM.ACL A SUB VTG5,655,235069,164,000-4,580,00006/30/2010
NVR INC NVRCommon84,00028,28155,023,00014,543,00006/30/2010
LOCKHEED MARTIN CORP LMTCommon725,000725,00054,013,00054,013,00006/30/2010
HEALTH MANAGEMENT ASSOCIATES INC HMACommon6,539,241050,811,000-5,427,00006/30/2010
TRANSATLANTIC HOLDINGS INC TRHCommon952,100627,10045,663,00028,503,00006/30/2010
Employers Holdings, Inc. EIGCommon2,325,000034,248,000-278,00006/30/2010
Fifth Street Finance Corp FSCCommon2,284,492025,198,000-1,325,00006/30/2010
REPUBLIC AIRWAYS HOLDINGS INC RJETCommon3,412,800-30,00020,852,000401,00006/30/2010
BioFuel Energy Corp. BIOFCommon7,542,104010,031,000-12,142,00006/30/2010
FLAGSTAR BANCORP INC FBCCommon1,649,998-31,350,0025,182,000-14,618,00006/30/2010
Furiex Pharmaceuticals, Inc. FURXCOM490,000490,0004,978,0004,978,00006/30/2010
SYMMETRICOM INC SYMMCommon799,562799,5624,069,0004,069,00006/30/2010
Oritani Financial Corp. ORITCOM200,000200,0002,000,0002,000,00006/30/2010
MDC HOLDINGS INC MDCCommon70,32401,895,000-539,00006/30/2010
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