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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
General Motors Co GMCommon11,944,243-2,936,800399,534,000-101,511,00012/31/2018
Green Brick Partners, Inc. GRBKCOM24,118,6680174,620,000-68,978,00012/31/2018
AerCap Holdings N.V. AERCommon3,846,07856,400152,304,000-65,678,00012/31/2018
Brighthouse Financial, Inc. BHFCOMMON STOCK3,292,719-8,287,281100,362,075-411,937,92512/31/2018
CNX Coal Resources LP CCRCommon5,488,438090,066,000-8,452,00012/31/2018
Ensco plc ESVCommon20,000,000071,200,000-97,600,00012/31/2018
Altice USA, Inc. ATUSCommon4,112,5401,209,52167,940,00015,279,00012/31/2018
TEMPUR SEALY INTERNATIONAL, INC. TPXCommon1,331,252549,55255,113,83313,761,83312/31/2018
Voya Financial, Inc. VOYACOM1,053,446-995,60742,285,000-59,492,00012/31/2018
CONSOL Energy Inc CNXCOMMON3,490,100-9,90039,856,942-10,228,05812/31/2018
Quinpario Acquisition Corp. 2 XELACommon8,384,629032,616,207-27,165,79312/31/2018
Adient Ltd ADNTCom1,982,292843,01329,853,000-14,932,00012/31/2018
Hilton Grand Vacations Inc. HGVCommon1,120,0001,120,00029,557,00029,557,00012/31/2018
EchoStar CORP SATSCommon600,000600,00022,033,00022,033,00012/31/2018
SHUTTERFLY INC SFLYCommon521,200521,20020,984,00020,984,00012/31/2018
MEDICINES CO /DE MDCOCommon948,800018,160,000-10,218,00012/31/2018
DILLARDS INC DDSCl A250,000250,00015,077,00015,077,00012/31/2018
NEW SDRL LTD. SDRLCommon1,046,800010,206,000-15,734,00012/31/2018
Chemours Co CCCOM200,000200,0005,645,0005,645,00012/31/2018
CONSOL Mining Corp CEIXCommon140,000140,0004,439,0004,439,00012/31/2018
Michael Kors Holdings Ltd KORSCommon0-49,2000-3,373,00012/31/2018
ALTABA INC. AABACOM0-1,472,5980-100,313,00012/31/2018
PERRIGO Co plc PRGOCOM0-220,0010-15,576,00012/31/2018
SHERWIN WILLIAMS CO SHWCommon0-8,1000-3,688,00012/31/2018
IAC/INTERACTIVECORP IACCOM PAR $.0010-435,1500-94,306,00012/31/2018
TRACTOR SUPPLY CO /DE/ TSCOCommon0-44,5000-4,045,00012/31/2018
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