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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
General Motors Co GMCommon9,118,741-2,825,502338,306,000-61,228,00003/31/2019
Green Brick Partners, Inc. GRBKCOM24,118,6680211,038,00036,418,00003/31/2019
AerCap Holdings N.V. AERCommon4,163,078317,000193,750,00041,446,00003/31/2019
Brighthouse Financial, Inc. BHFCOMMON STOCK3,292,7190119,493,00019,131,00003/31/2019
CNX Coal Resources LP CCRCommon5,488,438096,981,0006,915,00003/31/2019
Altice USA, Inc. ATUSCommon4,112,540088,337,00020,397,00003/31/2019
CONSOL Energy Inc CNXCOMMON5,790,1002,300,00062,359,00022,502,00003/31/2019
Ensco plc ESVCommon15,120,000-4,880,00059,422,000-11,778,00003/31/2019
TEMPUR SEALY INTERNATIONAL, INC. TPXCommon659,425-671,82738,029,000-17,084,00003/31/2019
Voya Financial, Inc. VOYACOM736,446-317,00036,793,000-5,492,00003/31/2019
Hilton Grand Vacations Inc. HGVCommon1,120,000034,552,0004,995,00003/31/2019
Quinpario Acquisition Corp. 2 XELACommon8,022,928-361,70126,796,000-5,820,00003/31/2019
MEDICINES CO /DE MDCOCommon948,800026,519,0008,359,00003/31/2019
Adient Ltd ADNTCom1,982,292025,691,000-4,162,00003/31/2019
EchoStar CORP SATSCommon600,000021,870,000-163,00003/31/2019
CONSOL Mining Corp CEIXCommon340,000200,00011,635,0007,196,00003/31/2019
NEW SDRL LTD. SDRLCommon1,046,80008,699,000-1,507,00003/31/2019
Teekay LNG Partners L.P. TGPOPT500,000500,0007,480,0007,480,00003/31/2019
SHUTTERFLY INC SFLYCommon0-521,2000-20,984,00003/31/2019
DILLARDS INC DDSCl A0-250,0000-15,077,00003/31/2019
Chemours Co CCCOM0-200,0000-5,645,00003/31/2019
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