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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
General Motors Co GMCommon34,561,500-20,193,5001,395,594,000-516,998,00009/30/2017
AerCap Holdings N.V. AERCommon12,355,508-105,000631,490,00052,948,00009/30/2017
Brighthouse Financial, Inc. BHFCOMMON STOCK6,792,0286,792,028412,955,000412,955,00009/30/2017
CONSOL Energy Inc CNXCommon22,661,081-2,000383,878,00045,291,00009/30/2017
APPLE INC AAPLCommon2,192,900-1,735,700337,971,000-227,826,00009/30/2017
Mylan N.V. MYLCommon10,744,30742,600337,048,000-78,393,00009/30/2017
YAHOO INC AABACOM4,282,1000283,646,00050,358,00009/30/2017
TEMPUR SEALY INTERNATIONAL, INC. TPXCommon4,000,0003,600,000258,080,000236,724,00009/30/2017
PERRIGO Co plc PRGOCOM2,901,032374,032245,572,00054,733,00009/30/2017
Green Brick Partners, Inc. GRBKCOM24,118,6680238,775,000-37,384,00009/30/2017
Voya Financial, Inc. VOYACOM5,920,8530236,183,00017,764,00009/30/2017
MICRON TECHNOLOGY INC MUCommon5,021,9002,371,900197,511,000118,382,00009/30/2017
VANECK VECTORS ETF TR GOLD MINERS GDXSTOCK7,944,8960182,415,0006,992,00009/30/2017
Adient Ltd ADNTCom1,731,0001,291,839145,387,000116,675,00009/30/2017
Hewlett Packard Enterprise Co HPECOM7,805,0003,355,000114,811,00040,985,00009/30/2017
CONDUENT Inc CNDTCOM5,960,000093,394,000-1,609,00009/30/2017
DILLARDS INC DDSCl A1,500,000-1,015,34784,105,000-61,006,00009/30/2017
CNX Coal Resources LP CNXCCommon5,488,438082,052,14814810/06/2017
SABRE HOLDINGS CORP TSGStock3,962,6843,962,68480,985,00080,985,00009/30/2017
General Motors Co GMCOM2,000,0002,000,00080,760,00080,760,00009/30/2017
Chemours Co CCCOM1,485,000-2,118,07075,156,000-61,473,00009/30/2017
DSW Inc. DSWCL A3,049,000792,89465,492,00025,559,00009/30/2017
MONSANTO CO /NEW/ MONCommon384,900046,119,000562,00009/30/2017
Quinpario Acquisition Corp. 2 XELACommon8,384,6298,384,62941,084,00041,084,00009/30/2017
Venator Materials PLC VNTRCOMMON STOCK1,700,0001,700,00038,420,00038,420,00009/30/2017
TEGNA INC TGNACommon2,400,000031,991,000-2,593,00009/30/2017
RITE AID CORP RADCommon15,278,289-1,500,70029,946,000-19,552,00009/30/2017
Varex Imaging Corp VREXCOMMON STOCK665,000022,503,00026,00009/30/2017
AMERCO /NV/ UHALCommon50,000-170,00018,745,000-61,788,00009/30/2017
Cars.com Inc. CARSCOM548,399014,593,000-11,00009/30/2017
Clipper Realty Inc. CLPRCommon1,000,000010,710,000-1,231,00009/30/2017
Hewlett Packard Enterprise Co HPECALL635,400635,4009,346,0009,346,00009/30/2017
FREDS INC FREDCL A1,400,903-99,0979,022,000-4,822,00009/30/2017
TECH DATA CORP TECDCommon90,00090,0007,997,0007,997,00009/30/2017
Childrens Place, Inc. PLCECommon66,40066,4007,844,0007,844,00009/30/2017
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