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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Black Knight, Inc. BKICOM1,336,8001,336,80079,847,064,00079,847,064,00006/30/2023
NET Power Inc. NPWRCommon2,510,0002,510,00032,630,000,00032,630,000,00006/30/2023
FIRST CITIZENS BANCSHARES INC /DE/ FCNCACommon22,55022,55028,941,798,00028,941,798,00006/30/2023
NEW YORK COMMUNITY BANCORP INC NYBCommon1,707,4601,707,46019,191,850,00019,191,850,00006/30/2023
Activision Blizzard, Inc. ATVISTOCK221,880221,88018,704,484,00018,704,484,00006/30/2023
FIRST HORIZON CORP FHNCommon1,298,7801,298,78014,637,251,00014,637,251,00006/30/2023
Seadrill Ltd SDRLCommon266,485266,48510,997,836,00010,997,836,00006/30/2023
HERC HOLDINGS INC HRICOM37,16037,1605,085,346,0005,085,346,00006/30/2023
ADVANCE AUTO PARTS INC AAPCommon37,57037,5702,641,171,0002,641,171,00006/30/2023
VanEck ETF Trust OIHCommon6,9606,9602,001,696,0002,001,696,00006/30/2023
FIRST TR EXCHANGE TRADED FD NAT GAS FCGSTOCK58,54058,5401,362,811,0001,362,811,00006/30/2023
Invesco Actively Managed Exchange-Traded Commodity Fund Trust PDBCCommon96,99096,9901,319,548,0001,319,548,00006/30/2023
NeuBase Therapeutics, Inc. NBSECOM NEW136,350136,350254,975,000254,975,00006/30/2023
Sotera Health Co SHCCOM5,4505,450102,678,000102,678,00006/30/2023
Finserv Acquisition Corp. II FSRXW*W EXP 02/17/20278,75078,7501,938,0001,938,00006/30/2023
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