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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Valaris Ltd VALCommon3,381,508-1,593,500228,662,946,000228,419,465,00012/31/2022
California Resources Corp CRCCommon4,286,268-1,519,148186,495,521,000186,272,419,00012/31/2022
Bausch Health Companies Inc. BHCcom21,283,7094,798,327133,661,692,000133,548,108,00012/31/2022
Noble Corp NECommon2,939,622-3,167,774110,853,146,000110,672,364,00012/31/2022
Bausch & Lomb Corp BLCOCOM6,328,374-424,22698,153,081,00098,049,496,00012/31/2022
Uber Technologies, Inc UBERCommon Stock2,696,800883,60066,691,864,00066,643,814,00012/31/2022
TWENTY-FIRST CENTURY FOX, INC. FOXACOM1,675,310-122,57150,879,165,00050,824,006,00012/31/2022
Seadrill Ltd SDRLCommon1,473,7481,473,74848,103,135,00048,103,135,00012/31/2022
Builders FirstSource, Inc. BLDRCommon646,736-271,00041,960,232,00041,906,159,00012/31/2022
NEXSTAR MEDIA GROUP, INC. NXSTCOM179,335-113,87731,389,005,00031,340,083,00012/31/2022
NATURAL RESOURCE PARTNERS LP NRPCommon543,469029,526,671,00029,502,622,00012/31/2022
Frontier Communications Parent, Inc. FYBRCommon906,937-160,04723,108,755,00023,083,756,00012/31/2022
TEVA PHARMACEUTICAL INDUSTRIES LTD TEVASPONSORED ADS2,493,3482,493,34822,739,334,00022,739,334,00012/31/2022
Capri Holdings Ltd CPRICommon Stock373,904-361,99121,432,177,00021,403,889,00012/31/2022
TENET HEALTHCARE CORP THCCommon437,13760,87621,327,914,00021,308,506,00012/31/2022
SeaWorld Entertainment, Inc. SEASCOM354,218-82,61518,954,205,00018,934,325,00012/31/2022
VODAFONE GROUP PUBLIC LTD CO VODCommon1,813,130018,348,876,00018,328,333,00012/31/2022
FOOT LOCKER, INC. FLCommon446,510016,873,613,00016,859,713,00012/31/2022
TEGNA INC TGNACommon750,88769,23515,911,296,00015,897,199,00012/31/2022
TIM S.A.  Common1,289,446015,022,046,00015,007,630,00012/31/2022
Algoma Steel Group Inc. ASTLCOM2,317,158014,690,782,00014,675,860,00012/31/2022
Liberty Latin America Ltd. LILAKCOM1,653,271012,564,860,00012,554,692,00012/31/2022
Macy's, Inc. MCommon512,821-3,853,07710,589,754,00010,521,340,00012/31/2022
Energy Transfer LP ETCommon578,407-182,7186,865,691,0006,857,296,00012/31/2022
Berkshire Grey, Inc. BGRYCommon1,335,0000806,207,000803,937,00012/31/2022
AMBAC FINANCIAL GROUP INC AMBCW*W EXP 04/30/20239,906081,009,00080,905,00012/31/2022
VODAFONE GROUP PUBLIC LTD CO VODSPNSR ADR5,230,000-3,745,00063,900,000-51,615,00012/31/2022
Berkshire Grey, Inc. BGRYWWarrant111,66606,700,0006,680,00012/31/2022
Coterra Energy Inc. COGCommon0-1,590,9150-41,555,00012/31/2022
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