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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
SPDR S&P 500 ETF TRUST SPYPut1,530,0001,530,000405,450,000405,450,00012/31/2017
ENCANA CORP ECACommon5,627,3052,868,07075,012,00042,508,00012/31/2017
Parsley Energy, Inc. PECommon2,491,6411,200,31673,354,00039,340,00012/31/2017
EQT Corp EQTCOM1,136,398746,49564,684,00039,239,00012/31/2017
Ocean Rig UDW Inc. ORIGCommon1,401,086-104,23637,549,0001,798,00012/31/2017
Vistra Energy Corp VSTCommon1,806,0861,806,08633,087,00033,087,00012/31/2017
MICROSEMI CORP MSCCCommon396,363-59,46020,472,000-2,994,00012/31/2017
NAVIENT CORP NAVICOM1,480,2391,480,23919,717,00019,717,00012/31/2017
PACCAR INC PCARCommon265,3753,18518,863,000-104,00012/31/2017
Kadmon Holdings, LLC KDMNSTOCK4,692,9394,484,60618,161,67417,463,67401/11/2018
Travelport Worldwide LTD TVPTSHS1,232,1691,232,16916,104,00016,104,00012/31/2017
ENTERCOM COMMUNICATIONS CORP ETMCommon1,467,6771,467,67715,851,00015,851,00012/31/2017
ULTRA PETROLEUM CORP UPLCommon1,713,4791,713,47915,524,00015,524,00012/31/2017
Nomad Foods Ltd NOMDCommon910,399910,39915,395,00015,395,00012/31/2017
FIRSTENERGY CORP FECommon477,107-169,03014,609,000-5,298,00012/31/2017
BP PLC BPSPONSORED ADR287,370287,37012,078,00012,078,00012/31/2017
Consolidated Communications Holdings, Inc. CNSLCOM946,391946,39111,537,00011,537,00012/31/2017
SOUTHWESTERN ENERGY CO SWNCommon2,061,846-1,10011,505,000-1,100,00012/31/2017
Huntsman CORP HUNCommon294,165-320,0009,793,000-7,047,00012/31/2017
DELTA AIR LINES INC /DE/ DALCommon174,23309,757,0001,354,00012/31/2017
NXP Semiconductors N.V. NXPICOM70,72470,7248,277,0008,277,00012/31/2017
US Foods Holding Corp. USFDCommon243,750243,7507,783,0007,783,00012/31/2017
SPIRIT REALTY CAPITAL, INC. SRCCOM844,766-378,0007,248,000-3,231,00012/31/2017
ALTABA INC. AABACOM72,745-35,5705,081,000-2,101,00012/31/2017
PHH CORP PHHCommon436,202-156,4204,493,000-3,762,00012/31/2017
Eagle Bulk Shipping Inc. EGLESHS NEW294,75501,321,000-14,00012/31/2017
Teekay LNG Partners L.P. TGPOPT25,8554,700521,000151,00012/31/2017
ORANGE ORANSPONSORED ADR16,650-13,300289,000-202,00012/31/2017
Boardwalk Pipeline Partners, LP BWPCommon18,07518,075234,000234,00012/31/2017
GMS Inc. GMSCOM0-110,7980-3,922,00012/31/2017
TAILORED BRANDS INC TLRDCommon0-189,7370-2,740,00012/31/2017
Rice Energy Inc. RICECommon0-209,8030-6,068,00012/31/2017
CommScope Holding Company, Inc. COMMCOM0-255,0000-8,469,00012/31/2017
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