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Iridian Asset Management's Portfolio

Company Ticker # of Shares Change Price Value  
3,333,468 +3,072,613 $1,141.93 $3,806,587,114 History » Related Stories »
2,295,931 +2,035,076 $1,141.93 $2,621,792,487 History » Related Stories »
1,355,042 +1,094,187 $1,141.93 $1,547,363,112 History » Related Stories »
1,141,719 +880,864 $1,141.93 $1,303,763,178 History » Related Stories »
480,380 +219,525 $1,141.93 $548,560,334 History » Related Stories »
356,615 +95,760 $1,141.93 $407,229,367 History » Related Stories »
312,408 +51,553 $1,141.93 $356,748,068 History » Related Stories »
S&P DEP RECEIPTS SPY 600,000 -161,400 $505.41 $303,246,000 History » Related Stories »
247,572 -13,283 $1,141.93 $282,709,894 History » Related Stories »
ISHARES RUSSELL 2000 ETF IWM 300,000 -300,000 $197.68 $59,304,000 History » Related Stories »
48,976 -211,879 $1,141.93 $55,927,164 History » Related Stories »
45,586 -215,269 $1,141.93 $52,056,021 History » Related Stories »
POST HOLDINGS, Inc. POST 479,620 -30,064 $106.14 $50,906,867 History » Related Stories »
ANTM 99,906 +7,329 $482.58 $48,212,638 History » Related Stories »
Flextronics International Ltd FLEX 1,570,110 -539,886 $28.50 $44,748,135 History » Related Stories »
Laboratory Corp. of America Holding LH 187,203 -3,746 $207.94 $38,926,992 History » Related Stories »
CROWN HOLDINGS, Inc. CCK 483,033 -59,188 $78.83 $38,077,492 History » Related Stories »
KKR & CO. L.P. KKR 366,659 -9,531 $96.77 $35,481,592 History » Related Stories »
LITHIA MOTORS, Inc. LAD 117,851 -31,887 $248.34 $29,267,118 History » Related Stories »
Avatar Holdings, Inc. AVTR 1,124,257 +82,392 $25.46 $28,623,584 History » Related Stories »
21,905 -238,950 $1,141.93 $25,013,977 History » Related Stories »
20,023 -240,832 $1,141.93 $22,864,865 History » Related Stories »
LPL FIN HLDG LPLA 71,871 +19,986 $264.54 $19,012,755 History » Related Stories »
QSR 255,103 -328,790 $73.62 $18,780,683 History » Related Stories »
IntercontinentalExchange Inc. ICE 140,730 -17,896 $132.57 $18,656,577 History » Related Stories »
16,115 -244,740 $1,141.93 $18,402,202 History » Related Stories »
SPLUNK SPLK 111,541 -14,174 $156.90 $17,500,783 History » Related Stories »
Beacon Roofing Supply, Inc. BECN 173,415 -265,134 $97.21 $16,857,673 History » Related Stories »
ITT EDUCATIONAL SERVICES ESI 695,905 -68,789 $23.82 $16,576,458 History » Related Stories »
CHARLES RIVER LABORATORIE CRL 67,378 +1,309 $239.43 $16,132,315 History » Related Stories »
Stericycle Inc SRCL 295,294 +17,414 $49.87 $14,726,312 History » Related Stories »
HERBALIFE LTD. HLF 1,570,632 +502,868 $9.20 $14,449,815 History » Related Stories »
Scientific Games Corp SGMS 182,035 -22,371 $58.07 $10,570,773 History » Related Stories »
ZG 175,814 -22,385 $42.88 $7,538,905 History » Related Stories »
MOLINA HEALTHCARE, Inc. MOH 20,053 +6,038 $367.41 $7,367,673 History » Related Stories »
ON 99,024 -19,916 $65.53 $6,489,043 History » Related Stories »
Rentokil Initial Plc RTOKY 187,223 -31,069 $25.58 $4,789,165 History » Related Stories »
UNVR 21,691 -792,865 $36.14 $783,913 History » Related Stories »
NRG Energy NRG 9,936 +9,936 $72.61 $721,453 History » Related Stories »
Chart Industries, Inc. GTLS 4,252 +1,019 $152.95 $650,344 History » Related Stories »
BearingPoint, Inc. BE 30,246 +600 $9.64 $291,572 History » Related Stories »
Arch Capital Group Ltd ACGL Liquidated History » Related Stories »