Greenlight Capital Q2 2019

Greenlight Capital holdings Q2 2019
Name ValueChangeSharesChangeWeightingChange
GENERAL MTRS CO$225,812
-33.25%
5,860,702
-35.73%
16.66%
-30.68%
GREEN BRICK PARTNERS INC$200,426
-5.03%
24,118,6680.00%14.79%
-1.36%
AERCAP HOLDINGS NV$181,154
-6.50%
3,483,069
-16.33%
13.36%
-2.89%
BRIGHTHOUSE FINL INC$120,809
1.10%
3,292,7190.00%8.91%
5.00%
CONSOL COAL RES LP$91,492
-5.66%
5,488,4380.00%6.75%
-2.02%
CHEMOURS CONew $89,3243,721,8236.59%
ALTICE USA INCcl a$77,621
-12.13%
3,187,740
-22.49%
5.73%
-8.74%
ADIENT PLC$53,214
107.13%
2,192,587
10.61%
3.93%
115.13%
CNX RESOURCES CORPORATION$42,999
-31.05%
5,882,261
1.59%
3.17%
-28.38%
TEMPUR SEALY INTL INC$34,633
-8.93%
472,025
-28.42%
2.56%
-5.42%
SCIENTIFIC GAMES CORPNew $29,6271,494,7782.19%
HILTON GRAND VACATIONS INC$27,623
-20.05%
868,100
-22.49%
2.04%
-16.97%
MEDICINES CO$26,681
0.61%
731,600
-22.89%
1.97%
4.49%
ECHOSTAR CORPcl a$26,242
19.99%
592,100
-1.32%
1.94%
24.62%
DILLARDS INCcl aNew $24,912400,0001.84%
KAR AUCTION SVCS INCNew $22,125885,0001.63%
CONSOL ENERGY INC NEW$18,012
54.81%
676,882
99.08%
1.33%
60.78%
EXELA TECHNOLOGIES INC$17,571
-34.43%
8,022,9280.00%1.30%
-31.90%
VOYA FINL INC$17,444
-52.59%
315,446
-57.17%
1.29%
-50.76%
TEEKAY LNG PARTNERS L Pprtnrsp units$11,975
60.09%
849,274
69.85%
0.88%
66.27%
ENSCO ROWAN PLCNew $11,6201,362,2000.86%
CARS COM INCNew $4,120208,9000.30%
SEADRILL LTDSold $0-1,046,800-0.62%
ENSCO PLCSold $0-15,120,000-4.22%
Portfolio Information
QuarterQ2 2019
Total value$1,355,436,000
Holdings22
Managers
David Einhorn
Quarters
2019-06-30
$1,355,436
2019-03-31
$1,407,750
2018-12-31
$1,381,851
2018-09-30
$2,368,304
2018-06-30
$3,136,040
2018-03-31
$3,989,512
2017-12-31
$5,502,997
2017-09-30
$6,274,469
2017-06-30
$6,198,142
2017-03-31
$7,194,917
2016-12-31
$5,818,884
2016-09-30
$5,231,518
2016-06-30
$5,451,491
2016-03-31
$5,897,743
2015-12-31
$5,468,536
2015-09-30
$6,032,259
2015-06-30
$7,973,888
2015-03-31
$7,787,095
2014-12-31
$7,524,071
2014-09-30
$6,930,767
2014-06-30
$7,176,894
2014-03-31
$6,679,089
2013-12-31
$7,293,601
2013-09-30
$6,034,839
2013-06-30
$5,330,208
SEC Filings