MHR Fund Management - NAVISTAR INTL CORP NEW ownership

NAVISTAR INTL CORP NEW's ticker is NAV and the CUSIP is 63934E108. A total of 2 filers reported holding NAVISTAR INTL CORP NEW in Q3 2023. The put-call ratio across all filers is - and the average weighting 0.0%.

Quarter-by-quarter ownership
MHR Fund Management ownership history of NAVISTAR INTL CORP NEW
ValueSharesWeighting
Q1 2021$714,387,000
+0.2%
16,225,0000.0%44.26%
-18.9%
Q4 2020$713,251,000
+1.0%
16,225,0000.0%54.54%
-3.2%
Q3 2020$706,437,000
+54.4%
16,225,0000.0%56.32%
+14.2%
Q2 2020$457,545,000
+71.0%
16,225,0000.0%49.30%
+21.3%
Q1 2020$267,550,000
-43.0%
16,225,0000.0%40.63%
+3.6%
Q4 2019$469,552,000
+3.0%
16,225,0000.0%39.21%
+1.5%
Q3 2019$456,085,000
-18.4%
16,225,0000.0%38.64%
-8.1%
Q2 2019$558,951,000
+6.7%
16,225,0000.0%42.06%
+14.4%
Q1 2019$524,068,000
+24.5%
16,225,0000.0%36.76%
+15.3%
Q4 2018$421,039,000
-32.6%
16,225,0000.0%31.88%
-4.2%
Q3 2018$624,663,000
-5.5%
16,225,0000.0%33.28%
-4.5%
Q2 2018$660,682,000
+16.4%
16,225,0000.0%34.85%
+14.8%
Q1 2018$567,388,000
-18.4%
16,225,0000.0%30.35%
-2.6%
Q4 2017$695,728,000
-2.7%
16,225,0000.0%31.14%
-1.3%
Q3 2017$715,036,000
+68.0%
16,225,0000.0%31.56%
+29.9%
Q2 2017$425,582,000
+6.5%
16,225,0000.0%24.31%
-0.6%
Q1 2017$399,460,000
-21.5%
16,225,0000.0%24.44%
-14.9%
Q4 2016$508,978,000
+37.0%
16,225,0000.0%28.72%
+9.4%
Q3 2016$371,390,000
+95.8%
16,225,0000.0%26.25%
+62.9%
Q2 2016$189,670,000
-6.6%
16,225,0000.0%16.12%
-2.0%
Q1 2016$203,137,000
+41.6%
16,225,0000.0%16.45%
+73.1%
Q4 2015$143,429,000
-30.5%
16,225,0000.0%9.50%
-1.8%
Q3 2015$206,382,000
-40.9%
16,225,000
+5.2%
9.68%
-31.4%
Q2 2015$349,068,000
-18.4%
15,425,000
+6.4%
14.12%
-6.5%
Q1 2015$427,750,000
-11.9%
14,500,0000.0%15.10%
-10.3%
Q4 2014$485,460,000
+5.5%
14,500,000
+3.7%
16.83%
+6.5%
Q3 2014$460,238,000
-12.2%
13,984,7530.0%15.81%
-13.6%
Q2 2014$524,149,000
+18.4%
13,984,753
+7.0%
18.31%
+10.3%
Q1 2014$442,782,000
-11.3%
13,072,9790.0%16.60%
+16.7%
Q4 2013$499,257,000
+4.7%
13,072,9790.0%14.22%
+10.3%
Q3 2013$476,902,000
+43.2%
13,072,979
+8.9%
12.89%
+12.2%
Q2 2013$333,120,00012,000,00011.49%
Other shareholders
NAVISTAR INTL CORP NEW shareholders Q3 2023
NameSharesValueWeighting ↓
MHR Fund Management 16,225,000$624,663,00033.28%
1060 Capital, LLC 200,000$7,700,0003.61%
Pomelo Capital LLC 976,500$37,595,0003.61%
Icahn Capital 16,729,960$644,104,0002.55%
Point72 Europe (London) LLP 63,605$2,449,0002.12%
Blue Rock Advisors, LLC 28,493$1,097,0001.62%
Ardevora Asset Management LLP 895,242$34,467,0000.96%
PACIFIC GLOBAL INVESTMENT MANAGEMENT CO 118,695$4,570,0000.94%
GABELLI FUNDS LLC 2,717,600$104,628,0000.60%
Myriad Asset Management Ltd. 99,300$3,823,0000.55%
View complete list of NAVISTAR INTL CORP NEW shareholders