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CHUBB CORP

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Gen Digital Inc. SYMCCommon700,000-350,00014,700,000-11,288,0001.18  Hist 12/31/2015
COCA-COLA REFRESHMENTS USA, INC. CCEcommon500,000-200,00024,620,000-3,527,0001.98  Hist 12/31/2015
Avery Dennison Corp AVYCommon300,000-200,00018,798,000-2,962,0001.52  Hist 12/31/2015
UNITEDHEALTH GROUP INC UNHCommon200,000-150,00023,528,000-1,536,0001.90  Hist 12/31/2015
BURLINGTON RESOURCES INC BRCommon400,000-150,00021,492,0004,029,0001.73  Hist 12/31/2015
BOSTON SCIENTIFIC CORP BSXCommon1,500,000-400,00027,660,0005,354,0002.23  Hist 12/31/2015
NEWELL BRANDS INC. NWLCommon700,000-200,00030,856,0006,106,0002.49  Hist 12/31/2015
HISTORIC LIFEPOINT HOSPITALS, INC LPNTCommon341,190-58,81025,043,0006,391,0002.02  Hist 12/31/2015
DELTA AIR LINES, INC. DALCommon800,000-400,00040,551,00012,243,0003.270.10 Hist 12/31/2015
TYSON FOODS, INC. TSNCommon800,000-200,00042,664,00014,384,0003.44  Hist 12/31/2015
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