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MFP Investors

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
INTEL CORP INTCCommon2,056,42536,925111,294,000-9,573,00022.570.05 Hist 03/31/2020
S&W Seed Co SANWCommon15,977,49132,47432,754,000-731,0006.6447.84 Hist 03/31/2020
Dolby Laboratories, Inc. DLBCl A543,255-54,29429,449,000-11,662,0005.97  Hist 03/31/2020
AT&T CORP TCommon572,623016,692,000-5,686,0003.39  Hist 03/31/2020
WABCO Holdings Inc. WBCCommon122,500016,544,000-55,0003.360.24 Hist 03/31/2020
WATERSTONE FINANCIAL INC WSBFCOM852,506-47,46412,395,000-4,731,0002.51  Hist 03/31/2020
Trinity Place Holdings Inc. TPHSCommon6,708,538012,210,000-7,983,0002.4820.77 Hist 03/31/2020
CIT GROUP INC CITCOM670,60050,60011,575,000-16,715,0002.350.68 Hist 03/31/2020
Atlantic Capital Bancshares, Inc. ACBICOM950,093011,278,000-6,156,0002.294.40 Hist 03/31/2020
POPULAR INC BPOPCOM NEW313,29670,79610,965,000-3,282,0002.220.35 Hist 03/31/2020
BCB BANCORP INC BCBPCOM1,020,408010,867,000-3,204,0002.205.83 Hist 03/31/2020
BANC OF CALIFORNIA, INC. BANCCOM1,337,500010,700,000-12,278,0002.172.63 Hist 03/31/2020
Investors Bancorp Inc ISBCCOM1,305,00012,50010,427,000-4,973,0002.11  Hist 03/31/2020
TAUBMAN CENTERS INC TCOCommon215,000215,0009,004,0009,004,0001.830.35 Hist 03/31/2020
FMC CORP FMCCommon92,000-1,7767,515,000-1,846,0001.520.07 Hist 03/31/2020
NI Holdings, Inc. NODKCOM528,79157,4187,170,000-938,0001.452.39 Hist 03/31/2020
VORNADO REALTY TRUST VNOSH BEN INT197,39380,3937,148,000-633,0001.45  Hist 03/31/2020
AMAZON COM INC AMZNCommon3,5001,0006,824,0002,204,0001.380.00 Hist 03/31/2020
Crimson Wine Group, Ltd CWGLCommon Stock1,113,59606,509,000-1,732,0001.324.79 Hist 03/31/2020
TEJON RANCH CO TRCCommon455,23106,401,000-874,0001.301.74 Hist 03/31/2020
SIGA TECHNOLOGIES INC SIGACmn1,205,900705,9005,764,0003,379,0001.171.48 Hist 03/31/2020
FRANKLIN RESOURCES INC BENCommon342,53046,2005,716,000-1,983,0001.160.07 Hist 03/31/2020
Columbia Financial, Inc. CLBKCommon363,695-86,3055,237,000-2,386,0001.060.32 Hist 03/31/2020
BLACKBERRY Ltd BBCOM1,268,000194,5005,237,000-1,654,0001.06  Hist 03/31/2020
Carter Bank & Trust CARECOM545,693-36,7075,009,000-8,806,0001.02  Hist 03/31/2020
Mercantil Bank Holding Corp AMTBCommon293,6019,4164,519,000-1,673,0000.92  Hist 03/31/2020
NEWS CORP NWSACL A465,00004,173,000-2,402,0000.850.08 Hist 03/31/2020
LYNCH INTERACTIVE CORP LICTCom27504,125,000-825,0000.84  Hist 03/31/2020
LEUCADIA NATIONAL CORP JEFCommon300,328-184,1724,105,000-6,249,0000.830.10 Hist 03/31/2020
MERCANTILE BANKSHARES CORP MRBKCOMMON299,890-3004,102,000-1,959,0000.83  Hist 03/31/2020
FLIR SYSTEMS INC FLIRCommon126,936123,1144,048,0003,849,0000.820.09 Hist 03/31/2020
Advanced Emissions Solutions, Inc. ADESCommon614,852-185,1484,040,000-4,360,0000.823.35 Hist 03/31/2020
FMC TECHNOLOGIES INC FTICOM547,500225,3003,690,000-3,218,0000.75  Hist 03/31/2020
Alphabet Inc. GOOGLCOM3,00003,486,000-532,0000.710.00 Hist 03/31/2020
TIFFANY & CO TIFCommon25,000-132,5003,238,000-17,812,0000.660.02 Hist 03/31/2020
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