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GOLDMAN SACHS ASSET MANAGEMENT, L.P.

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
PIONEER NATURAL RESOURCES CO PXDCommon2,864,060-9,842,689360,327,389-982,140,643   Hist 02/28/2013
URBAN OUTFITTERS INC URBNCommon254,997-15,562,47910,332,478-408,830,636   Hist 02/28/2013
LABORATORY CORP OF AMERICA HOLDINGS LHCommon45,814-6,061,9443,428,720-389,971,973   Hist 12/31/2009
BROADCOM CORP BRCMCl A9,171,377-13,513,795399,413,468-314,488,894   Hist 12/31/2010
DISH Network CORP DISHCommon8,544,281-16,514,118206,515,272-286,132,853   Hist 10/31/2011
TRI Resources Inc. TRGPCOM9,008,645-2,734,900324,491,393-244,131,056   Hist 12/31/2018
Match Group, Inc. IACCOM PAR $.001521,191-11,964,82412,915,113-223,570,011   Hist 08/31/2010
RANGE RESOURCES CORP RRCCommon1,965,489-6,795,59397,979,627-203,313,983   Hist 12/31/2009
DRIL-QUIP INC DRQCommon1,474,999-2,643,20864,929,456-160,418,831   Hist 06/30/2010
EQM Midstream Partners, LP EQMUNIT LTD PARTN5,050,938-1,383,354151,073,556-127,209,573   Hist 12/31/2019
Pebblebrook Hotel Trust PEBCOM4,078,959-1,496,291115,475,329-91,756,713   Hist 12/31/2018
OIL STATES INTERNATIONAL, INC OISCommon493,799-2,630,78231,647,578-91,117,210   Hist 12/31/2010
Terreno Realty Corp TRNOREIT193,663-2,644,9826,789,825-74,083,171   Hist 12/31/2017
AMYLIN PHARMACEUTICALS INC AMLNCommon7,048,729-7,903,82188,813,985-73,421,182   Hist 08/31/2009
Viper Energy Partners LP VNOMCommon2,077,482-2,354,21244,271,141-65,014,433   Hist 12/31/2021
Chesapeake Lodging Trust CHSPSTOCK5,987,450-1,086,622145,794,408-45,842,203   Hist 12/31/2018
TESSERA TECHNOLOGIES INC TSRACommon8,580-3,024,018201,458-35,825,806   Hist 05/29/2009
AMERICAN GREETINGS CORP AMCommon9,267,930-416,436269,140,687-29,912,535   Hist 12/31/2017
Simply Good Foods Co SMPLCommon2,622,725-2,691,90649,569,503-26,217,136   Hist 12/31/2018
Granite Point Mortgage Trust Inc. GPMTCommon1,858,015-1,261,51633,500,010-21,840,469   Hist 12/31/2018
PTC INC. PMTCCommon4,681,948-3,049,039105,484,288-20,840,039   Hist 12/31/2010
Enviva Inc. EVACOM343,100-562,8889,521,025-15,529,543   Hist 12/31/2018
ENTRAVISION COMMUNICATIONS CORP EVCCL A6,458,394-2,869,9291,679,182-12,873,001   Hist 03/31/2009
IMPERIAL SUGAR CO /NEW/ IPSUCOM44,281-799,494772,261-11,327,473   Hist 12/31/2009
CSI Compressco LP CCLPCOM UNIT3,282,132-39,0327,614,546-10,552,221   Hist 12/31/2018
PARKWAY PROPERTIES INC PKYCommon1,593,196-101,97527,912,794-7,380,666   Hist 12/31/2010
EPR PROPERTIES EPRCommon1,892,578-773,08087,531,733-6,486,025   Hist 12/31/2010
Sprague Resources LP SRLPCOM901,829-293,50615,258,947-2,061,457   Hist 12/31/2019
SOUTHCOAST FINANCIAL CORP SOCBCommon396,215-1741,362,980-293,926   Hist 12/31/2009
AIRTRAN HOLDINGS INC AAICommon6,725,597-524,08535,107,6162,919,028   Hist 12/31/2009
CrossAmerica Partners LP CAPLCOM1,709,105-70,96830,849,3455,643,512   Hist 12/31/2019
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