David Einhorn Holdings Activity

Greenlight Capital Portfolio 13F

Greenlight Capital has disclosed a total of 37 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 20, bought 7 totally new, decreased the number of shares of 4 and completely sold out 6 position(s).

What stocks is David Einhorn buying now?

In the recent quarter David Einhorn has bought 27 securities out of which top 5 purchases (by % change to portfolio) are (ALIT) ALIGHT INC - CLASS A (new buy), (VTRSV) VIATRIS INC-W/I (new buy), (THC) TENET HEALTHCARE CORP (added shares +44.33%), (AER) AERCAP HOLDINGS NV (new buy) and (XAR) SPDR S&P AEROSPACE & DEF ETF (new buy).

What does David Einhorn invest in?

David Einhorn's top 5 holdings (by % of portfolio) are (GRBK) GREEN BRICK PARTNERS INC (28.92%), (CEIX) CONSOL ENERGY INC (10.34%), (BHF) BRIGHTHOUSE FINANCIAL INC (7.86%), (KD) KYNDRYL HOLDINGS INC (6.45%) and (THC) TENET HEALTHCARE CORP (4.86%).

In the latest report(s) the following changes have been made to the top investments: (GRBK) GREEN BRICK PARTNERS INC (reduced shares -7.6%), (CEIX) CONSOL ENERGY INC (reduced shares -12.42%), (BHF) BRIGHTHOUSE FINANCIAL INC (reduced shares -3.15%), (KD) KYNDRYL HOLDINGS INC (added shares +13.74%) and (THC) TENET HEALTHCARE CORP (added shares +44.33%).

2022 Q4 (30 results)
GLD
-16.17%
-37,792
-0.48%
$169.64
28.56% $218.09
2.46%
CNXC
-13.08%
-14,446
-0.13%
$133.16
51.61% $64.44
0.89%
GPN
+73.16%
+199,910
+1.38%
$99.32
10.94% $110.19
3.26%
GPOR
buy
+125,500
+0.64%
$73.64
105.99% $151.69
0.64%
CEIX
+5.83%
+55,405
+0.45%
$65.00
34.03% $87.12
8.17%
CIVI
+65.84%
+104,412
+0.74%
$57.93
32.37% $76.68
1.85%
CPRI
-4.37%
-43,200
-0.17%
$57.32
36.85% $36.20
3.76%
LIVN
+3.20%
+25,480
+0.10%
$55.54
10.60% $61.43
3.23%
BHF
-4.37%
-145,950
-0.52%
$51.27
10.22% $46.03
11.36%
WFRD
-22.58%
-151,544
-0.60%
$50.92
144.42% $124.46
2.06%
THC
buy
+606,188
+2.23%
$48.79
163.50% $128.56
2.23%
ODP
-2.44%
-41,320
-0.13%
$45.54
9.49% $41.22
5.21%
GLPG
+6.13%
+4,709
+0.03%
$44.38
35.49% $28.63
0.48%
TWTR
-100.00%
-4,288,500
-13.03%
$43.84
22.49% $53.70
0.00%
TECK
+3.34%
+72,320
+0.19%
$37.82
38.92% $52.54
5.86%
VSCO
-39.96%
-273,610
-0.68%
$35.78
38.26% $22.09
0.00%
RIVN
-100.00%
-67,456
-0.17%
$32.92
66.01% $11.19
0.00%
CHNG
-100.00%
-801,701
-1.53%
$27.49
0.00% $27.49
0.00%
INTC
-100.00%
-715,000
-1.28%
$25.77
20.49% $31.05
0.00%
GPK
+28.28%
+120,054
+0.36%
$22.25
28.00% $28.48
1.65%
SLV
-2.18%
-33,820
-0.05%
$22.02
18.66% $26.13
2.33%
CNX
-2.94%
-6,550
-0.01%
$16.84
43.65% $24.19
0.00%
REZI
-5.87%
-92,220
-0.11%
$16.45
33.07% $21.89
1.69%
NWS
-100.00%
-361,291
-0.39%
$15.42
71.18% $26.40
0.00%
KD
+24.21%
+1,755,560
+1.35%
$11.12
149.55% $27.75
6.94%
FNKO
buy
+521,500
+0.39%
$10.91
22.18% $8.49
0.00%
SWN
+47.38%
+2,890,550
+1.17%
$5.85
28.03% $7.49
3.65%
GPRO
-1.19%
-32,060
-0.01%
$4.98
64.46% $1.77
0.92%
COYA
buy
+392,444
+0.13%
$4.74
74.12% $8.25
0.13%
DNMR
+16.89%
+325,060
+0.04%
$1.79
54.19% $0.82
0.28%
30 of 1,460

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.