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Greenlight Capital Inc 13F filings

Manager(s): David Einhorn

Holdings as of 2020-09-30

Filed on 2020-11-16 under CIK 1079114

Company name, stock class and CUSIPValue (x$1000) SharesOther manager(s)
GREEN BRICK PARTNERS INC
COM 392709101
$388,310 24,118,668 sh 
BRIGHTHOUSE FINL INC
COM 10922N103
$97,962 3,640,332 sh 
ATLAS AIR WORLDWIDE HLDGS IN
COM NEW 049164205
$91,724$30,7191,506,145 sh88,400 sh
6%
Change Healthcare, Inc.
COM 15912K100
$76,810$16,7985,293,505 sh-64,700 sh
-1%
AERCAP HOLDINGS NV
SHS N00985106
$75,889-$32,4973,012,680 sh-506,328 sh
-14%
SPDR GOLD TRUST
GOLD SHS 78463V107
$67,093$56,733378,800 sh316,900 sh
512%
CHEMOURS CO
COM 163851108
$63,713$11,5853,046,949 sh-349,000 sh
-10%
SYNNEX CORPORATION
COM 87162W100
$38,264$38,264273,200 sh273,200 sh
NEW
VANECK VECTORS ETF TRUST
GOLD MINERS ETF 92189F106
$37,950-$29,288969,100 sh-864,000 sh
-47%
TECK RESOURCES LTD
CL B 878742204
$31,442$6,4602,258,800 sh-138,700 sh
-6%
NCR CORP
COM 62886E108
$31,068$31,0681,403,249 sh1,403,249 sh
NEW
CNX RESOURCES CORPORATION
COM 12653C108
$26,524$2202,809,685 sh-231,200 sh
-8%
RESIDEO TECHNOLOGIES INC
COM 76118Y104
$23,909$1,1172,173,500 sh228,800 sh
12%
TWITTER INC
COM 90184L102
$21,694$21,694487,500 sh487,500 sh
NEW
CONSOL COAL RES LP
COM UNIT 20855T100
$18,277 5,488,438 sh 
CROWN HOLDINGS INC
COM 228368106
$16,410 213,500 sh 
JACK IN THE BOX INC
COM 466367109
$15,981$1,867201,500 sh11,000 sh
6%
INTEL CORP
COM 458140100
$15,533$15,533300,000 sh300,000 sh
NEW
NEUBASE THERAPEUTICS INC
COM 64132K102
$15,386-$1,3252,027,027 sh123,800 sh
7%
Tesla Inc
cs 88160R101
$13,943$6,924Put options for
32,500 sh
26,000 sh
400%
INGREDION INC
COM 457187102
$12,465$12,465164,700 sh164,700 sh
NEW
API GROUP CORP
COM STK 00187Y100
$9,122$334641,070 sh-82,300 sh
-11%
DILLARDS INC
CL A 254067101
$7,303$7,303200,000 sh200,000 sh
NEW
AMERCO
COM 023586100
$5,140$5,14014,439 sh14,439 sh
NEW
PVH CORP
COM 693656100
$4,390 73,600 sh 
INTERCEPT PHARMACEUTICALS IN
COM 45845P108
$4,146$4,146100,000 sh100,000 sh
NEW
GRAHAM HLDGS CO
COM 384637104
$3,435$3,4358,500 sh8,500 sh
NEW
PANACEA ACQUISITION CORP
CL A 698102100
$3,359$3,359300,000 sh300,000 sh
NEW
CRYOLIFE INC
COM 228903100
$1,856$1,856100,527 sh100,527 sh
NEW
KENNEDY-WILSON HLDGS INC
COM 489398107
$1,815$1,815125,000 sh125,000 sh
NEW
VAPOTHERM INC
COM 922107107
$1,450$1,45050,000 sh50,000 sh
NEW
MEDICINOVA INC
COM NEW 58468P206
$969$969185,000 sh185,000 sh
NEW
REINVENT TECHNOLOGY PARTNERS UNT
COM G7483N111
$575$57550,000 sh50,000 sh
NEW
AMARIN CORP PLC
SPONS ADR NEW 023111206
$421$421100,000 sh100,000 sh
NEW
GULFPORT ENERGY CORP
COM NEW 402635304
$344-$1,082653,951 sh-653,952 sh
-50%
PANACEA ACQUISITION CORP
*W EXP 07/07/202 698102118
$235$235100,000 sh100,000 sh
NEW
TEMPUR SEALY INTL INC COM
COM 88023U101
$0-$4,9860 sh-69,300 sh
-100%
ECHOSTAR CORP
CL A 278768106
$0-$4,7540 sh-170,039 sh
-100%
WHIRLPOOL CORP
COM 963320106
$0-$3,7310 sh-28,800 sh
-100%
EXELA TECHNOLOGIES INC
COM 30162V102
$0-$5760 sh-1,038,129 sh
-100%