"Our favorite holding period is forever."
- Warren Buffett
Symbol Company Shares Allocation (%)
MU Micron Technology Inc. 40,344,293 18.52
AAPL Apple Inc. 9,452,342 12.24
MRVL Marvell Technology Group Ltd. 39,579,328 7.90
SUNE SunEdison Inc. 21,303,488 6.71
CI CIGNA Corporation 3,096,230 3.97
AET Aetna Inc. 3,220,440 3.64
GDX Market Vectors Gold Miners ETF 8,653,896 3.19
LRCX Lam Research Corporation 2,640,000 2.49
OIS Oil States International Inc. 2,750,000 2.46
CONN Conn's Inc. 3,500,000 2.41
EMC EMC Corporation 5,900,000 2.17
CVEO Converse Inc. 6,154,400 2.15
CSC Computer Sciences Corporation 2,325,000 2.05
VOYA ING U.S. 4,041,368 2.05
NOV National Oilwell Varco Inc.&nbsp&#59; 1,754,147 2.01
LBTYK Liberty Global plc 3,109,080 1.83
IACI IAC/InterActiveCorp 1,879,930 1.81
AGNC American Capital Agency Corp. 5,238,308 1.71
APC Anadarko Petroleum Corporation 1,115,000 1.70
SPR Spirit AeroSystems Holdings Inc. 3,232,364 1.52
BAGL Einstein Noah Restaurant Group Inc. 6,733,469 1.51
TPX Tempur-Pedic International Inc. 1,800,000 1.50
TTWO Take - Two Interactive Software Inc. 4,800,000 1.49
DOX Amdocs Ltd 2,302,245 1.49
AER AerCap Holdings N.V. 2,225,000 1.42
URS URS Corporation 1,913,879 1.22
MDR McDermott International, Inc. 10,771,864 1.21
TIME Time Inc. 3,350,000 1.13
NQE.BE NorthStar Realty Finance Corp. 4,539,575 1.10
BP BP p.l.c. 1,480,000 1.09
CHMT Chemtura Corporation 2,921,428 1.06
LBTYA Liberty Global plc 1,246,918 0.77
BWC The Babcock & Wilcox Company 1,487,751 0.67
CHS Chico's FAS Inc. 1,875,895 0.44
TLMR Talmer Bancorp 2,306,158 0.43
VOD Vodafone Group plc 749,394 0.35
FSC Fifth Street Finance Corp. 1,998,692 0.27
BIOF BioFuel Energy Corp. 1,427,825 0.14
XON Intrexon 375,000 0.13
DSW DSW Inc. 181,574 0.07

Disclaimer: Performance data not available for professional investor profiles. Holdings reflect SEC filing information for GREENLIGHT CAPITAL INC. All data on this profile as of 6/30/2014.