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Iridian Asset Management LLC/CT

All holdings · as of Mar 31, 2026

42 positions

CompanyClassValueShares% of portfolio
HERBALIFE LTD$23.87M1,621,6189.7%
ACV Auctions Inc.$22.05M5,200,5098.9%
Hilton Grand Vacations Inc.$18.98M485,2007.7%
Post Holdings, Inc.$17.99M181,9697.3%
LITHIA MOTORS INC$16.38M65,5876.6%
PRECIGEN, INC.$13.90M3,592,7305.6%
Travel + Leisure Co$13.63M196,9535.5%
Axsome Therapeutics, Inc.$11.41M67,4914.6%
Element Solutions Inc$8.07M236,3423.3%
BILL Holdings Inc$7.61M198,7453.1%
Katapult Holdings, Inc.KPLTCommon Stock$6.33M897,1172.6%
Elevance Health Inc$6.33M21,6252.6%
RENTOKIL INITIAL PLC$5.94M188,8152.4%
LPL Financial Holdings Inc.$5.87M19,5182.4%
ON Semiconductor Corp$5.44M87,8782.2%
Nuvectis Pharma, Inc.NVCTCommon Stock$5.04M651,7572.0%
NATIONAL ENERGY SERVICES REU$5.03M234,4762.0%
FLEX LTD.$4.79M73,2161.9%
CROWN HOLDINGS, INC.$4.77M47,5361.9%
CLARIVATE PLC$4.52M1,787,9431.8%
BellRing Brands Inc$3.59M222,9451.5%
Gen Digital Inc.$3.56M189,3231.4%
Energizer Holdings, Inc.$3.38M205,7611.4%
Baker Hughes Co$3.01M49,3201.2%
KKR & Co. Inc.$2.90M31,3631.2%
SLB LIMITED/NV$2.72M52,9501.1%
TG Therapeutics Inc$2.50M75,2891.0%
Intercontinental Exchange, Inc.$2.44M15,5151.0%
NEKTAR THERAPEUTICS$2.25M31,3200.9%
Restaurant Brands International Inc.QSRCommon Stock$2.20M29,8190.9%
BALL Corp$2.07M35,0760.8%
CHARLES RIVER LABS INTL INC$1.70M9,8450.7%
Molina Healthcare Inc$1.04M7,8300.4%
Clear Secure, Inc.$1.04M21,4780.4%
RH$848.3K6,0670.3%
LABCORP HOLDINGS INC.$754.3K2,8270.3%
ZILLOW GROUP, INC.$746.5K18,0400.3%
Amrize Ltd$698.0K12,4590.3%
DigitalBridge Group, Inc.$609.4K39,5180.2%
Elicio Therapeutics, Inc.ELTXCommon Stock$321.2K30,0510.1%
BRIACELL THERAPEUTICS CORP$272.4K65,0000.1%
BRIACELL THERAPEUTICS CORP$67.0K65,0000.0%
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