Alpine Associates Management

Alpine Associates Management as of Dec. 31, 2018

Portfolio Holdings for Alpine Associates Management

Alpine Associates Management holds 50 positions in its portfolio as reported in the December 2018 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Vectren Corporation 6.2 $150M 2.1M 71.98
Randgold Resources 5.0 $121M 8.9M 13.54
Twenty-first Century Fox 5.0 $120M 2.5M 48.12
Aspen Insurance Holdings 4.9 $118M 2.8M 41.99
Red Hat 4.7 $112M 639k 175.64
Arris 4.6 $111M 3.6M 30.57
Orbotech Ltd Com Stk 4.5 $108M 1.9M 56.54
Integrated Device Technology 4.5 $108M 2.2M 48.43
L3 Technologies 4.4 $106M 609k 173.66
Finisar Corporation 3.6 $86M 4.0M 21.60
Esterline Technologies Corporation 3.4 $82M 671k 121.45
Dun & Bradstreet Corporation 3.3 $80M 562k 142.74
Travelport Worldwide 3.0 $73M 4.6M 15.62
NxStage Medical 2.9 $70M 2.4M 28.62
USG Corporation 2.8 $67M 1.6M 42.66
Sprint 2.6 $63M 11M 5.82
athenahealth 2.5 $60M 452k 131.93
Tesaro 2.4 $57M 773k 74.25
Walt Disney Company (DIS) 2.4 $57M 517k 109.65
Imperva 2.2 $53M 951k 55.69
NutriSystem 2.1 $51M 1.2M 43.88
Apptio Inc cl a 2.1 $50M 1.3M 37.96
Belmond 1.9 $46M 1.8M 25.03
Infrareit 1.9 $45M 2.1M 21.02
Mindbody 1.8 $44M 1.2M 36.40
SCANA Corporation 1.8 $44M 909k 47.78
Sendgrid 1.6 $40M 918k 43.17
Pacific Biosciences of California (PACB) 1.3 $32M 4.3M 7.40
Fcb Financial Holdings-cl A 1.3 $30M 897k 33.58
Pandora Media 1.1 $26M 3.2M 8.09
Nexeo Solutions 1.0 $25M 2.9M 8.59
Cigna Corp (CI) 0.8 $19M 100k 189.92
MB Financial 0.7 $17M 431k 39.63
Convergeone Hldgs Inc Com Cl A 0.6 $15M 1.2M 12.38
SELECT INCOME REIT COM SH BEN int 0.6 $14M 1.9M 7.36
Engility Hldgs 0.6 $14M 492k 28.46
Penn Va 0.5 $13M 241k 54.06
Wildhorse Resource Dev Corp 0.5 $13M 886k 14.11
Newfield Exploration 0.4 $11M 716k 14.66
Ikang Healthcare Group- 0.4 $11M 518k 20.38
State Street Bank Financial 0.4 $10M 466k 21.59
Ensco Plc Shs Class A 0.4 $9.2M 2.6M 3.56
Hortonworks 0.3 $7.8M 538k 14.42
Dell Technologies (DELL) 0.3 $6.4M 130k 48.87
Encana Corp 0.1 $2.6M 454k 5.78
Caesars Entertainment 0.1 $2.5M 375k 6.79
Sirius Xm Holdings (SIRI) 0.1 $2.7M 480k 5.71
Industrial Logistics pfds, reits (ILPT) 0.1 $2.0M 99k 19.67
Denbury Resources 0.0 $611k 357k 1.71
Community Health Sys Inc New right 01/27/2016 0.0 $0 3.9M 0.00