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  Name: MHR FUND MANAGEMENT LLC
  City: NEW YORK
  State: NY
  Zip: 10022
   
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Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $915,185,000
  Total Value Change : $99,470,000
  Securities Held Change : 0
   
All Securities Held : 10
  New Positions : 0
  Closed Positions : 0
  Increased Positions : 0
  Unchanged Positions : 10
  Decreased Positions : 0

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Holdings Found : 10     View All Holdings Currently Viewing:  ALL     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (LGF.A)1 Year Chart         LGF.A Lions Gate Entertainment Corp 1 - $10.39 $219,392,000 20,127,661 23.97% 48,709,000 0 24.247    Movie Production & Di...
   (TSAT)1 Year Chart         TSAT Telesat Class B Variable Vo... 2 - $0.00 $188,106,000 18,035,092 20.55% -69,796,000 0 40.078    N/A
   (IOVA)1 Year Chart         IOVA Iovance Biotherapeutics Inc 3 - $11.64 $162,576,000 19,997,103 17.76% 71,589,000 0 9.35    N/A
   (STRZB)1 Year Chart         STRZB Starz Class B 4 - $9.65 $153,925,000 15,105,523 16.82% 35,045,000 0 1.372    Entertainment - Diver...
   (TWI)1 Year Chart         TWI Titan International Inc 5 - $11.55 $119,114,000 8,005,000 13.02% 11,607,000 0 13.14    Steel & Iron
   (APO)1 Year Chart         APO Apollo Global Management LLC 6 - $112.22 $63,276,000 679,000 6.91% 2,329,000 0 0.113    Diversified Investments
   (SCHL)1 Year Chart         SCHL Scholastic Corp 7 - $36.42 $4,901,000 130,000 0.54% -57,000 0 0.399    Publishing
   (MSG)1 Year Chart         MSG Madison Square Garden Co 8 - $186.78 $2,728,000 15,001 0.3% 83,000 0 0.008    N/A
   (DVAX)1 Year Chart         DVAX Dynavax Technologies Corp 9 - $11.21 $622,000 44,499 0.07% -35,000 0 0.033    Drug Manufacturers - ...
   (ATUS)1 Year Chart         ATUS Altice USA Inc 10 - $2.05 $545,000 167,800 0.06% -4,000 0 0.029    N/A

      10 Records Found
  1    
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