Carl Icahn Holdings Activity

Icahn Capital Management Portfolio 13F

Icahn Capital Management has disclosed a total of 4 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 1, bought 1 totally new, decreased the number of shares of 1 and completely sold out 1 position(s).

What stocks is Carl Icahn buying now?

In the recent quarter Carl Icahn has purchased 2 securities: (IEP) ICAHN ENTERPRISES LP (added shares +4.86%) and (AEP) AMERICAN ELECTRIC POWER (new buy).

What does Carl Icahn invest in?

Carl Icahn's top 5 holdings (by % of portfolio) are (IEP) ICAHN ENTERPRISES LP (57.94%), (CVI) CVR ENERGY INC (18.52%), (SWX) SOUTHWEST GAS HOLDINGS INC (6.4%), (OXY.WS) OCCIDENTAL PETROLEUM-CW27 (5.88%) and (BHC) BAUSCH HEALTH COS INC (2.55%).

In the latest report(s) the following change has been made to the top investments: (IEP) ICAHN ENTERPRISES LP (added shares +4.86%).

2018 Q3 (7 results)
DVMT
+269.73%
+6,430,470
+2.48%
$97.12
-
0.00%
NWL
+16.24%
+5,406,987
+0.44%
$20.30
60.15% $8.09
3.12%
IEP
+2.64%
+4,400,450
+1.23%
$70.72
74.58% $17.98
47.90%
EGN
+47.54%
+2,470,261
+0.84%
$86.17
-
0.00%
LNG
-1.27%
-300,000
-0.08%
$69.49
126.03% $157.07
6.44%
9999945D
-100.00%
-503,380
-0.34%
$169.95
-
0.00%
VMW
-81.48%
-1,853,644
-1.15%
$156.06
8.70% $142.48
0.00%
2018 Q2 (9 results)
AFSI
buy
+18,418,732
+1.11%
$14.57
-
1.11%
IEP
+5.38%
+8,494,768
+2.50%
$71.06
74.70% $17.98
48.97%
EGN
buy
+5,196,121
+1.57%
$72.82
-
1.57%
NWL
+9.95%
+3,013,222
+0.32%
$25.79
68.63% $8.09
3.56%
DVMT
buy
+2,384,002
+0.84%
$84.58
-
0.84%
VMW
buy
+2,275,069
+1.38%
$146.97
3.06% $142.48
1.38%
9999945D
buy
+503,380
+0.35%
$169.95
-
0.00%
LNG
-27.54%
-9,000,000
-2.43%
$65.19
140.94% $157.07
6.39%
HLF
-22.99%
-10,516,744
-2.34%
$53.72
80.21% $10.63
7.84%
2018 Q1 (6 results)
NWL
buy
+30,279,791
+3.83%
$25.48
68.25% $8.09
3.83%
MTW
-36.27%
-959,581
-0.14%
$28.46
56.92% $12.26
0.24%
9991234D
-5.26%
-1,301,415
-0.19%
$28.78
-
3.35%
PYPL
-100.00%
-8,000,000
-2.93%
$73.62
14.52% $62.93
0.00%
FCX
-34.99%
-26,994,081
-2.36%
$17.57
193.63% $51.59
4.38%
AIG
-100.00%
-42,978,619
-12.73%
$59.58
34.46% $80.11
0.00%
2017 Q4 (8 results)
9991234D
buy
+24,757,502
+3.18%
$29.15
-
3.18%
SD
buy
+4,818,832
+0.45%
$21.07
35.74% $13.54
0.45%
IEP
+2.88%
+4,412,903
+1.03%
$53.00
66.08% $17.98
36.93%
MTW
buy
+2,645,657
+0.46%
$39.34
68.84% $12.26
0.46%
WBT
-4.72%
-500,000
-0.05%
$23.51
2.13% $24.01
1.05%
PYPL
-20.00%
-2,000,000
-0.65%
$73.62
14.52% $62.93
0.00%
MTW
-100.00%
-2,645,665
-0.42%
$36.00
65.94% $12.26
0.00%
XRX
-100.00%
-24,757,502
-3.64%
$33.29
59.33% $13.54
0.00%
2017 Q3 (4 results)
IEP
+2.82%
+4,209,625
+1.09%
$54.86
67.23% $17.98
39.62%
HRI
+4.22%
+181,929
+0.04%
$49.13
218.52% $156.49
1.04%
AIG
-0.05%
-21,381
-0.01%
$61.39
30.49% $80.11
12.42%
FCX
-15.76%
-14,432,505
-0.95%
$14.04
267.45% $51.59
5.10%
2017 Q2 (5 results)
IEP
+6.23%
+8,751,899
+2.31%
$51.66
65.20% $17.98
39.44%
FCX
+0.39%
+351,644
+0.02%
$12.01
329.56% $51.59
5.63%
XRX
-0.00%
-5
-0.00%
$28.73
52.87% $13.54
3.64%
AIG
-5.79%
-2,644,982
-0.85%
$62.52
28.13% $80.11
13.75%
PYPL
-68.33%
-21,574,653
-5.92%
$53.67
17.25% $62.93
2.74%
2017 Q1 (10 results)
CNDT
buy
+19,806,000
+1.67%
$16.78
77.95% $3.70
1.67%
WBT
buy
+10,582,660
+1.04%
$19.63
22.31% $24.01
1.04%
IEP
+6.71%
+8,835,117
+2.27%
$51.24
64.91% $17.98
36.12%
HLF
+1.65%
+744,648
+0.11%
$29.07
63.43% $10.63
6.67%
NAV
+2.81%
+457,436
+0.06%
$24.62
80.75% $44.50
2.07%
AGN
-100.00%
-425,438
-0.45%
$210.01
-
0.00%
PYPL
-5.46%
-1,822,500
-0.39%
$43.02
46.28% $62.93
6.81%
MFS
-100.00%
-10,582,660
-1.03%
$19.33
-
0.00%
NUAN
-100.00%
-18,378,097
-1.37%
$14.90
275.77% $55.99
0.00%
FDML
-100.00%
-138,590,141
-7.17%
$10.31
-
0.00%
49 of 296

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.