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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ICAHN ENTERPRISES L.P. IEPDEPOSITARY UNIT175,441,5884,647,78810,014,206,000-2,064,332,00012/31/2018
CVR ENERGY INC CVICommon71,198,71802,454,932,000-408,680,00012/31/2018
HERBALIFE LTD. HLFCommon35,227,90402,076,685,000155,002,00012/31/2018
CVR Refining, LP CVRRCommon147,600,000141,850,0001,548,324,0001,435,049,00001/29/2019
CHENIERE ENERGY INC LNGCommon23,380,49001,383,891,000-240,819,00012/31/2018
NEWELL BRANDS INC NWLCommon41,119,4152,419,415764,410,000-21,200,00012/31/2018
XEROX CORP XRXcommon23,456,0870738,397,619274,905,61902/25/2019
Diamondback Energy, Inc. FANGCOM6,227,0786,227,078577,250,000577,250,00012/31/2018
FREEPORT-MCMORAN INC FCXCommon50,161,3540517,164,000-181,082,00012/31/2018
DELL INC DELLCommon10,900,01710,900,017504,888,787504,888,78701/07/2019
NAVISTAR INTERNATIONAL CORP NAVZCommon16,729,9600434,142,000-209,962,00012/31/2018
Hertz Rental Car Holding Company, Inc. HTZCOM29,263,8690399,451,000-78,428,00012/31/2018
CONDUENT Inc CNDTCOM19,806,0000210,538,000-235,493,00012/31/2018
TENNECO INC TENCommon5,651,1770154,786,000-82,506,92212/31/2018
HERC HOLDINGS INC HRICOM4,494,7890116,820,000-113,314,00012/31/2018
Manitowoc Foodservice, Inc. WBTCOM10,082,6600112,019,000-98,507,00012/31/2018
SANDRIDGE ENERGY INC SDCommon4,818,832036,671,000-15,710,00012/31/2018
MANITOWOC CO INC MTWCommon Stock1,601,169-84,90723,649,000-16,800,00012/31/2018
Dell Technologies Inc DVMTCOM0-8,814,4720-856,062,00012/31/2018
ENERGEN CORP EGNCommon0-7,666,3820-660,612,00012/31/2018
American Railcar Industries, Inc. ARIICommon0-11,871,2680-547,265,00012/31/2018
Amtrust Financial Services, Inc. AFSICommon0-18,418,7320-267,440,00012/31/2018
VMWARE, INC. VMWCl A0-421,4250-65,768,00012/31/2018
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