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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ICAHN ENTERPRISES L.P. IEPDEP UNIT162,442,428162,442,42810,040,566,47510,040,566,47504/16/2018
ICAHN ENTERPRISES L.P. IEPDEPOSITARY UNIT157,898,58209,006,534,000637,910,00003/31/2018
HERBALIFE LTD. HLFCommon22,872,32402,229,365,000680,451,00003/31/2018
CVR ENERGY INC CVICommon71,198,71802,151,625,000-499,815,00003/31/2018
CHENIERE ENERGY INC LNGCommon32,680,49001,746,772,000-12,746,00003/31/2018
FREEPORT-MCMORAN INC FCXCommon50,161,354-26,994,081881,335,000-581,532,00003/31/2018
NEWELL BRANDS INC NWLCommon30,279,79130,279,791771,529,000771,529,00003/31/2018
XEROX CORP XRXcommon23,456,0870707,670,14532,604,14505/13/2018
NAVISTAR INTERNATIONAL CORP NAVZCommon16,729,9600585,046,000-132,335,00003/31/2018
Hertz Rental Car Holding Company, Inc. HTZCOM29,263,8690580,888,000-65,843,00003/31/2018
American Railcar Industries, Inc. ARIICommon11,871,2680444,104,000-50,216,00003/31/2018
CONDUENT Inc CNDTCOM19,806,0000369,184,00049,119,00003/31/2018
HERC HOLDINGS INC HRICOM4,494,7890291,936,00010,517,00003/31/2018
Manitowoc Foodservice, Inc. WBTCOM10,082,6600196,108,000-40,936,00003/31/2018
CVR Refining, LP CVRRCommon5,750,000075,038,000-20,125,00003/31/2018
SANDRIDGE ENERGY INC SDCommon4,818,832069,921,000-31,612,00003/31/2018
MANITOWOC CO INC MTWCommon Stock1,686,076-959,58147,986,000-56,094,00003/31/2018
PayPal Holdings, Inc. PYPLCOM0-8,000,0000-588,960,00003/31/2018
AMERICAN INTERNATIONAL GROUP INC AIGCOM0-42,978,6190-2,560,666,00003/31/2018
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