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Home > ICAHN CARL C
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ICAHN ENTERPRISES L.P. IEPDEP UNIT153,485,679153,485,6798,349,620,9388,349,620,93809/15/2017
ICAHN ENTERPRISES L.P. IEPDEPOSITARY UNIT149,276,0548,751,8997,711,601,000511,144,00006/30/2017
AMERICAN INTERNATIONAL GROUP INC AIGCOM43,000,000-2,644,9822,688,360,000-161,256,00006/30/2017
HERBALIFE LTD. HLFCommon22,872,32401,631,483,000301,686,00006/30/2017
CHENIERE ENERGY INC LNGCommon32,680,49001,591,866,00047,060,00006/30/2017
CVR ENERGY INC CVICommon71,198,71801,549,284,000119,614,00006/30/2017
FREEPORT-MCMORAN INC FCXCommon91,587,940351,6441,099,971,000-118,946,00006/30/2017
XEROX CORP XRXCommon24,757,502-74,272,524711,283,000-15,597,00006/30/2017
PayPal Holdings, Inc. PYPLCOM10,000,000-21,574,653536,700,000-821,642,00006/30/2017
American Railcar Industries, Inc. ARIICommon11,871,2680454,670,000-33,239,00006/30/2017
NAVISTAR INTERNATIONAL CORP NAVZCommon16,729,9600438,827,00026,936,00006/30/2017
Hertz Rental Car Holding Company, Inc. HTZCOM29,263,8690336,535,000-176,754,00006/30/2017
CONDUENT Inc CNDTCOM19,806,0000315,708,000-16,637,00006/30/2017
Manitowoc Foodservice, Inc. WBTCOM10,582,6600199,484,000-8,254,00006/30/2017
HERC HOLDINGS INC HTZCommon4,494,7894,494,789178,218,384178,218,38408/15/2017
HERC HOLDINGS INC HRICOM4,312,8600169,581,000-41,275,00006/30/2017
MANITOWOC CO INC MTWCommon10,582,660063,601,0003,280,00006/30/2017
CVR Refining, LP CVRRCommon5,750,000054,625,000287,00006/30/2017
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