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Home > ICAHN CARL C
Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
ICAHN ENTERPRISES L.P. IEPDEPOSITARY UNIT153,485,6794,209,6258,420,225,000708,624,00009/30/2017
AMERICAN INTERNATIONAL GROUP INC AIGCOM42,978,619-21,3812,638,457,000-49,903,00009/30/2017
CVR ENERGY INC CVICommon71,198,71801,844,047,000294,763,00009/30/2017
HERBALIFE LTD. HLFCommon22,872,32401,768,030,645136,547,64510/11/2017
CHENIERE ENERGY INC LNGCommon32,680,49001,471,929,000-119,937,00009/30/2017
FREEPORT-MCMORAN INC FCXCommon77,155,435-14,432,5051,083,262,000-16,709,00009/30/2017
XEROX CORP XRXCommon24,757,5020824,177,000112,894,00009/30/2017
NAVISTAR INTERNATIONAL CORP NAVZCommon16,729,9600737,290,000298,463,00009/30/2017
Hertz Rental Car Holding Company, Inc. HTZCOM29,263,8690654,340,000317,805,00009/30/2017
PayPal Holdings, Inc. PYPLCOM10,000,0000640,300,000103,600,00009/30/2017
American Railcar Industries, Inc. ARIICommon11,871,2680458,231,0003,561,00009/30/2017
CONDUENT Inc CNDTCOM19,806,0000310,360,000-5,348,00009/30/2017
Manitowoc Foodservice, Inc. WBTCOM10,582,6600243,930,00044,446,00009/30/2017
HERC HOLDINGS INC HRICOM4,494,789181,929220,829,00051,248,00009/30/2017
MANITOWOC CO INC MTWCommon10,582,660095,244,00031,643,00009/30/2017
CVR Refining, LP CVRRCommon5,750,000056,638,0002,013,00009/30/2017
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