Top Funds / ICAHN CARL C


Carl Icahn

2020Q4 Portfolio

SEC 13F Filing

Position #Shares $Value % # vs. 2020Q3 $ vs. 2020Q3
ICAHN ENTERPRISES L.P. DEPOSITARY UNIT 221,749,462 $11,235,946,000 56.01% +8,157,630 +$701,597,000
OCCIDENTAL PETROLEUM CORP /DE/ 88,627,271 $1,534,138,000 7.65% No Change +$646,979,000
CVR ENERGY INC 71,198,718 $1,060,861,000 5.29% No Change +$179,421,000
HERBALIFE NUTRITION LTD. 20,505,879 $985,307,000 4.91% No Change +$28,708,000
Cheniere Energy, Inc. 16,168,606 $970,601,000 4.84% -3,959,349 +$39,281,000
NEWELL BRANDS INC. 43,704,616 $927,849,000 4.63% No Change +$177,878,000
NAVISTAR INTERNATIONAL CORP 16,729,960 $735,449,000 3.67% No Change +$7,027,000
Cloudera, Inc. 52,327,391 $727,874,000 3.63% No Change +$158,029,000
Xerox Holdings Corp 27,769,235 $667,159,000 3.33% +303,208 +$151,622,000
HERC HOLDINGS INC 4,494,789 $298,499,000 1.49% No Change +$120,460,000
CONDUENT Inc 38,149,336 $183,117,000 0.91% No Change +$61,802,000
Delek US Holdings, Inc. 10,539,880 $169,376,000 0.84% No Change +$52,067,000
Welbilt, Inc. 11,942,238 $157,638,000 0.79% No Change +$84,074,000
OCCIDENTAL PETROLEUM CORP /DE/ *W 19,304,913 $131,466,000 0.66% No Change +$73,551,000
Bausch Health Companies Inc. 5,033,147 $104,689,000 0.52% New +$104,689,000
DANA INC 3,985,820 $77,803,000 0.39% New +$77,803,000
TENNECO INC CLA VTG STK 7,285,683 $77,228,000 0.38% -1,850,709 +$13,821,000
SANDRIDGE ENERGY INC 4,818,832 $14,938,000 0.07% No Change +$6,987,000