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Carl Icahn 13F filings

Holdings as of 2020-12-31

Filed on 2021-02-12 under CIK 921669

Company
Investment Type
Change
Value (x$1000)
increase or decrease
ICAHN ENTERPRISES LP DEPOSITARY UNIT
221,749,462 sh
8,157,630 sh
4%
$11,235,946
$701,597
OCCIDENTAL PETE CORP
88,627,271 sh
 
$1,534,138
CVR ENERGY INC
71,198,718 sh
 
$1,060,861
HERBALIFE NUTRITION LTD
20,505,879 sh
 
$985,307
Cheniere Energy Inc
16,168,606 sh
-3,959,349 sh
-20%
$970,601
$39,281
NEWELL BRANDS INC
43,704,616 sh
 
$927,849
NAVISTAR INTL CORP
16,729,960 sh
 
$735,449
CLOUDERA INC
52,327,391 sh
 
$727,874
Xerox Holdings Corp Com New
27,769,235 sh
303,208 sh
1%
$667,159
$151,622
HERC HLDGS INC
4,494,789 sh
 
$298,499
CONDUENT INC
38,149,336 sh
 
$183,117
DELEK US HLDGS INC NEW COM
10,539,880 sh
 
$169,376
WELBILT INC
11,942,238 sh
 
$157,638
OCCIDENTAL PETROLEUM CORP WARRANT WARRANT
19,304,913 sh
 
$131,466
BAUSCH HEALTH COS INC COM
5,033,147 sh
5,033,147 sh
NEW
$104,689
$104,689
DANA INCORPORATED
3,985,820 sh
3,985,820 sh
NEW
$77,803
$77,803
TENNECO INC
7,285,683 sh
-1,850,709 sh
-20%
$77,228
$13,821
SandRidge Energy
4,818,832 sh
 
$14,938