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Carl Icahn 13F filings

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Holdings as of 2020-06-30

Filed on 2020-08-14 under CIK 921669

Company name, stock class and CUSIPValue (x$1000) SharesOther manager(s)
ICAHN ENTERPRISES LP
DEPOSITARY UNIT 451100101
$9,943,521$402,377205,063,328 sh8,013,676 sh
4%
HIGH COAST LIMITED PARTNERSHIP
HIGHCREST INVESTORS LLC
GASCON PARTNERS
THORNWOOD ASSOCIATES LIMITED PARTNERSHIP
CCI ONSHORE LLC
OCCIDENTAL PETE CORP
COM 674599105
$1,621,879 88,627,271 sh ICAHN CAPITAL LP
HERBALIFE NUTRITION LTD
COM SHS G4412G101
$1,584,551 35,227,904 sh ICAHN CAPITAL LP
CVR ENERGY INC
COM 12662P108
$1,431,806 71,198,718 sh IEP ENERGY LLC
CAESARS ENTMT CORP
COM 127686103
$1,385,864 114,250,942 sh ICAHN CAPITAL LP
Cheniere Energy Inc
COM 16411R208
$1,006,033$330,81520,820,229 sh664,473 sh
3%
ICAHN CAPITAL LP
NEWELL BRANDS INC
COM 651229106
$694,029 43,704,616 sh ICAHN CAPITAL LP
CLOUDERA INC
COM 18914U100
$665,604$234,36652,327,391 sh-2,467,827 sh
-5%
ICAHN CAPITAL LP
NAVISTAR INTL CORP
COM 63934E108
$471,785 16,729,960 sh ICAHN CAPITAL LP
Xerox Holdings Corp Com New
COM 98421M106
$358,644 23,456,087 sh ICAHN CAPITAL LP
DELEK US HLDGS INC NEW
COM 24665A103
$183,499 10,539,880 sh CVR ENERGY INC
HERC HLDGS INC
COM 42704L104
$138,125 4,494,789 sh ICAHN CAPITAL LP
CONDUENT INC
COM 206787103
$91,177 38,149,336 sh ICAHN CAPITAL LP
WELBILT INC
COM 949090104
$72,728 11,942,238 sh ICAHN CAPITAL LP
TENNECO INC
CL A VTG COM STK 880349105
$69,071$48,7279,136,392 sh3,485,215 sh
62%
AMERICAN ENTERTAINMENT PROPERTIES CORP.
SandRidge Energy
COM 80007P869
$6,216 4,818,832 sh ICAHN CAPITAL LP
HP Inc
COM 40434L105
$0-$1,091,9960 sh-62,902,970 sh
-100%
ICAHN CAPITAL LP
HERTZ GLOBAL HOLDING
COM 42806J106
$0-$342,0140 sh-55,342,109 sh
-100%
ICAHN CAPITAL LP
FREEPORT-MCMORAN INC
CL B 35671D857
$0-$180,7030 sh-26,770,875 sh
-100%
ICAHN CAPITAL LP