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Carl Icahn 13F filings

Holdings as of 2021-03-31

Filed on 2021-05-14 under CIK 921669

Company
Investment Type
Change
Value (x$1000)
increase or decrease
ICAHN ENTERPRISES LP DEPOSITARY UNIT
221,749,462 sh
 
$11,912,380
OCCIDENTAL PETE CORP
86,027,271 sh
-2,600,000 sh
-3%
$2,290,046
$755,908
CVR ENERGY INC
71,198,718 sh
 
$1,365,591
NEWELL BRANDS INC
43,704,616 sh
 
$1,170,410
Cheniere Energy Inc
16,168,606 sh
 
$1,164,301
BAUSCH HEALTH COS INC COM
34,109,152 sh
29,076,005 sh
578%
$1,082,624
$977,935
NAVISTAR INTL CORP COM
16,729,960 sh
 
$736,620
Xerox Holdings Corp Com New
28,769,235 sh
1,000,000 sh
4%
$698,229
$31,070
FIRSTENERGY CORP COM
18,967,757 sh
18,967,757 sh
NEW
$657,991
$657,991
CLOUDERA INC
52,327,391 sh
 
$636,824
HERC HLDGS INC
4,494,789 sh
 
$455,457
HERBALIFE NUTRITION LTD
8,018,886 sh
-12,486,993 sh
-61%
$355,718
-$629,589
DANA INCORPORATED
12,036,505 sh
8,050,685 sh
202%
$292,848
$215,045
CONDUENT INC
38,149,336 sh
 
$254,075
OCCIDENTAL PETROLEUM CORP WARRANT WARRANT
19,304,913 sh
 
$229,922
DELEK US HLDGS INC NEW COM
10,539,880 sh
 
$229,559
WELBILT INC
11,942,238 sh
 
$194,061
TENNECO INC
9,589,751 sh
2,304,068 sh
32%
$102,802
$25,574
SandRidge Energy
4,818,832 sh
 
$18,842