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Carl Icahn
Stock Portfolio

Carl Icahn
Stock Portfolio

Below is the current stock portfolio and sector weightings of Carl Icahn. This information includes his number of shares, portfolio weight, and the latest value of his stock picks to date. Note: The data presented here are updated every quarter.

Below is the current stock portfolio and sector weightings of Carl Icahn. This information includes his number of shares, portfolio weight, and the latest value of his stock picks to date. Note: The data presented here are updated every quarter.

  • Stock Picks: 14
  • Total Value: 11.92 Bil
  • Stock Picks: 14
  • Total Value: 11.92 Bil

TIP FINANCE

TIP Finance is a great way to track your own portfolio, to monitor changes to legend investors’ investments,
and for finding your next great stock pick and calculating its intrinsic value.

Plus so much more!

Start using TIP Finance today (for free) to become a better investor like thousands of others already have.

TIP FINANCE

TIP Finance is a great way to track your own portfolio, to monitor changes to legend investors’ investments, and for finding your next great stock pick and calculating its intrinsic value.

Plus so much more!

Start using TIP Finance today (for free) to become a better investor like thousands of others already have.

TIP Finance is a great way to track your own portfolio, to monitor changes to legend investors’ investments, and for finding your next great stock pick and calculating its intrinsic value.

Plus so much more!

Start using TIP Finance today (for free) to become a better investor like
thousands of others already have.

SECTOR WEIGHTINGS (%)

SECTOR WEIGHTINGS (%)

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CURRENT PORTFOLIO

(As of March 31, 2024)

Ticker Company % Portfolio Number of Shares Value ($1,000)
IEP Icahn Enterprises LP 52.51% 367,879,902 6,257,637
CVI CVR Energy Inc. 19.96% 66,692,381 2,378,250
SWX Southwest Gas Holdings Inc. 7.04% 11,022,604 839,151
OXY.WS Occidental Petroleum Corp. 5.96% 16,485,432 710,522
BHC Bausch Health Companies Inc. 3.09% 34,721,118 368,391
IFF International Flavors & Fragrances Inc. 2.71% 3,750,000 322,463
UAN CVR Partners LP 2.57% 3,892,000 305,872
DAN Dana Inc. 1.52% 14,286,505 181,439
JBLU JetBlue Airways Corp. 1.10% 17,727,029 131,535
CNDT Conduent Inc. 1.08% 38,149,336 128,945
AEP American Electric Power Co Inc. 0.87% 1,205,300 103,776
SD SandRidge Energy Inc. 0.59% 4,818,832 70,210
BLCO Bausch & Lomb Corp. 0.51% 3,500,000 60,550
ILMN Illumina Inc. 0.50% 430,000 59,048
– – – Asset Under Management 100.01% 584,560,439 11,917,788

 

CURRENT PORTFOLIO

(As of March 31, 2024)

Ticker Company % Portfolio Number of Shares Value ($1,000)
IEP Icahn Enterprises LP 52.51% 367,879,902 6,257,637
CVI CVR Energy Inc. 19.96% 66,692,381 2,378,250
SWX Southwest Gas Holdings Inc. 7.04% 11,022,604 839,151
OXY.WS Occidental Petroleum Corp. 5.96% 16,485,432 710,522
BHC Bausch Health Companies Inc. 3.09% 34,721,118 368,391
IFF International Flavors & Fragrances Inc. 2.71% 3,750,000 322,463
UAN CVR Partners LP 2.57% 3,892,000 305,872
DAN Dana Inc. 1.52% 14,286,505 181,439
JBLU JetBlue Airways Corp. 1.10% 17,727,029 131,535
CNDT Conduent Inc. 1.08% 38,149,336 128,945
AEP American Electric Power Co Inc. 0.87% 1,205,300 103,776
SD SandRidge Energy Inc. 0.59% 4,818,832 70,210
BLCO Bausch & Lomb Corp. 0.51% 3,500,000 60,550
ILMN Illumina Inc. 0.50% 430,000 59,048
– – – Asset Under Management 100.01% 584,560,439 11,917,788

Find investments you’re
confident in without
sacrificing your free time.

Find investments you’re
confident in without
sacrificing your free time.