13F Filings for ICAHN CARL C (CIK: 921669)

View the most recent portfolio holdings disclosed by ICAHN CARL C in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
IEP - Icahn Enterprises LP(Class: DEPOSITARY UNIT)450.79M $4.08B -Unchanged
CVI - CVR Energy Inc(Class: COM)68.53M $1.33B -Increased 1.84M (2.0%, $79.75M)
SWX - Southwest Gas Holdings Inc.(Class: COM)7.53M $540.84M -Decreased 2.10M (21.0%, $140.28M)
UAN - CVR Partners, LP(Class: COM)4.10M $308.13M -Increased 32.96K (0.0%, $734.46K)
IFF - International Flavors and Fragrances Inc.(Class: COM)3.75M $291.04M -Unchanged
BHC - Bausch Health Companies Inc.(Class: COM)34.72M $224.65M -Unchanged
DAN - Dana Inc.(Class: COM)14.29M $190.44M -Unchanged
JBLU - JetBlue Airways Corp.(Class: COM)33.62M $162.06M -Increased 15.89M (89.0%, $22.72M)
AEP - American Electric Power Company(Class: COM)1.21M $131.70M -Unchanged
CZR - Caesars Entertainment, Inc.(Class: COM)2.44M $61M -Unchanged
SD - SandRidge Energy, Inc.(Class: COM NEW)4.82M $55.03M -Unchanged
BLCO - Bausch Plus Lomb Corp.(Class: COMMON SHARES)3.50M $50.75M -Unchanged
CTRI - Centuri Holdings, Inc.(Class: COM SHS)2.49M $40.75M -Unchanged
ILMN - Illumina Inc.(Class: COM)220K $17.45M -Increased 180K (450.0%, $12.11M)