Carl Icahn
Icahn Carl C
| Stock 13 | % of Portfolio Weight of this holding as a percentage of the total portfolio | Value Total dollar value of the position (shares x price) | Shares Number of shares held | Reported Price Price per share as reported in the SEC filing | Recent Activity Activity in the most recent 13F filing with percentage change | Current Price within 52W Range Current stock price positioned within the 52-week high/low range | +/- Reported Price Percentage change from the filing reported price to the current price. Green = gain, Red = loss |
|---|---|---|---|---|---|---|---|
| | 49.12% | $4.15B | 549,400,539 | $7.55 | Add 5.87% | $7.72 $6.21 $8.11 | +2.25% |
| | 21.21% | $1.79B | 70,418,471 | $25.44 | — | $31.65 $16.06 $40.01 | +24.41% |
| | 5.72% | $482.73M | 6,032,604 | $80.02 | — | $89.24 $64.82 $89.60 | +11.52% |
| | 5.05% | $426.84M | 4,164,274 | $102.50 | — | $126.00 $58.30 $139.00 | +22.93% |
| | 4.32% | $364.64M | 3,354,542 | $108.70 | Reduce 22.96% | $128.68 $15.99 $131.09 | +18.38% |
| | 4.29% | $361.99M | 14,336,044 | $25.25 | Add 32.16% | $29.83 $15.18 $31.88 | +18.14% |
| | 3.41% | $288.09M | 4,275,000 | $67.39 | Reduce 10.00% | $72.43 $58.84 $82.51 | +7.48% |
| | 1.81% | $152.98M | 33,621,735 | $4.55 | — | $4.52 $3.43 $6.46 | -0.66% |
| | 1.65% | $138.98M | 1,205,300 | $115.31 | — | $132.68 $96.26 $134.15 | +15.06% |
| | 1.21% | $101.77M | 5,078,573 | $20.04 | Add 246.66% | $15.96 $11.49 $23.52 | -20.36% |
| | 0.84% | $70.87M | 4,911,564 | $14.43 | Add 0.85% | $15.45 $8.74 $17.95 | +7.07% |
| | 0.71% | $59.78M | 3,500,000 | $17.08 | — | $16.49 $10.90 $18.60 | -3.45% |
| | 0.68% | $57.07M | 2,440,109 | $23.39 | — | $26.53 $18.14 $31.51 | +13.42% |
News about Carl Icahn's top holdings
Frequently Asked Questions
What stocks does Carl Icahn own in 2026?
As of Q1 2026, Carl Icahn's Icahn Carl C holds 13 stocks worth $8.45B. The largest position is IEP. Data from SEC 13F filing dated 2026-02-17 00:00:00.000Z.
What did Carl Icahn buy and sell recently?
View the Activity tab above to see which positions Carl Icahn added, increased, decreased, or sold in Q1 2026. The activity data comes from comparing consecutive 13F filings.
What is Carl Icahn's top stock holding?
The largest position is IEP. Carl Icahn's Icahn Carl C holds 13 total positions worth $8.45B. Visit the holdings table above to see the complete portfolio ranked by position size.
What sectors does Carl Icahn invest in?
Carl Icahn's portfolio of 13 stocks is diversified across multiple sectors. The portfolio is most concentrated in the Energy sector. The sector chart above shows the full allocation breakdown by portfolio value.
What is Carl Icahn's investment strategy?
Carl Icahn manages Icahn Carl C using a activist investment approach. The portfolio currently holds 13 positions with total assets of $8.45B. The portfolio is most concentrated in the Energy sector.
What is Carl Icahn's portfolio worth in 2026?
Carl Icahn's Icahn Carl C manages $8.45B in disclosed 13F holdings across 13 positions as of Q1 2026. This represents the total market value of equity positions reported to the SEC.
How often does Carl Icahn update portfolio holdings?
Carl Icahn's Icahn Carl C files 13F reports with the SEC quarterly. The most recent filing is dated 2026-02-17 00:00:00.000Z, covering holdings as of Q1 2026. New data appears within 24 hours of each filing.
How do I track Carl Icahn's portfolio changes over time?
Use the Activity tab to compare Carl Icahn's holdings across quarters. You can see new positions, additions, reductions, and exits for each quarter going back multiple years. The data comes from Icahn Carl C's SEC 13F filings.