Carl Icahn - Icahn Capital
Icahn Capital Management · SEC Form 13F portfolio
- Period
- 2026-06-30
- Portfolio value
- $8.26B
- Holdings
- 12
- Top 10
- 98.6%
Latest reported holdings
| Holding | % of Portfolio | Value | Shares | Change |
|---|---|---|---|---|
Icahn Enterprises LP DEPOSITARY UNIT No company page | 53.95% | $4.46B | 618.39M | +12.56% |
CVR Energy Inc · COM | 23.73% | $1.96B | 71.20M | Unchanged |
CVR Partners, LP COM No company page | 5.62% | $464.23M | 4.16M | Unchanged |
Centuri Holdings, Inc. · COM SHS | 5.25% | $433.52M | 14.34M | Unchanged |
International Flavors and Fragrances Inc. · COM | 4.10% | $338.67M | 4.28M | Unchanged |
EchoStar Corporation · CL A | 1.73% | $142.56M | 1.40M | Unchanged |
JetBlue Airways Corp. · COM | 1.43% | $118.37M | 20.66M | −38.56% |
Monro, Inc. · COM | 1.05% | $86.89M | 5.08M | Unchanged |
Caesars Entertainment, Inc. · COM | 0.89% | $73.64M | 2.44M | Unchanged |
SandRidge Energy, Inc. · COM NEW | 0.84% | $69.25M | 5.05M | +2.17% |
American Electric Power Company · COM | 0.72% | $59.47M | 434.71K | −63.93% |
Bausch Plus Lomb Corp. · COMMON SHARES | 0.70% | $57.96M | 3.50M | Unchanged |