Carl Icahn profile
Carl Icahn profile

Carl Icahn

Icahn Capital Management LP Holdings Strategy: Value Investor, Long Term Investor

Carl Icahn is a public investor, known for making large bets on corporations. He made his fortune by buying up shares of undervalued companies and attempting to gain control of them to improve their profitability. In March 2012, "Bloomberg Billionaires Index" ranked him as the richest person in New York City with a net worth of US$20 billion. Icahn Capital Management provides shareholders with the opportunity to participate in Mr. Icahn's investment success by owning a diversified portfolio of common stocks that he has selected and purchased for his own account. The Wall Street Journal consistently ranks him as one of the top performing hedge fund managers in the country. Carl Icahn's portfolio showcases a distinct preference for diversified investments with significant stakes in several sectors. Leading his investment strategy is Icahn Enterprises L.P., a master limited partnership that functions as an investment vehicle, reflecting Icahn's enterprising approach to capital deployment across various industries.For energy sector exposure, CVR Energy Inc. stands out in Icahn’s collection of stocks, signifying a bet on the oil refining and chemicals market. This choice underlines Icahn's confidence in the energy industry's staple value within the economy.Diversifying into utilities, Southwest Gas Holdings Inc. represents another facet of Icahn's investments, indicating an interest in reliable revenue streams tied to essential services. The commitment to this stock aligns with seeking stability amidst market volatility.In the healthcare arena, Icahn holds Bausch Health Companies Inc., suggesting a strategic play on both growth potential and the resilience of pharmaceutical and medical device companies. Icahn's stake here reflects a belief in the long-term profitability of health-related enterprises.Finally, FirstEnergy Corp adds another utility provider to Icahn's top investments, reinforcing his tilt towards companies likely to provide consistent performance due to their role in maintaining critical infrastructure.Overall, Carl Icahn’s top stock selections reveal a tactical balance between risk and stability, showing a penchant for companies with established business models or those poised for recovery and growth, resonating with investors looking for insights from seasoned figures like him in the complex landscape of financial markets.

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Carl Icahn Portfolio 2023

Performance

1 Year

-30.27%

3 Years

-56.63%

5 Years

-59.47%

10 years

-59.74%


Sectors

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Largest Holdings

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Trades

  • Icahn Enterprises L P - Unit Icahn Enterprises L P - Unit (IEP)
  • Sector: Offices of Bank Holding Companies
  • % of Portfolio: 61.3%
  • (Buy) $47.35 ― -65.4% β†’$16.37 (Now)
  • CVR Energy Inc CVR Energy Inc (CVI)
  • Sector: Petroleum Refineries
  • % of Portfolio: 15.2%
  • (Buy) $29.37 ― -15.5% β†’$24.81 (Now)
  • Southwest Gas Holdings Inc Southwest Gas Holdings Inc (SWX)
  • Sector: Fossil Fuel Electric Power Generation
  • % of Portfolio: 7.3%
  • (Buy) $70.90 ― +0.8% β†’$71.46 (Now)
  • CVR Partners LP - Unit CVR Partners LP - Unit (UAN)
  • Sector: Nitrogenous Fertilizer Manufacturing
  • % of Portfolio: 2.7%
  • (Buy) $69.91 ― +7.0% β†’$74.77 (Now)
  • Bausch Health Companies Inc Bausch Health Companies Inc (BHC)
  • Sector: Pharmaceutical Preparation Manufacturing
  • % of Portfolio: 1.7%
  • (Buy) $27.74 ― -81.1% β†’$5.23 (Now)
  • Dana Inc Dana Inc (DAN)
  • Sector: Motor Vehicle Gasoline Engine and Engine Parts Manufacturing
  • % of Portfolio: 1.4%
  • (Buy) $21.21 ― -48.9% β†’$10.83 (Now)
  • Jetblue Airways Corp Jetblue Airways Corp (JBLU)
  • Sector: Scheduled Passenger Air Transportation
  • % of Portfolio: 0.9%
  • (Buy) $6.21 ― -13.8% β†’$5.35 (Now)
  • Bausch + Lomb Corp Bausch + Lomb Corp (BLCO)
  • Sector:
  • % of Portfolio: 0.5%
  • (Buy) $16.20 ― -5.0% β†’$15.40 (Now)
  • Illumina Inc Illumina Inc (ILMN)
  • Sector: Analytical Laboratory Instrument Manufacturing
  • % of Portfolio: 0.5%
  • (Buy) $210.38 ― -45.1% β†’$115.47 (Now)
  • Firstenergy Corp. Firstenergy Corp. (FE)
  • Sector: Nuclear Electric Power Generation
  • % of Portfolio: Sold
  • (Buy) $32.66 ― +28.2% β†’$41.88 (Now)
  • Tsakos Energy Navigation Limited Tsakos Energy Navigation Limited (TEN)
  • Sector: Motor Vehicle Gasoline Engine and Engine Parts Manufacturing
  • % of Portfolio: Sold
  • (Buy) $14.42 ― +63.6% β†’$23.58 (Now)
  • Herbalife Ltd Herbalife Ltd (HLF)
  • Sector: All Other Miscellaneous Chemical Product and Preparation Manufacturing
  • % of Portfolio: Sold
  • (Buy) $22.19 ― -56.9% β†’$9.57 (Now)
  • Welbilt Inc Welbilt Inc (WBT)
  • Sector: Food Product Machinery Manufacturing
  • % of Portfolio: Sold
  • (Buy) $18.08 ― +32.8% β†’$24.01 (Now)
  • TEGNA Inc TEGNA Inc (TGNA)
  • Sector: Radio Networks
  • % of Portfolio: Sold
  • (Buy) $35.40 ― -59.4% β†’$14.36 (Now)
  • HP Inc HP Inc (HPQ)
  • Sector: Computer Terminal and Other Computer Peripheral Equipment Manufacturing
  • % of Portfolio: Sold
  • (Buy) $19.64 ― +66.7% β†’$32.75 (Now)
  • Occidental Petroleum Corp. Occidental Petroleum Corp. (OXY)
  • Sector: Crude Petroleum and Natural Gas Extraction
  • % of Portfolio: Sold
  • (Buy) $40.69 ― +38.1% β†’$56.18 (Now)
  • Netflix Inc. Netflix Inc. (NFLX)
  • Sector: Internet Publishing and Broadcasting and Web Search Portals
  • % of Portfolio: Sold
  • (Buy) $10.71 ― +5487.4% β†’$598.55 (Now)
  • Cheniere Energy Inc. Cheniere Energy Inc. (LNG)
  • Sector: Natural Gas Distribution
  • % of Portfolio: Sold
  • (Buy) $47.30 ― +264.1% β†’$172.24 (Now)
  • Herc Holdings Inc Herc Holdings Inc (HRI)
  • Sector: Other Commercial and Industrial Machinery and Equipment Rental and Leasing
  • % of Portfolio: Sold
  • (Buy) $32.41 ― +315.0% β†’$134.51 (Now)
  • Xerox Holdings Corp Xerox Holdings Corp (XRX)
  • Sector: Computer Terminal and Other Computer Peripheral Equipment Manufacturing
  • % of Portfolio: Sold
  • (Buy) $18.01 ― -46.1% β†’$9.71 (Now)
  • Clorox Co. Clorox Co. (CLX)
  • Sector: Polish and Other Sanitation Good Manufacturing
  • % of Portfolio: Sold
  • (Buy) $68.32 ― +108.8% β†’$142.67 (Now)
  • Apple Inc Apple Inc (AAPL)
  • Sector: Electronic Computer Manufacturing
  • % of Portfolio: Sold
  • (Buy) $29.33 ― +613.6% β†’$209.27 (Now)
  • Vmware Inc. - Class A Vmware Inc. - Class A (VMW)
  • Sector: Data Processing, Hosting, and Related Services
  • % of Portfolio: Sold
  • (Buy) $137.86 ― +3.3% β†’$142.48 (Now)
  • Twitter Inc Twitter Inc (TWTR)
  • Sector: Software Publishers
  • % of Portfolio: Sold
  • (Buy) $40.71 ― +31.9% β†’$53.70 (Now)
  • Biogen Inc Biogen Inc (BIIB)
  • Sector: Biological Product (except Diagnostic) Manufacturing
  • % of Portfolio: Sold
  • (Buy) $59.18 ― +235.2% β†’$198.39 (Now)
  • Transocean Ltd Transocean Ltd (RIG)
  • Sector: Drilling Oil and Gas Wells
  • % of Portfolio: Sold
  • (Buy) $49.51 ― -89.9% β†’$5.01 (Now)
  • EBay Inc. EBay Inc. (EBAY)
  • Sector: Software Publishers
  • % of Portfolio: Sold
  • (Buy) $20.31 ― +169.1% β†’$54.66 (Now)
Stock % of
portfolio
Average
Buy Price
Current
Price
Position
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Options

Can't find any put or calls that Carl Icahn has in Icahn Capital



Metrics

Performance

1 Year

-30.27%

3 Years

-56.63%

5 Years

-59.47%

10 years

-59.74%

Averaged Ratio's of Portfolio Stocks

  • Market Cap: $7.42 Billion
  • Dividend Yield 12.01 %
  • Beta 0.6528
  • P/E Ratio 18.9
  • Negative P/E Ratio -15.59
  • Profit Margin NaN%
  • PEG 19.17
  • Price to Sales Ratio 0.78
  • Price to Book Ratio 1.53
  • Enterprise Value to EBIT: 44.27
  • Enterprise Value to Revenue NaN
  • Total Debt to Enterprise Value 0.64
  • Debt to Equity NaN
  • Quarterly Earnings Growth (YoY) -
  • Return on Equity NaN%
  • Return on Assets NaN%
  • Return on Invested Capital NaN%


About Carl Icahn

Carl Icahn is a public investor, known for making large bets on corporations. He made his fortune by buying up shares of undervalued companies and attempting to gain control of them to improve their profitability. In March 2012, "Bloomberg Billionaires Index" ranked him as the richest person in New York City with a net worth of US$20 billion. Icahn Capital Management provides shareholders with the opportunity to participate in Mr. Icahn's investment success by owning a diversified portfolio of common stocks that he has selected and purchased for his own account. The Wall Street Journal consistently ranks him as one of the top performing hedge fund managers in the country. Carl Icahn's portfolio showcases a distinct preference for diversified investments with significant stakes in several sectors. Leading his investment strategy is Icahn Enterprises L.P., a master limited partnership that functions as an investment vehicle, reflecting Icahn's enterprising approach to capital deployment across various industries.For energy sector exposure, CVR Energy Inc. stands out in Icahn’s collection of stocks, signifying a bet on the oil refining and chemicals market. This choice underlines Icahn's confidence in the energy industry's staple value within the economy.Diversifying into utilities, Southwest Gas Holdings Inc. represents another facet of Icahn's investments, indicating an interest in reliable revenue streams tied to essential services. The commitment to this stock aligns with seeking stability amidst market volatility.In the healthcare arena, Icahn holds Bausch Health Companies Inc., suggesting a strategic play on both growth potential and the resilience of pharmaceutical and medical device companies. Icahn's stake here reflects a belief in the long-term profitability of health-related enterprises.Finally, FirstEnergy Corp adds another utility provider to Icahn's top investments, reinforcing his tilt towards companies likely to provide consistent performance due to their role in maintaining critical infrastructure.Overall, Carl Icahn’s top stock selections reveal a tactical balance between risk and stability, showing a penchant for companies with established business models or those poised for recovery and growth, resonating with investors looking for insights from seasoned figures like him in the complex landscape of financial markets.


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