Holdings Channel
EntityShares/Amount
Change
Position Value
Change
VLTC -4,739,620-$12,513
EntityShares/Amount
Change
Position Value
Change
HTZ +16,325,273+$111,315
IEP +2,926,203+$1,366,010
HLF +2,888,471-$132,569
AIG UNCH+$272,500
CVI UNCH+$827,329
FDML UNCH+$97,013
LNG UNCH-$70,916
XRX UNCH-$138,642
ARII UNCH+$45,349
NAV UNCH+$137,991
EntityShares/Amount
Change
Position Value
Change
FCX -12,763,704+$73,966
NUAN -1,298,991-$11,484
PYPL -500,000-$70,581
CVRR UNCH+$9,372
MTW UNCH+$12,593
AGN UNCH-$8,637
HRI UNCH+$27,861
MFS UNCH+$32,912
Size ($ in 1000's)
At 12/31/2016: $22,373,522
At 09/30/2016: $19,804,653

Combined Holding Report Includes:
ICAHN CARL C
HIGH RIVER LIMITED PARTNERSHIP
ICAHN CAPITAL LP
HIGH COAST LIMITED PARTNERSHIP
HIGHCREST INVESTORS LLC
GASCON PARTNERS
IEH FM HOLDINGS LLC
THORNWOOD ASSOCIATES LIMITED PARTNERSHIP
IEH ARI HOLDINGS LLC
CCI ONSHORE LLC
IEP ENERGY LLC
ICAHN ENTERPRISES HOLDINGS L.P.

Icahn Carl C holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Icahn Carl C 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Icahn Carl C
As of  12/31/2016
   EntityAmountChange
 09/30/2016 to 12/31/2016
Position Size
($ in 1000's)
ICAHN ENTERPRISES LP 129,999,050 +2,926,203 $7,789,543
     IEP129,999,050+2,926,203$7,789,543
AMERICAN INTL GROUP INC 45,644,982 UNCH $2,981,074
     AIG45,644,982UNCH$2,981,074
CVR ENERGY INC 71,198,718 UNCH $1,807,735
     CVI71,198,718UNCH$1,807,735
FEDERAL MOGUL HOLDINGS CORP 138,590,141 UNCH $1,428,864
     FDML138,590,141UNCH$1,428,864
CHENIERE ENERGY INC 32,680,490 UNCH $1,353,953
     LNG32,680,490UNCH$1,353,953
PAYPAL HLDGS INC 33,397,153 -500,000 $1,318,185
     PYPL33,397,153-500,000$1,318,185
FREEPORT MCMORAN INC 91,236,296 -12,763,704 $1,203,406
     FCX91,236,296-12,763,704$1,203,406
HERBALIFE LTD 22,500,000 +2,888,471 $1,083,150
     HLF22,500,000+2,888,471$1,083,150
XEROX CORP 99,030,026 UNCH $864,532
     XRX99,030,026UNCH$864,532
HERTZ GLOBAL HLDGS INC 29,263,869 +16,325,273 $630,929
     HTZ29,263,869+29,263,869$630,929
AMERICAN RAILCAR INDS INC 11,871,268 UNCH $537,650
     ARII11,871,268UNCH$537,650
NAVISTAR INTL CORP NEW 16,272,524 UNCH $510,469
     NAV16,272,524UNCH$510,469
NUANCE COMMUNICATIONS INC 18,378,097 -1,298,991 $273,834
     NUAN18,378,097-1,298,991$273,834
MANITOWOC FOODSERVICE INC 10,582,660 UNCH $204,563
     MFS10,582,660UNCH$204,563
HERC HLDGS INC 4,312,860 UNCH $173,205
     HRI4,312,860+4,312,860$173,205
ALLERGAN PLC 425,438 UNCH $89,346
     AGN425,438UNCH$89,346
MANITOWOC INC 10,582,660 UNCH $63,284
     MTW10,582,660UNCH$63,284
CVR REFNG LP 5,750,000 +0 $59,800
     CVRR5,750,000UNCH$59,800
VOLTARI CORP 0 -4,739,620 $0 (exited)
     VLTC0-4,739,620$0

See Summary: Icahn Carl C Top Holdings
See Details: Top 10 Stocks Held By Icahn Carl C

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