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Carl Icahn’s Investment Portfolio As Of Q4/2010

Carl Icahn is an American financier, corporate raider and private equity investor. He is with an estimated net worth of USD 10.5 billion one of the wealthiest persons in America. His business model follows a simple strategy: He buys huge positions of stock listed companies and starts to build up pressure on management to impose his interests. Mostly he wants to force companies to sell, merge or dissolve or sell unprofitable divisions.

These are the details of Carl Icahn's top stock initiations, closings, buys, and sells:

Top positions closed out by Carl Icahn: NONE
Top positions initiated by Carl Icahn: NAV
Top positions decreased by Carl Icahn: MAS, CDNS
Top positions increased by Carl Icahn: ENZN, CMC, CHK, AMLN, HAIN, LWSN

During the fourth quarter 2010 Carl Icahn had 23 total positions. The sector allocations of Carl Icahn's portfolio went as follows:

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Related stock ticker symbols:
MSI, BIIB, GENZ, CHK, LGF, AMLN, MENT, HAIN, LWSN, TTWO, REGN, CYBX, MAT, CMC, ENZN, DYN, MAS, NRG, FRX, EXEL, CDNS, ANX, NACV


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