Carl Icahn - Icahn Carl C
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    12
Portfolio value:    $8,553,640,766
Holdings Activity Buys Sells    History
History Stock Activity Share change % change to portfolio
Q1 2026
SATS - EchoStar Corp. Reduce 58.13% 1,950,000 2.51
SWX - Southwest Gas Holdings Inc. Sell 100.00% 6,032,604 5.72
Q4 2025
IFF - International Flavors & Fragrances Inc. Reduce 10.00% 475,000 0.32
SATS - EchoStar Corp. Reduce 22.96% 1,000,000 0.84
Q3 2025
SWX - Southwest Gas Holdings Inc. Reduce 19.91% 1,500,000 1.42
BHC - Bausch Health Companies Inc. Sell 100.00% 34,721,118 2.93
Q2 2025
DAN - Dana Inc. Sell 100.00% 14,286,505 2.54
ILMN - Illumina Inc. Sell 100.00% 220,000 0.23
Q1 2025
SWX - Southwest Gas Holdings Inc. Reduce 21.80% 2,100,000 2.00
Q4 2024
SWX - Southwest Gas Holdings Inc. Reduce 12.61% 1,390,000 1.04
CTRI - Centuri Holdings Inc Reduce 30.78% 1,105,434 0.18
ILMN - Illumina Inc. Reduce 90.70% 390,000 0.52
Q2 2024
OXY.WS - Occidental Petroleum Corp Wts Sell 100.00% 16,485,432 5.96
CNDT - Conduent Inc. Sell 100.00% 38,149,336 1.08
Q1 2024
FE - FirstEnergy Corp Sell 100.00% 5,887,171 1.98
NWL - Newell Brands Inc. Sell 100.00% 5,940,744 0.47
Q4 2023
FE - FirstEnergy Corp Reduce 58.22% 8,203,607 2.32
CCK - Crown Holdings Sell 100.00% 1,040,100 0.76
Q3 2023
CVI - CVR Energy Inc. Reduce 6.33% 4,506,337 0.87
NWL - Newell Brands Inc. Reduce 80.19% 24,045,019 1.35
XRX - Xerox Holdings Corp. Sell 100.00% 34,245,314 3.29
Q2 2023
FE - FirstEnergy Corp Reduce 25.71% 4,876,979 0.89
LNG - Cheniere Energy Inc Sell 100.00% 1,000,000 0.72
HRI - HERC Holdings Inc. Sell 100.00% 230,160 0.12
Q1 2023
NWL - Newell Brands Inc. Reduce 9.33% 3,084,669 0.19
HRI - HERC Holdings Inc. Reduce 93.77% 3,466,285 2.10
Q4 2022
HRI - HERC Holdings Inc. Reduce 8.11% 326,396 0.16
LNG - Cheniere Energy Inc Reduce 52.64% 1,111,613 0.87
TWTR - Twitter Inc Sell 100.00% 12,531,573 2.59
Q3 2022
LNG - Cheniere Energy Inc Reduce 62.37% 3,500,000 2.23
WBT - Welbilt Inc Sell 100.00% 11,150,368 1.27
Q2 2022
LNG - Cheniere Energy Inc Reduce 42.28% 4,110,979 2.60
DK - Delek US Holdings, Inc. Sell 100.00% 1,339,093 0.13
Q1 2022
NWL - Newell Brands Inc. Reduce 24.33% 10,634,184 1.04
LNG - Cheniere Energy Inc Reduce 39.87% 6,446,014 2.93
DK - Delek US Holdings, Inc. Reduce 80.82% 5,642,707 0.38
OXY - Occidental Petroleum Sell 100.00% 45,000,346 5.85
Q4 2021
OXY.WS - Occidental Petroleum Corp Wts Reduce 1.10% 166,603 0.01
DK - Delek US Holdings, Inc. Reduce 6.43% 479,825 0.04
HRI - HERC Holdings Inc. Reduce 10.50% 471,948 0.34
CLDR - Cloudera Inc Sell 100.00% 52,327,391 3.71
Q3 2021
OXY - Occidental Petroleum Reduce 8.40% 4,125,000 0.53
OXY.WS - Occidental Petroleum Corp Wts Reduce 21.41% 4,133,984 0.24
NAV - Navistar International Corporation Sell 100.00% 16,729,960 3.06
Q2 2021
WBT - Welbilt Inc Reduce 6.63% 791,870 0.05
DK - Delek US Holdings, Inc. Reduce 29.21% 3,078,255 0.28
OXY - Occidental Petroleum Reduce 42.90% 36,901,925 4.12
HLF - Herbalife Nutrition Ltd. Sell 100.00% 8,018,886 1.49
TEN - Tenneco Inc (Class A) Sell 100.00% 9,589,751 0.43
Q1 2021
OXY - Occidental Petroleum Reduce 2.93% 2,600,000 0.22
HLF - Herbalife Nutrition Ltd. Reduce 60.89% 12,486,993 2.99
Q4 2020
LNG - Cheniere Energy Inc Reduce 19.67% 3,959,349 1.05
TEN - Tenneco Inc (Class A) Reduce 20.26% 1,850,709 0.07
Q3 2020
LNG - Cheniere Energy Inc Reduce 3.33% 692,274 0.17
HLF - Herbalife Nutrition Ltd. Reduce 41.79% 14,722,025 3.36
CZR - Caesars Entertainment Sell 100.00% 114,250,942 7.03
Q2 2020
CLDR - Cloudera Inc Reduce 4.50% 2,467,827 0.11
HPQ - HP Inc. Sell 100.00% 62,902,970 6.07
HTZGQ - Hertz Rental Car Holding Co Sell 100.00% 55,342,109 1.90
FCX - Freeport-McMoran Inc. Sell 100.00% 26,770,875 1.00
Q4 2019
OXY - Occidental Petroleum Reduce 14.28% 3,760,534 0.65
FCX - Freeport-McMoran Inc. Reduce 21.68% 7,410,200 0.28
Q3 2019
LNG - Cheniere Energy Inc Reduce 9.27% 2,000,000 0.52
OXY - Occidental Petroleum Reduce 20.79% 6,912,041 1.31
FCX - Freeport-McMoran Inc. Reduce 22.63% 10,000,000 0.44
Q2 2019
FCX - Freeport-McMoran Inc. Reduce 0.17% 74,510 0.00
LNG - Cheniere Energy Inc Reduce 1.80% 395,396 0.11
FANG - Diamondback Energy Inc. Sell 100.00% 5,187,236 2.19
Q1 2019
LNG - Cheniere Energy Inc Reduce 5.99% 1,400,000 0.41
FCX - Freeport-McMoran Inc. Reduce 11.77% 5,905,769 0.30
FANG - Diamondback Energy Inc. Reduce 16.70% 1,039,842 0.47
HTZGQ - Hertz Global Hldgs Inc Reduce 17.09% 5,000,000 0.33
DELL - Dell Technologies Inc. Sell 100.00% 12,798,345 3.06
CVRR - Cvr Refng LP Sell 100.00% 5,750,000 0.29
MTW - Manitowoc Co. Sell 100.00% 1,601,169 0.12
Q4 2018
MTW - Manitowoc Co. Reduce 5.04% 84,907 0.01
DVMT - Dell Technologies Inc Sell 100.00% 8,814,472 3.39
EGN - Energen Corp Sell 100.00% 7,666,382 2.62
ARII - American Railcar Inds Inc Sell 100.00% 11,871,268 2.17
AFSI - Amtrust Finl Svcs Inc Sell 100.00% 18,418,732 1.06
VMW - Vmware Inc Sell 100.00% 421,425 0.26
Q3 2018
LNG - Cheniere Energy Inc Reduce 1.27% 300,000 0.08
VMW - Vmware Inc Reduce 81.48% 1,853,644 1.12
CI - Cigna Group Sell 100.00% 503,380 0.35
Q2 2018
LNG - Cheniere Energy Inc Reduce 27.54% 9,000,000 2.39
Q1 2018
XRX - Xerox Holdings Corp. Reduce 5.26% 1,301,415 0.17
FCX - Freeport-McMoran Inc. Reduce 34.99% 26,994,081 2.26
MTW - Manitowoc Co. Reduce 36.27% 959,581 0.17
AIG - American International Group Sell 100.00% 42,978,619 11.30
PYPL - PayPal Holdings Inc. Sell 100.00% 8,000,000 2.60
Q4 2017
WBT - Welbilt Inc Reduce 4.72% 500,000 0.05
PYPL - PayPal Holdings Inc. Reduce 20.00% 2,000,000 0.61
Q3 2017
AIG - American International Group Reduce 0.05% 21,381 0.01
FCX - Freeport-McMoran Inc. Reduce 15.76% 14,432,505 0.89
Q2 2017
AIG - American International Group Reduce 5.79% 2,644,982 0.83
PYPL - PayPal Holdings Inc. Reduce 68.33% 21,574,653 4.67
XRX - Xerox Holdings Corp. Reduce 75.00% 74,272,524 2.75
Q1 2017
PYPL - PayPal Holdings Inc. Reduce 5.46% 1,822,500 0.33
FDML - Federal Mogul Holdings Corp Sell 100.00% 138,590,141 6.46
NUAN - Nuance Communications Inc Sell 100.00% 18,378,097 1.24
AGN - Allergan Plc Sell 100.00% 425,438 0.40
Q4 2016
PYPL - PayPal Holdings Inc. Reduce 1.48% 500,000 0.10
NUAN - Nuance Communications Inc Reduce 6.60% 1,298,991 0.10
FCX - Freeport-McMoran Inc. Reduce 12.27% 12,763,704 0.71
VLTC - Voltari Corp Sell 100.00% 4,739,620 0.06
Q3 2016
CVRR - Cvr Refng LP Reduce 4.17% 250,000 0.01
NUAN - Nuance Communications Inc Reduce 9.13% 1,976,796 0.15
AGN - Allergan Plc Reduce 87.49% 2,974,562 3.43
CHKEUR - Chesapeake Energy Corp Sell 100.00% 73,050,000 1.56
RIG - Transocean Ltd. Sell 100.00% 21,477,900 1.27
Q2 2016
PYPL - PayPal Holdings Inc. Reduce 10.39% 3,931,266 0.74
NUAN - Nuance Communications Inc Reduce 27.99% 8,414,949 0.76
EZ1 - Enzon Pharmaceuticals Inc Sell 100.00% 5,904,863 0.01
SSEIQ - Seventy Seven Energy Inc Sell 100.00% 4,746,421 0.01
Q1 2016
PYPL - PayPal Holdings Inc. Reduce 18.25% 8,442,951 1.08
NUAN - Nuance Communications Inc Reduce 50.53% 30,715,790 2.15
AAPL - Apple Inc. Sell 100.00% 45,760,848 16.98
HOLX - Hologic, Inc. Sell 100.00% 28,154,879 3.84
TGNA - Tegna Inc Sell 100.00% 12,771,865 1.15
MENT - Mentor Graphics Corp Sell 100.00% 16,120,289 1.05
1627457D - Pep Boys Manny Moe & Jack Sell 100.00% 6,558,083 0.43
GCI1EUR - Gannett Co Inc Sell 100.00% 6,502,574 0.37
Q4 2015
GCI1EUR - Gannett Co Inc Reduce 13.11% 981,109 0.05
AAPL - Apple Inc. Reduce 13.27% 7,000,000 2.88
TGNA - Tegna Inc Reduce 14.67% 2,195,508 0.26
Q3 2015
HOLX - Hologic, Inc. Reduce 17.57% 6,000,000 0.98
EBAY - eBay Inc. Sell 100.00% 46,271,370 11.95
Q2 2015
NFLX - Netflix Inc. Sell 100.00% 1,411,926 2.51
Q1 2015
TLM - Talisman Energy Inc Sell 100.00% 76,060,078 2.47
Q4 2014
AAPL - Apple Inc. Sell 100.00% 52,760,848 16.51
CVRR - Cvr Refng LP Sell 100.00% 6,000,000 0.43
Q3 2014
NFLX - Netflix Inc. Reduce 20.00% 352,981 0.41
Q2 2014
NFLX - Netflix Inc. Reduce 21.37% 479,692 0.51
FQX - Forest Labs Inc Sell 100.00% 30,662,005 8.59
CVRR - Cvr Refng LP Sell 100.00% 6,000,000 0.42
Q1 2014
NFLX - Netflix Inc. Reduce 15.79% 420,958 0.51
Q4 2013
NFLX - Netflix Inc. Reduce 51.89% 2,875,509 3.61
TTWO - Take-Two Interactive Software, Inc. Sell 100.00% 12,020,744 0.89
Q3 2013
DLCA - Dell Inc Sell 100.00% 152,478,650 9.46
HAIN - Hain Celestial Group Inc Sell 100.00% 7,239,963 2.19
WBMD - Webmd Health Corp Sell 100.00% 6,700,525 0.91
Q4 2012
OSK - Oshkosh Corp. Sell 100.00% 8,665,260 2.12
CMC - Commercial Metals Sell 100.00% 7,933,475 0.94
Q3 2012
CMC - Commercial Metals Reduce 0.60% 47,800 0.01
DYNIQ - Dynegy Inc Del Sell 100.00% 18,042,212 0.10
Q2 2012
CMC - Commercial Metals Reduce 23.67% 2,474,716 0.39
MT8 - Motorola Mobility Hldgs Inc Sell 100.00% 26,000,000 10.84
Q1 2012
CMC - Commercial Metals Reduce 9.28% 1,069,009 0.13
MT8 - Motorola Mobility Hldgs Inc Reduce 13.89% 4,192,783 1.40
EP - El Paso Corp Sell 100.00% 72,278,743 16.49
MSI - Motorola Solutions Inc. Sell 100.00% 38,292,235 15.22
AMLN - Amylin Pharmaceuticals Inc Sell 100.00% 14,381,925 1.41
Q4 2011
MT8 - Motorola Mobility Hldgs Inc Reduce 9.89% 3,312,923 1.12
CLX - Clorox Co. Sell 100.00% 12,039,196 7.17
VGR - Vector Group Ltd Sell 100.00% 14,799,852 2.28
Q3 2011
CLX - Clorox Co. Reduce 3.69% 460,804 0.28
2818750Q - Lions Gate Entmnt Corp Sell 100.00% 44,642,069 2.70
Q2 2011
BIIB - Biogen Inc. Sell 100.00% 3,215,051 3.53
GEZ - Genzyme Corp Sell 100.00% 2,620,000 2.98
LWSN - Lawson Software Inc New Sell 100.00% 3,569,729 0.65
CYBX - Cyberonics Inc Sell 100.00% 482,391 0.23
Q1 2011
6686 - Motorola Inc Sell 100.00% 53,609,134 8.37
CHKEUR - Chesapeake Energy Corp Sell 100.00% 5,220,157 2.33
Q1 2010
CIT - Cit Group Inc Sell 100.00% 2,426,334 1.50
TTWO - Take-Two Interactive Software, Inc. Sell 100.00% 1,674,999 0.38
FQ9 - Blockbuster Inc Sell 100.00% 1,113,226 0.01
Q4 2009
YHOO - Yahoo Inc Sell 100.00% 15,113,025 6.05
Q2 2009
GFGFQ - Guaranty Finl Group Sell 100.00% 3,823,308 0.39
CYBX - Cyberonics, Inc. Sell 100.00% 502,152 0.32
Q4 2008
BIIB - Biogen Inc. Reduce 8.20% 287,210 0.29
3486448Q - Lp Nit Imclone Sys Inc Sell 100.00% 11,669,544 14.42
TIN - Temple Inland Inc Sell 100.00% 2,225,671 0.67
LEARQ - Lear Corp Sell 100.00% 2,734,561 0.57
Q3 2008
6686 - Motorola Inc. Sell 100.00% 13,822,660 24.30
WCIMQ - Wci Cmntys Inc. Sell 100.00% 1,279,275 2.12
Q1 2007
TWX - Rlty Corp. Time Warner Inc Sell 100.00% 4,969,078 14.69
3353984Q - Reckson Assocs Sell 100.00% 696,617 4.31
Q4 2006
TWX - Rlty Corp. Time Warner Inc Reduce 63.60% 8,681,959 20.80
Q1 2006
TKTX - Transkaryotic Sell 100.00% 361,500 44.77
2267597Q - Therapies Inc New Vy Corp Sell 100.00% 1,262,686 38.54
Q3 2005
3486448Q - Common Entertainment Corp. Imclone Systems, Common Sell 100.00% 3,827,000 53.23
VGR - Vector Group Ltd. Common Sell 100.00% 8,420,327 42.27
Q4 2004
TSICQ - Tropical Sell 100.00% 889,938 0.80
Q3 2004
HRY - Hallwood Rlty Sell 100.00% 235,000 17.28
GBHDQ - Estate Partners LP GB Hldgs Inc. Sell 100.00% 7,748,744 9.11
Q2 2004
3486448Q - Partners NEW Imclone Systems, Sell 100.00% 5,241,201 58.35
Q1 2004
TSICQ - Tropical Reduce 10.10% 100,000 0.11
Q1 2002
GBHDQ - Form 13F Information Table Name of Reporting Manager: Larch LLC COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8 GB Hldgs Inc. Reduce 76.03% 1,000,000 76.03
Q3 2001
NGH - Item 4: Item 5: Item 6: FAIR SHARES INVEST- Item 7: Item 8: Item 2: Item 3: MARKET OF MENT MANAGERS VOTING AUTHORITY (SHARES) (b) Shared as De- fined (c) (a) in In- Shared (a) (b) (c) Sole str. V Other Sole Shared None Nabisco Group Sell 100.00% 8,272,900 100.00
Q4 1999
PHVPQ - Philips Svcs. Sell 100.00% 18,455,200 38.58
PNOIQ - Corp. Panaco Inc. Sell 100.00% 4,584,921 35.94
KDUS - Ltd. Cadus Pharma- Sell 100.00% 2,258,790 18.89
GOTH - ceutical Corp. Gothic Energy Sell 100.00% 1,400,000 6.59