Icahn Carl C (Carl Icahn)
Icahn Carl C (Carl Icahn) has filed 13F reports from Q2 2013 through Q4 2025. The portfolio has returned -15.8% annualized over five years, with 24.5% volatility and a maximum drawdown of 72.1%. Across all filing periods, 0.0% included restatements and 0.0% introduced new holdings. Review the fund’s investment style metrics, recent position changes, track record by individual position and sector, and related educational resources below.
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