Carl Icahn March 2026 Portfolio Update: Key Holdings Shifts Revealed
Carl Icahn's Icahn Capital Management portfolio valued at $8.55 billion as of March 31, 2026, shows notable changes in major energy and technology holdings.

Carl Icahn's Icahn Capital Management portfolio, valued at approximately $8.55 billion as of March 31, 2026, saw significant shifts in its top holdings during the reporting period.
Energy sector company CVR Energy Inc (CVI) remains the largest position at 28.01% allocation, with a slight increase of 1.11% in shares held. Icahn also increased his stake in SandRidge Energy, Inc. (SD) by 0.74%, now accounting for 0.94% of the portfolio.
In contrast, technology company EchoStar Corporation (SATS) experienced a substantial decrease, with shares down by 58.13% from the previous period, reducing its portfolio allocation to 1.92%.