Carl Icahn Q1 2026 Portfolio Trends: Focus on Energy, Shift in Technology Holdings

Carl Icahn's portfolio as of March 31, 2026, shows significant growth in CVR Energy (CVI) and a reduction in EchoStar (SATS), alongside minor adjustments in other positions.

By AI Generated.May 17, 2026, 12:28 AM
Carl Icahn Q1 2026 Portfolio Trends: Focus on Energy, Shift in Technology Holdings

As of March 31, 2026, Carl Icahn's portfolio, managed by Icahn Capital Management, held a total value of approximately $8.55 billion. His largest position remains CVR Energy (CVI), which accounts for 28.01% of his holdings and saw a slight increase in shares (+1.11%) during the quarter.

Icahn also maintained a position in EchoStar Corporation (SATS), though it experienced a substantial reduction, with shares decreasing by 58.13%. His stake in SandRidge Energy, Inc. (SD) increased slightly by 0.74% in shares, adding 36,137 shares to the position.

For more detailed information on Carl Icahn's investment strategies and holdings, visit Carl Icahn's profile. You can explore his individual stock positions, including CVR Energy (CVI), EchoStar Corporation (SATS), and SandRidge Energy (SD), on Insiderset.