Carl Icahn's Portfolio Snapshot: Focus on CVR Energy and EchoStar Corp
Carl Icahn's portfolio, valued at approximately $8.55 billion as of March 31, 2026, features significant holdings in CVR Energy and EchoStar Corp, with notable changes in shares.

As of March 31, 2026, Carl Icahn's portfolio, managed by Icahn Capital Management, is valued at approximately $8.55 billion. His top holdings include significant stakes in CVR Energy Inc (CVI), EchoStar Corporation (SATS), and SandRidge Energy Inc (SD).
CVR Energy Inc (CVI), a major player in the Energy sector, represents the largest allocation at 28.01% of the portfolio. Icahn holds 71,201,875 shares valued at $2.40 billion. There has been a positive change in shares, with an increase of 783,404 shares (1.11%) from the prior period.
EchoStar Corporation (SATS), operating in the Technology sector, is another key holding with a 1.92% allocation and 1,404,542 shares valued at $164.43 million. However, this position has seen a significant reduction, with a decrease of 1,950,000 shares (-58.13%) compared to the previous period.
SandRidge Energy Inc (SD), also in the Energy sector, accounts for 0.94% of the portfolio with 4,947,701 shares valued at $80.70 million. The position has increased slightly by 36,137 shares (0.74%) from the prior period.
For more detailed information on Carl Icahn's investment profile, visit https://www.insiderset.com/investor/carl-icahn-icahn. You can explore details about CVR Energy at https://www.insiderset.com/investors/stocks/CVI, EchoStar Corporation at https://www.insiderset.com/investors/stocks/SATS, and SandRidge Energy at https://www.insiderset.com/investors/stocks/SD.