Latest statistics and disclosures from ICAHN CAPITAL's latest quarterly 13F-HR filing:
Top 5 stock holdings are MSI, BIIB, GENZ, CLX, MMI. These five stock positions account for 71.61% of ICAHN CAPITAL's total stock portfolio.
Added to shares of MSI (+$1.37B), CLX (+$700.70M), MMI (+$654.03M), Amgen (+$54.52M), DYN (+$27.50M), FRX (+$14.19M), HAIN (+$11.40M), LWSN (+$8.43M), SUG (+$5.33M).
Started new stock positions in MSI, SUG, CLX, Amgen, MMI. Reduced shares in these stocks: MOT (-$1.94B), CHK (-$634.39M), MAS (-$52.89M), CYBX (-$5.67M), CDNS, NAV.
Sold out of its positions in CDNS, MAS, MOT, NAV. As of March 31, 2011, ICAHN CAPITAL has $6.24B in assets under management (AUM). Assets under management grew from a total value of $5.63B to $6.24B. Independent of market fluctuations, ICAHN CAPITAL was a net buyer by $203.75M worth of stocks in the most recent quarter.