Carl Icahn discloses updated portfolio positions in 13F filing: Lowered FCX position, Maintained CVI AIG LNG HTZ XRX HLF NAV PYPL holdings
Highlights from 2017 Q3 filing as compared to 2017 Q2 filing:
- Maintained positions in: CVI (~71.2 mln shares), AIG (~42.98 mln shares), LNG (~32.68 mln shares), HTZ (~29.26 mln shares), XRX (~24.76 mln shares), HLF (~22.87 mln shares), NAV (~16.73 mln shares), PYPL (~10 mln shares)
- Decreased positions in: IEP (to ~153.49 mln shares from ~149.28 mln shares), FCX (to ~77.16 mln from ~91.59 mln)