Carl Icahn discloses updated portfolio positions in 13F filing: Exited HPQ FCX positions
Highlights from 2020 Q2 filing as compared to Q1 2020:
- Increased positions in: IEP (to ~205.06 mln shares from ~197.05 mln shares), TEN (to ~9.14 mln from ~5.65 mln), LNG (to ~20.82 mln from ~20.16 mln)
- Maintained positions in: OXY (~88.63 mln shares), CVI (~71.2 mln shares), NWL (~43.7 mln shares), HLF (~35.23 mln shares), XRX (~23.46 mln shares), NAV (~16.73 mln shares), DK (~10.54 mln shares)
- Closed positions in: HPQ (from ~62.9 mln shares), HTZ (from ~55.34 mln), FCX (from ~26.77 mln)
- Decreased positions in: CLDR (to ~52.33 mln shares from ~54.8 mln shares)