Carl Icahn Stock Portfolio & Analysis

Carl Icahn Stock Portfolio & Analysis

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Carl Icahn Indicators

Strengths + Opportunities = 85

Threats + Weaknesses = 68

When strengths & opportunities substantially exceed threats & weaknesses an investment in Carl Icahn has great long term potential. Click on top ten investments to see SWOT analysis statements for each of Carl Icahn's top holdings.

Carl Icahn began his career on Wall Street in 1961. He is a corporate raider, private equity investor and American Financier. He began Icahn & Co. in 1968. The firm focuses on options trading and risk arbitrage. Starting in 1978, Mr. Icahn began to take control of positions in individual companies. These companies include Western Union, Marvel Comics, Motorola and Texaco. In 2008, Mr. Icahn began the Icahn Report that campaigns for shareholder rights. The report normally host the United Shareholders of America. Individual investors are able to sign up and take part. He also has a foundation, the Children's Rescue Fund, that recently built a house in The Bronx. The sixty-five unit complex houses single mothers and the homeless.

Investment Impacts (help)

USA Country Flag Image & Analysis

USA Report The United States (US) has a highly productive, capitalist economy and is the largest and most diverse market in the world. USA's Fundamental Currency Analysis (short term investment): the US dollar (USD) has the potential to increase in value especially versus the Australian and Canadian dollar because of the significant potential of undervalued companies. USA's Value Investor Survey (short term investment): the economic environment is very favorable for long term economic growth due to high scores on economic freedom and economic diversity. USA's Currency Trading Strategy: An undervalued currency, high investment flow potential and favorable business environment lead to a positive outlook for US investments, which will also benefit from positive international actions.