Billionaire Carl Icahn has majority of portfolio in one stock, highlighting potential risk.
From Nasdaq: 2024-04-16 10:00:00
Carl Icahn manages a $10 billion portfolio, with most of it in one stock highlighted by Travis Hoium. Stock prices used were from April 9, 2024, in a video published on April 10, 2024.
Considerations before investing in Icahn Enterprises include the Motley Fool identifying 10 best stocks for investors, excluding Icahn. Their Stock Advisor service has outperformed the S&P 500 since 2002, providing guidance and two new stock picks monthly. Returns were calculated as of April 15, 2024.
Travis Hoium has positions in Apple, as recommended by The Motley Fool, which also recommends Occidental Petroleum. Hoium’s affiliation with The Motley Fool may result in compensation, but opinions remain independent. The views expressed are the author’s and do not necessarily represent those of Nasdaq, Inc.
Read more at Nasdaq: Billionaire Carl Icahn Has a Whopping 62% of His Portfolio in 1 Stock
