Summary of Icahn Capital 13F; New Stake In JCP, Ups Stakes in APC, M

February 14, 2008 12:22 PM EST
Summary of Carl Icahn's Icahn Capital LP 13F for the quarter ended December 31, 2007, compared to the quarter ended Sept 30, 2007.

New Stakes:
Amicus Therapeutics, Inc. (Nasdaq: FOLD) new 201,940 share stake
Perry Ellis International Inc. (Nasdaq: PERY) new 206,025 share stake
Forestar Real Estate Group Inc (NYSE: FOR) 1,149,495 share stake (spin-off from Temple-Inland, which Icahn owned a stake in prior.
Guaranty Financial Group (NYSE: GFC) 1,149,495 share stake (spin-off from Temple-Inland, which Icahn owned a stake in prior.
J. C. Penney Company, Inc (NYSE: JCP) new 4,166,271 share stake

Raised Stakes:
Anadarko Petroleum Corp. (NYSE: APC) from 13,578,160 shares to 14,775,468 shares
BEA Systems Inc. (Nasdaq: BEAS) from 13,362,873 shares to 41,456,016 shares (takeover by Oracle)
Blockbuster Inc. (NYSE: BBI) from 9,187,280 (Class A) and 4,452,905 (Class B) to 10,523,840 (Class A) and 4,452,905 (Class B)
Macy's (NYSE: M) from 4,016,669 shares to 5,164,660 shares
Temple-Inland Inc. (NYSE: TIN) from 2,601,056 shares to 3,448,488

Lowered Stakes:
Acora (Nasdaq: ACOR) from 16,293 to 0
Compton Petroleum Corp. (AMEX: CMZ) from 3,500,880 shares to 967,397 shares
Genzyme Corp. (Nasdaq: GENZ) from 1,518,463 shares to 0
MeadWestvaco Corporation (NYSE: MWV) from 2,243,101 to 0
Rowan Companies Inc. (NYSE: RDC) from 2,317,979 to 0
The Childrens Place Retail Stores, Inc. (Nasdaq: PLCE) from 1,128,001 shares to 0

Maintained Stakes:
Adventrx Pharmaceuticals Inc. (AMEX: ANX) 3,459,459 shares
Applera Corp-Applied Biosystems Group (NYSE: ABI) 649,026 shares
Biogen Idec Inc. (Nasdaq: BIIB) 8,256,723 shares
CSX (NYSE: CSX) 2,920,000 shares
Cyberonics Inc. (Nasdaq: CYBX) 2,008,612 shares
Enzon Pharmaceuticals Inc. (Nasdaq: ENZN) 1,760,001 shares
Lear (NYSE: LEA) 9,595,954 shares
Lincoln National Corp. (NYSE: LNC) 646,400 shares
Lions Gate Entertainment Corp. (NYSE: LGF) 4,289,508 shares
Motorola Inc. (NYSE: MOT) 60,466,400 shares
Quest Resource Corp. (Nasdaq: QRCP) 868,002 shares
Regeneron Pharmaceuticals Inc. (Nasdaq: REGN) 2,508,001 shares
Take-Two Interactive Software Inc. (Nasdaq: TTWO) 462,037 shares
Telik Inc. (Nasdaq: TELK) 4,156,663 shares
Time Warner Inc. (NYSE: TWX) 12,933,159 shares
Unum Group (NYSE: UNM) 4,020,960 shares
WCI Communities Inc. (NYSE: WCI) 4,816,450 shares
Williams Companies Inc. (NYSE: WMB) 4,840,724 shares

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