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VKSC News and Press, Viskase Cos Inc

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Company Name: Viskase Cos Inc
Stock Symbol: VKSC
Market: OTC
Website: www.viskase.com

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VKSC - Tracking Carl Icahn's Portfolio - Q4 2022 Update

2023-03-09 23:03:35 ET Summary Carl Icahn’s 13F portfolio value increased from $21.23B to $21.75B this quarter. They decreased Cheniere Energy substantially this quarter. Icahn Enterprises, CVR Energy, and FirstEnergy are the three largest positions. This arti...

VKSC - Tracking Carl Icahn's Portfolio - Q2 2022 Update

Summary Carl Icahn’s 13F portfolio value decreased from $21.87B to $20.86B this quarter. They reduced Cheniere Energy while increasing Southwest Gas Holdings. Icahn Enterprises, CVR Energy, and Cheniere Energy are the three largest positions. This article is p...

VKSC - Tracking Carl Icahn's Portfolio - Q1 2022 Update

Carl Icahn’s 13F portfolio value decreased from $22.29B to $21.87B this quarter. They reduced Cheniere Energy and Newell Brands during the quarter. They also dropped Occidental Petroleum. Icahn Enterprises, CVR Energy, and Cheniere Energy are the three largest positions. ...

VKSC - Tracking Carl Icahn's Portfolio - Q4 2021 Update

Carl Icahn’s 13F portfolio value decreased from $22.52B to $22.29B this quarter. They increased Southwest Gas Holdings during the quarter. Icahn Enterprises, Cheniere Energy, and Occidental Petroleum are the three largest positions. For further details see: Tracki...

VKSC - Tracking Carl Icahn's Portfolio - Q2 2021 Update

Carl Icahn’s 13F portfolio value increased from $23.85B to $24.29B this quarter. They decreased Occidental Petroleum and dropped Herbalife during the quarter. Icahn Enterprises, Occidental Petroleum, and Cheniere Energy are the three largest positions. For further det...

VKSC - Tracking Carl Icahn's Portfolio - Q1 2021 Update

Carl Icahn’s 13F portfolio value increased from $20.06B to $23.85B this quarter. They added FirstEnergy and increased Bausch Health & Dana Inc. while reducing Herbalife. Icahn Enterprises, Occidental Petroleum, and CVR Energy are the three largest positions. For f...

VKSC - Tracking Carl Icahn's Portfolio - Q4 2020 Update

Carl Icahn’s 13F portfolio value increased from $17.37B to $20.06B this quarter. They added Bausch Health and Dana Corp. while reducing Cheniere Energy. Icahn Enterprises, Occidental Petroleum, and CVR Energy are the three largest positions. For further details see: ...

VKSC - Tracking Carl Icahn's Portfolio - Q3 2020 Update

Carl Icahn’s 13F portfolio value decreased from $19.72B to $17.37B this quarter. Xerox was increased while decreasing Herbalife and dropping Caesars Entertainment. Also, some Occidental Petroleum warrants (22 strike, 8/3/2027 expiry) were acquired during the quarter. Icahn ...

VKSC - Tracking Carl Icahn's Portfolio - Q2 2020 Update

This article is part of a series that provides an ongoing analysis of the changes made to Carl Icahn's 13F portfolio on a quarterly basis. It is based on Icahn's regulatory 13F Form filed on 08/14/2020. Please visit our Tracking Carl Icahn's Portfolio series to get an idea of his investmen...

VKSC - Tracking Carl Icahn's Portfolio - Q1 2020 Update

This article is part of a series that provides an ongoing analysis of the changes made to Carl Icahn’s 13F portfolio on a quarterly basis. It is based on Icahn’s regulatory 13F Form filed on 05/15/2020. Please visit our Tracking Carl Icahn’s Portfolio series to get an ...

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