13F / manager view

How similar are
these two books?

PMCIOQuantLPGP
Compare complete normalized common-stock issuer overlap across Q1 and Q2, then inspect opposing actions in the bounded Q2 evidence window.
  • Q1 → Q2 2026
  • 16 managers
  • Common stock only
Pair selector

Choose two different managers. Each pair has a permanent URL. Cohort badges stay visible so unlike books are not read as equivalent conviction.

FundamentalIcahn Associates
SEC ↗Up to 100 Q2 common issuers plus 0 featured issuers. This is not the entire book.
FundamentalSoros Fund Management
SEC ↗Up to 100 Q2 common issuers plus 21 featured issuers. This is not the entire book.
Icahn Associates12issuers in coverage
Soros Fund Management121issuers in coverage
01 / portfolio similarityfull normalized common books · Q1 and Q2
Fundamental · same-cohort comparison
Q2 shared issuers
3
of 257 in the union
Q2 issuer overlap
1.2%
Jaccard · shared / union
Q2 weighted overlap
1.0%
sum of smaller normalized weights
Q1 → Q2 weighted change
+1.0 pp
Q1 0.0%
Q1 → Q2 issuer change
+1.2 pp
Q1 0.0%

Similarity describes disclosed common-stock issuer overlap. It does not measure live exposure, intent, conviction or fund returns.

Largest shared Q2 issuer weights
Shared issuerIcahn Associates weightSoros Fund Management weightOverlap contribution
AMERICAN ELEC PWR CO INCCUSIP prefix 0255370.7%1.4%0.7%
Caesars Entertainment, Inc.CUSIP prefix 12769G0.9%0.2%0.2%
JetBlue Airways Corp.CUSIP prefix 4771431.4%0.1%0.1%
02 / bounded action windowcurrent common issuers within coverage
Shared current issuers within coverage
1
Left-only current issuers within coverage
11
Right-only current issuers within coverage
118
Opposing actions
1
03 / opposing actionssame issuer · opposite direction
Issuer values by manager
IssuerIcahn AssociatesSoros Fund Management
American Electric Power CompanyCUSIP prefix 025537decreased434,710 shares · $59,472,675new768,000 shares · $105,070,080
04 / side-by-side coveragetop 50 displayed
Issuer values by manager
IssuerIcahn AssociatesSoros Fund Management
Icahn Enterprises LPCUSIP prefix 451100increased618,393,343 shares · $4,458,616,003Not in coverage
CVR Energy IncCUSIP prefix 12662Punchanged71,201,875 shares · $1,960,899,637Not in coverage
CVR Partners, LPCUSIP prefix 126633unchanged4,164,274 shares · $464,233,266Not in coverage
Centuri Holdings, Inc.CUSIP prefix 155923unchanged14,336,044 shares · $433,521,971Not in coverage
International Flavors and Fragrances Inc.CUSIP prefix 459506unchanged4,275,000 shares · $338,665,500Not in coverage
AMAZON COM INCCUSIP prefix 023135Not in coveragedecreased1,182,529 shares · $281,843,962
ALPHABET INCCUSIP prefix 02079KNot in coverageincreased1,796,286 shares · $273,265,811
TAIWAN SEMICONDUCTOR MANUFACCUSIP prefix 874039Not in coveragedecreased522,158 shares · $249,366,996
GLOBAL PMTS INCCUSIP prefix 37940XNot in coverageunchanged247,500,000 shares · $222,694,485
NVIDIA CORPORATIONCUSIP prefix 67066GNot in coveragedecreased1,064,635 shares · $213,022,817
LUMENTUM HLDGS INCCUSIP prefix 55024UNot in coveragedecreased28,506,000 shares · $207,543,376
ELECTRONIC ARTS INCCUSIP prefix 285512Not in coverageincreased970,990 shares · $199,091,790
BILL HOLDINGS INCCUSIP prefix 090043Not in coveragedecreased209,704,662 shares · $182,284,192
PG&E CORPCUSIP prefix 69331CNot in coverageunchanged175,000,000 shares · $179,601,903
American Electric Power CompanyCUSIP prefix 025537decreased434,710 shares · $59,472,675new768,000 shares · $105,070,080
RIVIAN AUTOMOTIVE INCCUSIP prefix 76954ANot in coveragedecreased131,565,000 shares · $155,838,659
APPLE INCCUSIP prefix 037833Not in coverageincreased529,538 shares · $153,227,116
EchoStar CorporationCUSIP prefix 278768unchanged1,404,542 shares · $142,561,013Not in coverage
LINDE PLCCUSIP prefix G54950Not in coverageincreased267,349 shares · $138,738,090
JetBlue Airways Corp.CUSIP prefix 477143decreased20,658,179 shares · $118,371,366Not in coverage
TKO GROUP HOLDINGS INCCUSIP prefix 87256CNot in coveragedecreased578,157 shares · $116,388,786
SUPER MICRO COMPUTER INCCUSIP prefix 86800UNot in coveragenew2,175,408 shares · $111,471,398
ENTERGY CORP NEWCUSIP prefix 29364GNot in coverageincreased913,912 shares · $104,971,932
DROPBOX INCCUSIP prefix 26210CNot in coverageunchanged103,500,000 shares · $104,610,636
JD.COM INCCUSIP prefix 47215PNot in coveragedecreased100,000,000 shares · $98,546,765
ITRON INCCUSIP prefix 465741Not in coverageincreased1,137,853 shares · $98,458,420
DIGITAL RLTY TR INCCUSIP prefix 253868Not in coverageincreased539,618 shares · $96,904,600
BLACKLINE INCCUSIP prefix 09239BNot in coverageunchanged101,000,000 shares · $93,258,284
CHART INDS INCCUSIP prefix 16115QNot in coveragedecreased416,233 shares · $86,967,723
Monro, Inc.CUSIP prefix 610236unchanged5,078,573 shares · $86,894,384Not in coverage
NEBIUS GROUP N.V.CUSIP prefix N97284Not in coveragenew310,000 shares · $85,612,700
WEBSTER FINL CORPCUSIP prefix 947890Not in coverageincreased1,113,487 shares · $85,092,677
IDACORP INCCUSIP prefix 451107Not in coveragedecreased546,085 shares · $82,622,661
SNAP INCCUSIP prefix 83304ANot in coverageunchanged98,000,000 shares · $81,196,420
NEXTERA ENERGY INCCUSIP prefix 65339FNot in coverageincreased1,627,578 shares · $77,944,001
H2O AMERICACUSIP prefix 784305Not in coverageincreased1,254,368 shares · $76,227,943
APOGEE THERAPEUTICS INCCUSIP prefix 03770NNot in coveragenew564,500 shares · $74,926,085
CMS ENERGY CORPCUSIP prefix 125896Not in coveragedecreased970,362 shares · $74,232,693
Caesars Entertainment, Inc.CUSIP prefix 12769Gunchanged2,440,109 shares · $73,642,490Not in coverage
MICROSOFT CORPCUSIP prefix 594918Not in coveragedecreased189,971 shares · $70,862,982
BRIGHTHOUSE FINL INCCUSIP prefix 10922NNot in coverageincreased1,116,250 shares · $70,658,625
SMURFIT WESTROCK PLCCUSIP prefix G8267PNot in coveragedecreased1,512,798 shares · $69,982,035
SandRidge Energy, Inc.CUSIP prefix 80007Pincreased5,054,907 shares · $69,252,220Not in coverage
BERKSHIRE HATHAWAY INC DELCUSIP prefix 084670Not in coverageunchanged133,277 shares · $66,690,478
SOUTHERN COCUSIP prefix 842587Not in coveragenew65,000,000 shares · $65,774,926
DIGITALBRIDGE GROUP INCCUSIP prefix 25401TNot in coveragenew4,118,793 shares · $64,994,554
MEDLINE INCCUSIP prefix 58507VNot in coverageincreased1,638,244 shares · $64,612,343
DEXCOM INCCUSIP prefix 252131Not in coverageincreased67,977,000 shares · $63,521,812
BROADCOM INCCUSIP prefix 11135FNot in coverageincreased165,246 shares · $62,421,677
WEC ENERGY GROUP INCCUSIP prefix 92939UNot in coverageincreased528,369 shares · $61,697,648
Coverage / method

Similarity metrics use the complete normalized common-stock issuer book for each manager in Q1 and Q2. The action tables provide a separate bounded evidence window. Each manager contributes up to 100 current Q2 common issuers by reported value. The window also includes featured issuers that the manager holds or changed. Both views exclude CALL and PUT rows.