Icahn Enterprises LP
NASDAQ:IEP
Net Margin
Net Margin shows how much profit a company keeps from each dollar of sales after all expenses, including taxes and interest. It reflects the company`s overall profitability.
Net Margin shows how much profit a company keeps from each dollar of sales after all expenses, including taxes and interest. It reflects the company`s overall profitability.
Peer Comparison
| Country | Company | Market Cap |
Net Margin |
||
|---|---|---|---|---|---|
| US |
|
Icahn Enterprises LP
NASDAQ:IEP
|
4.8B USD |
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|
|
| US |
|
General Electric Co
NYSE:GE
|
329.2B USD |
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|
|
| DE |
|
Siemens AG
XETRA:SIE
|
194.4B EUR |
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|
|
| JP |
|
Hitachi Ltd
TSE:6501
|
23.5T JPY |
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|
|
| US |
|
Honeywell International Inc
NASDAQ:HON
|
152.7B USD |
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|
|
| US |
|
3M Co
NYSE:MMM
|
90.9B USD |
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|
| ZA |
B
|
Bidvest Group Ltd
JSE:BVT
|
82.9B ZAR |
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|
|
| CN |
|
CITIC Ltd
HKEX:267
|
356.4B HKD |
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|
| KR |
|
Samsung C&T Corp
KRX:028260
|
52T KRW |
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|
|
| US |
R
|
Roper Technologies Inc
F:ROP
|
28.8B EUR |
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|
| HK |
|
CK Hutchison Holdings Ltd
HKEX:1
|
243B HKD |
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|
Market Distribution
| Min | -4 418 600% |
| 30th Percentile | -9.6% |
| Median | 3.1% |
| 70th Percentile | 11.3% |
| Max | 1 135 400% |
Other Profitability Ratios
Icahn Enterprises LP
Glance View
Icahn Enterprises LP, a conglomerate led by the legendary investor Carl Icahn, stands as a quintessential example of activist investment strategy turned into a diversified empire. Founded in the early 1980s as Icahn & Co., the entity morphs beyond the traditional investment fund, embodying a multifaceted operation that spans across various sectors. At its core, Icahn Enterprises engages in the practice of acquiring substantial positions in undervalued companies and then leveraging its influence to drive strategic changes aimed at increasing shareholder value. This often involves significant restructuring, cost-cutting measures, or even outright sales of non-core businesses within these companies. Icahn's reputation as a tenacious activist investor precedes him, and it's this strategic intervention that forms the bedrock of enterprise profitability. Diversification further characterizes Icahn Enterprises, as the company holds stakes in a panoply of sectors, from energy and automotive to real estate and manufacturing. The conglomerate operates through a variety of subsidiaries, each contributing to its bottom line. By controlling companies within different industries, Icahn Enterprises mitigates risk and buffers against sector-specific downturns. The symbiosis of active investment management and operational oversight allows Icahn Enterprises not only to generate income from its investments and subsidiaries but also to amplify its influence across industry landscapes. Income streams are thus dual in nature, deriving from both capital gains through strategic exits and operational earnings from businesses it directly manages or significantly influences. This nuanced fusion of investment acumen and strategic management continues to define Icahn Enterprises’ evolution and its enduring presence in the financial world.
See Also
Net Margin is calculated by dividing the Net Income by the Revenue.
The current Net Margin for Icahn Enterprises LP is -4.4%, which is above its 3-year median of -6.2%.
Over the last 3 years, Icahn Enterprises LP’s Net Margin has decreased from -3.2% to -4.4%. During this period, it reached a low of -9.1% on Mar 31, 2025 and a high of -1.3% on Dec 31, 2022.