Kahn Brothers Group Holdings Activity

Kahn Brothers Group Portfolio 13F

Kahn Brothers Group has disclosed a total of 36 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 6, bought 1 totally new, decreased the number of shares of 28 and completely sold out 1 position(s).

What stocks is Kahn Brothers Group buying now?

In the recent quarter Kahn Brothers Group has bought 7 securities out of which top 5 purchases (by % change to portfolio) are (BAYRY) BAYER AG-SPONSORED ADR (new buy), (T) AT&T INC (added shares +152.25%), (MBI) MBIA INC (added shares +0.42%), (BAC) BANK OF AMERICA CORP (added shares +7.65%) and (VZ) VERIZON COMMUNICATIONS INC (added shares +4.84%).

What does Kahn Brothers Group invest in?

Kahn Brothers Group's top 5 holdings (by % of portfolio) are (AGO) ASSURED GUARANTY LTD (11.64%), (MRK) MERCK & CO INC (10.73%), (NYCB) NEW YORK COMMUNITY BANCORP (9.93%), (C) CITIGROUP INC COM NEW (9.8%) and (BP) BP PLC-SPONS ADR (9.56%).

In the latest report(s) the following changes have been made to the top investments: (AGO) ASSURED GUARANTY LTD (reduced shares -3.4%), (MRK) MERCK & CO INC (reduced shares -2.23%), (NYCB) NEW YORK COMMUNITY BANCORP (reduced shares -2.13%), (C) CITIGROUP INC COM NEW (reduced shares -0.52%) and (BP) BP PLC-SPONS ADR (reduced shares -3.37%).

2015 Q3 (32 results)
IDW
buy
+80,690
+0.57%
$37.98
98.87% $0.43
0.57%
MBI
+29.60%
+630,129
+1.15%
$6.08
4.93% $6.38
5.05%
NTP
+23.91%
+697,377
+0.79%
$6.10
30.82% $4.22
4.08%
BP
+12.45%
+113,575
+0.64%
$30.56
26.64% $38.70
5.80%
BB
+9.29%
+306,725
+0.35%
$6.13
52.20% $2.93
4.10%
PTEN
+6.73%
+68,680
+0.17%
$13.14
18.72% $10.68
2.65%
VOXX
+5.38%
+82,600
+0.11%
$7.42
17.12% $6.15
2.22%
NVS
+1.42%
+400
+0.01%
$91.92
5.82% $97.27
0.49%
T
+0.60%
+70
+0.00%
$32.58
48.28% $16.85
0.07%
STL
-0.22%
-1,322
-0.01%
$14.87
76.80% $26.29
2.91%
NYT
-0.22%
-8,850
-0.02%
$11.81
281.37% $45.04
8.60%
TPHS
-0.26%
-3,000
-0.00%
$6.25
97.76% $0.14
1.35%
C
-0.31%
-3,440
-0.03%
$49.61
24.01% $61.52
10.32%
IDT
-0.75%
-2,355
-0.01%
$14.30
166.64% $38.13
1.28%
MRKC
-1.02%
-10,405
-0.10%
$49.39
-
9.20%
GNE
-1.05%
-4,457
-0.01%
$8.23
92.35% $15.83
0.64%
GSK
-1.20%
-369
-0.00%
$48.06
9.49% $43.50
0.41%
HOLX
-1.31%
-17,800
-0.13%
$39.13
95.60% $76.54
9.72%
FNFG
-1.35%
-1,201
-0.00%
$10.21
-
0.25%
STRP
-1.95%
-4,673
-0.03%
$40.41
-
1.76%
1856613D
-4.66%
-406
-0.01%
$85.34
-
0.13%
CMCSA
-5.46%
-2,400
-0.01%
$28.44
36.04% $38.69
0.22%
PFE
-5.85%
-103,836
-0.60%
$31.41
11.46% $27.81
9.72%
BAC
-6.59%
-3,106
-0.01%
$15.58
139.09% $37.25
0.13%
NYCB
-9.45%
-173,505
-0.97%
$18.06
80.45% $3.53
9.26%
LRK
-16.16%
-3,442
-0.03%
$25.51
-
0.13%
ORI
-24.15%
-157,538
-0.78%
$15.64
95.78% $30.62
2.45%
NAVI
-39.15%
-131,373
-0.27%
$11.24
42.17% $15.98
0.42%
SLM
-41.07%
-41,530
-0.06%
$7.40
197.43% $22.01
0.08%
FFIC
-100.00%
-9,445
-0.04%
$21.01
42.17% $12.15
0.00%
NEU
-100.00%
-870
-0.07%
$443.89
23.20% $546.89
0.00%
CTTMF
-100.00%
-7,839
-0.35%
$240.00
99.61% $0.93
0.00%
32 of 1,353

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.