Kahn Brothers Group Holdings Activity

Kahn Brothers Group Portfolio 13F

Kahn Brothers Group has disclosed a total of 49 changes to the portfolio in the latest (2024 Q1) SEC report(s): increased the number of shares of 6, bought 13 totally new, decreased the number of shares of 27 and completely sold out 3 position(s).

What stocks is Kahn Brothers Group buying now?

In the recent quarter Kahn Brothers Group has bought 19 securities out of which top 5 purchases (by % change to portfolio) are (OGN) ORGANON & CO (added shares +3242.41%), (BAYRY) BAYER AG-SPONSORED ADR (added shares +334.97%), (DIS) WALT DISNEY CO/THE (new buy), (MBI) MBIA INC (added shares +7.18%) and (FRFHF) FAIRFAX FINANCIAL HLDGS LTD (new buy).

What does Kahn Brothers Group invest in?

Kahn Brothers Group's top 5 holdings (by % of portfolio) are (AGO) ASSURED GUARANTY LTD (12.56%), (MRK) MERCK & CO INC (12.01%), (C) CITIGROUP INC COM NEW (11.25%), (BP) BP PLC-SPONS ADR (9.31%) and (GSK) GLAXOSMITHKLINE PLC-SPON ADR (7.97%).

In the latest report(s) the following changes have been made to the top investments: (AGO) ASSURED GUARANTY LTD (reduced shares -1.7%), (MRK) MERCK & CO INC (reduced shares -1.72%), (C) CITIGROUP INC COM NEW (reduced shares -0.82%), (BP) BP PLC-SPONS ADR (reduced shares -2.81%) and (GSK) GLAXOSMITHKLINE PLC-SPON ADR (reduced shares -0.46%).

2014 Q3 (33 results)
NYT
-1.87%
-78,162
-0.15%
$11.22
344.65% $49.89
8.08%
HOLX
-0.04%
-570
-0.00%
$24.33
203.33% $73.80
6.10%
IDT
-1.23%
-8,199
-0.02%
$16.06
157.41% $41.34
1.72%
SLM
-1.51%
-13,760
-0.02%
$8.56
145.09% $20.98
1.25%
BAC
-1.29%
-399
-0.00%
$17.05
132.84% $39.70
0.15%
GNE
-9.13%
-59,809
-0.07%
$7.03
120.63% $15.51
0.68%
ORI
-6.48%
-146,750
-0.34%
$14.28
120.59% $31.50
4.92%
STL
-0.60%
-7,331
-0.02%
$12.79
105.55% $26.29
2.89%
CMCSA
+9.00%
+2,312
+0.02%
$26.89
43.32% $38.54
0.23%
NEU
-5.26%
-50
-0.00%
$381.02
42.52% $543.02
0.06%
SEB
-6.16%
-626
-0.30%
$2,674.99
25.23% $3,350.00
4.64%
C
-11.30%
-156,584
-1.32%
$51.82
22.69% $63.58
10.36%
KEY
-16.13%
-2,996
-0.01%
$13.33
8.63% $14.48
0.03%
NVS
+15.17%
+4,000
+0.06%
$94.13
6.80% $100.53
0.46%
PFE
-6.56%
-126,788
-0.67%
$29.57
2.33% $28.88
9.55%
IBM
+122.77%
+3,940
+0.12%
$189.83
9.98% $170.89
0.22%
NAVI
-1.37%
-12,500
-0.04%
$17.71
14.62% $15.12
2.59%
BP
-6.84%
-61,960
-0.44%
$43.95
16.45% $36.72
6.04%
GSK
buy
+40,800
+0.38%
$57.46
21.48% $45.12
0.38%
FFIC
+53.36%
+5,400
+0.02%
$18.27
27.97% $13.16
0.05%
NTP
-1.15%
-43,561
-0.04%
$6.07
30.48% $4.22
3.68%
MBI
-7.35%
-176,961
-0.28%
$9.18
39.11% $5.59
3.49%
T
-22.44%
-2,049
-0.02%
$35.24
50.34% $17.50
0.07%
VOXX
-6.07%
-108,304
-0.19%
$9.30
58.71% $3.84
2.93%
PTEN
-30.71%
-277,500
-1.47%
$32.53
66.80% $10.80
3.31%
BB
-6.85%
-62,347
-0.18%
$9.94
71.03% $2.88
2.52%
NYCB
-5.38%
-188,329
-0.52%
$15.87
79.02% $3.33
9.10%
CTTMF
-0.55%
-57
-0.00%
$73.00
98.73% $0.93
0.12%
LRK
-2.67%
-1,823
-0.01%
$23.14
-
0.26%
PHEL.K
-46.25%
-13,080
-0.09%
$41.15
-
0.10%
MRKC
-0.97%
-10,885
-0.10%
$59.28
-
10.69%
FNFG
-0.03%
-20
-0.00%
$8.33
-
0.19%
STRP
-0.77%
-2,582
-0.01%
$15.75
-
0.85%
33 of 1,402

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.