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  • Gurus
  • Value
  • KAHN BROTHERS GROUP INC (Data extracted from 13F, 13D, 13G and Form 4)

KAHN BROTHERS GROUP INC

13-F Portfolio Value: $564.07 M
Last 13-F Filed: Q1 2026
Concentration in top 10: 78.17%
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Stock Company % Portfolio Shares Held Market Value Change in Shares % Change Quarter End Price Source
CCitigroup Inc16.89%840,897$95,366,128-35,381-4.04%$113.4113F
BAYRYBayer AG Spons ADR13.24%6,513,893$74,777,216-240,398-3.56%$11.4813F
FLGFlagstar Financial, Inc.9.52%4,083,618$53,781,249-93,594-2.24%$13.1713F
DISWalt Disney6.47%378,909$36,519,249-15,460-3.92%$96.3813F
GOOGAlphabet Inc Class C6.20%122,029$35,005,238-13,387-9.89%$286.8613F
SEBSeaboard Corp5.88%5,871$33,194,751-1,414-19.41%$5654.0213F
OGNOrganon & Co5.87%5,536,993$33,166,5881,907,54252.56%$5.9913F
BPBP PLC5.18%622,256$29,246,032-416,146-40.08%$4713F
MRKMerck & Co. Inc.4.84%227,288$27,340,511-202,815-47.15%$120.2913F
ZZillow Group4.00%545,212$22,560,872545,212New$41.3813F
SEGSeaport Entertainment Group Inc.3.51%893,227$19,847,504No Change13G
IDTIDT Corp3.24%372,566$18,292,990-19,445-4.96%$49.113F
PTENPatterson Uti Energy3.24%1,690,156$18,304,389-51,857-2.98%$10.8313F
PFEPfizer2.41%484,733$13,611,302-69,217-12.5%$28.0813F
MBIM B I A Inc2.15%2,056,434$12,153,5241,027,65099.89%$5.9113F
BMYBristol-Myers Squibb1.83%170,381$10,333,607-31,815-15.73%$60.6513F
GSKGSK PLC ADR1.57%160,982$8,884,596-17,714-9.91%$55.1913F
XOMExxonMobil0.55%18,255$3,097,143-1,962-9.7%$169.6613F
GNEGenie Energy0.44%175,011$2,474,655-15,301-8.04%$14.1413F
NVSNovartis AG Sponsored ADR0.36%13,386$2,044,711-292-2.13%$152.7513F
FRFHFFairfax Finl HLDGS LTD Sub VTG0.31%1,018$1,729,242No Change$1698.6713F
CSXCSX Corp Com0.27%36,481$1,497,545-1,050-2.8%$41.0513F
FBAKFirst Natl BK Alaska Com0.26%4,920$1,471,080No Change$29913F
TRMLFTourmaline Oil Corp0.23%26,959$1,286,318No Change$47.7113F
JPMJPMorgan Chase0.15%2,818$828,942-650-18.74%$294.1613F
AAPLApple Inc Com0.14%3,092$784,718No Change$253.7913F
MSFTMicrosoft0.14%2,092$774,395-300-12.54%$370.1713F
PEYUFPeyto Expl & Dev Corp0.11%31,307$609,806-550-1.73%$19.4813F
HLNHaleon PLC0.10%56,431$564,874-8,890-13.61%$10.0113F
SEICSei Invt Co Pa PV $0.010.09%6,596$517,588No Change$78.4713F
BACBank Of America Corp0.08%9,459$461,126-1,025-9.78%$48.7513F
CVXChevron Corp.0.07%1,953$404,075-50-2.5%$206.913F
AMAntero Midstream0.05%11,806$269,176-7,050-37.39%$22.813F
BXBlackstone Inc Com0.05%2,300$264,477No Change$114.9913F
IBMIntl Business Machines0.05%1,228$297,654No Change$242.3913F
OBTOrange CNTY Bancorp0.05%8,000$255,840No Change$31.9813F
PNCPNC Finl SVCS Group0.05%1,342$279,256-915-40.54%$208.0913F
PEPPepsico Inc Com0.05%1,800$279,522No Change$155.2913F
PGProcter & Gamble0.05%1,852$267,502-15-0.8%$144.4413F
PEGPublic SVC Enterprise Group0.05%3,524$285,267-900-20.34%$80.9513F
VZVerizon0.05%5,682$285,236-2,465-30.26%$50.213F
DBDeutsche Bank AG Namen Akt0.05%10,000$297,800No Change$29.7813F
CMCSAComcast Corp New CL A0.04%7,169$205,8211442.05%$28.7113F
PIFYFPine Cliff Energy LTD Com0.04%520,000$253,403No Change$0.4913F
WRLCWindrock LTD Co0.04%537$251,853-32-5.62%$46913F
ZDGEZedge Inc0.04%77,928$228,329-4,630-5.61%$2.9313F
RFLRafael Holdings Inc0.01%58,557$73,196-689-1.16%$1.2513F
Tphgreenwich Trust Uni166,999No Change13F
AXPAmerican Express Co Com-610Exited13F
ARAntero Res Corp Com-6,242Exited13F
BNBrookfield Corp VTG SHS CL A-5,070Exited13F
NAVINavient Corp-20,600Exited13F
NVDANvidia Corp Com-1,740Exited13F
WBSWebster Finl Co-29,833Exited13F
AGOAssured Guaranty LTD F-3,110Exited13F