Kahn Brothers Group Holdings Activity

Kahn Brothers Group Portfolio 13F

Kahn Brothers Group has disclosed a total of 43 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 4, bought 1 totally new, decreased the number of shares of 31 and completely sold out 7 position(s).

What stocks is Kahn Brothers Group buying now?

In the recent quarter Kahn Brothers Group has purchased 5 securities: (Z) ZILLOW GROUP INC - C (new buy), (OGN) ORGANON & CO (added shares +52.56%), (SEG) SEAPORT ENTERTAINMENT GROUP (added shares +52.38%), (MBI) MBIA INC (added shares +99.89%) and (CMCSA) COMCAST CORP-CLASS A (added shares +2.05%).

What does Kahn Brothers Group invest in?

Kahn Brothers Group's top 5 holdings (by % of portfolio) are (C) CITIGROUP INC COM NEW (16.91%), (BAYRY) BAYER AG-SPONSORED ADR (13.26%), (FLG) FLAGSTAR FINANCIAL INC (9.53%), (DIS) WALT DISNEY CO/THE (6.47%) and (GOOG) ALPHABET INC-CL C (6.21%).

In the latest report(s) the following changes have been made to the top investments: (C) CITIGROUP INC COM NEW (reduced shares -4.04%), (BAYRY) BAYER AG-SPONSORED ADR (reduced shares -3.56%), (FLG) FLAGSTAR FINANCIAL INC (reduced shares -2.24%), (DIS) WALT DISNEY CO/THE (reduced shares -3.92%) and (GOOG) ALPHABET INC-CL C (reduced shares -9.89%).

2017 Q3 (31 results)
T
+112.90%
+5,582
+0.03%
$39.17
40.59% $23.27
0.06%
VOXX
+58.21%
+1,343,600
+1.76%
$8.55
-
4.77%
PTEN
+39.44%
+363,985
+1.16%
$20.94
42.69% $12.00
4.12%
AGO
+15.98%
+124,130
+0.72%
$37.75
101.80% $76.18
5.20%
IDT
+1.12%
+6,004
+0.01%
$14.08
293.18% $55.36
1.17%
GNE
+1.00%
+4,003
+0.00%
$6.55
115.42% $14.11
0.41%
IDW
+0.89%
+690
+0.01%
$48.50
-
0.58%
BP
+0.65%
+9,035
+0.05%
$38.43
-
8.27%
NTP
+0.33%
+6,620
+0.01%
$7.97
-
2.42%
STL
+0.33%
+3,061
+0.01%
$24.65
-
3.47%
NVS
-0.26%
-67
-0.00%
$85.85
-
0.34%
NYCB
-0.47%
-9,323
-0.02%
$12.89
-
3.85%
MRKC
-1.51%
-14,110
-0.14%
$64.03
-
8.99%
BB
-1.78%
-80,550
-0.14%
$11.18
19.41% $9.01
7.58%
C
-2.13%
-21,826
-0.24%
$72.74
85.78% $135.14
11.17%
XOM
-2.61%
-450
-0.01%
$81.98
83.69% $150.59
0.21%
BMY
-2.72%
-533
-0.01%
$63.74
10.79% $56.86
0.19%
GSK
-3.22%
-27,160
-0.21%
$50.75
-
6.33%
MBI
-3.28%
-147,104
-0.20%
$8.70
29.08% $6.17
5.76%
PFE
-3.48%
-20,121
-0.11%
$35.70
26.36% $26.29
3.04%
SEB
-4.69%
-388
-0.27%
$4,505.00
16.44% $5,245.81
5.43%
CMCSA
-7.55%
-1,578
-0.01%
$38.48
37.45% $24.07
0.11%
TPHS
-7.71%
-80,921
-0.09%
$7.02
99.72% $0.02
1.04%
HOLX
-8.46%
-67,649
-0.38%
$36.69
-
4.10%
NYT
-9.40%
-322,978
-0.97%
$19.60
273.83% $73.27
9.32%
ZDGE
-10.51%
-16,318
-0.00%
$1.92
62.50% $3.12
0.04%
1856613D
-25.31%
-604
-0.01%
$119.82
-
0.00%
BAC
-26.55%
-7,334
-0.03%
$25.34
115.90% $54.71
0.08%
NAVI
-28.53%
-20,755
-0.05%
$15.02
48.14% $7.79
0.12%
STRP
-67.57%
-117,018
-3.23%
$180.67
-
1.55%
IBM
-98.50%
-3,273
-0.07%
$145.08
87.71% $272.33
0.00%
31 of 1,737

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.