Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
ASSURED GUARANTY | 987,372 | -34,767 | $73,885 |
AGO | 987,372 | -34,767 | $73,885 |
MERCK | 624,541 | -14,252 | $68,088 |
MRK | 624,541 | -14,252 | $68,088 |
NEW YORK COMMUNITY | 6,160,014 | -133,885 | $63,017 |
NYCB | 6,160,014 | -133,885 | $63,017 |
CITIGROUP | 1,209,368 | -6,316 | $62,210 |
C | 1,209,368 | -6,316 | $62,210 |
BP PLC | 1,713,854 | -59,780 | $60,671 |
BP | 1,713,854 | -59,780 | $60,671 |
GSK PLC | 1,259,482 | +1,259,482 | $46,677 |
COM | 1,259,482 | +1,259,482 | $46,677 |
BRISTOL MYERS SQUIBB | 833,916 | -17,783 | $42,788 |
BMY | 833,916 | -17,783 | $42,788 |
PATTERSON ENERGY | 3,499,998 | -139,721 | $37,800 |
PTEN | 3,499,998 | -139,721 | $37,800 |
SEABOARD CORP | 8,963 | -511 | $31,999 |
SEB | 8,963 | -511 | $31,999 |
VOXX INTERNATIONAL | 2,877,564 | -15,048 | $30,732 |
VOXX | 2,877,564 | -15,048 | $30,732 |
MBIA | 4,829,606 | +20,222 | $29,557 |
MBI | 4,829,606 | +20,222 | $29,557 |
PFIZER | 1,025,681 | -30,078 | $29,530 |
PFE | 1,025,681 | -30,078 | $29,530 |
IDT CORP CL B | 347,092 | -1,971 | $11,844 |
IDT | 347,092 | -1,971 | $11,844 |
GENIE ENERGY | 295,840 | -1,672 | $8,322 |
GNE | 295,840 | -1,672 | $8,322 |
BAYER AG SPONS ADR | 712,500 | +712,500 | $6,576 |
COM | 712,500 | +712,500 | $6,576 |
HALEON | 645,675 | -386,789 | $5,314 |
HLN | 645,675 | -386,789 | $5,314 |
WEBSTER FINL | 101,073 | -5,339 | $5,130 |
WBS | 101,073 | -5,339 | $5,130 |
BLACKBERRY | 1,256,824 | -123,232 | $4,450 |
BB | 1,256,824 | -123,232 | $4,450 |
HOLOGIC | 28,491 | UNCH | $2,036 |
HOLX | 28,491 | UNCH | $2,036 |
NOVARTIS ADR | 18,063 | -3,515 | $1,824 |
NVS | 18,063 | -3,515 | $1,824 |
CSX | 50,320 | -108 | $1,745 |
CSX | 50,320 | -108 | $1,745 |
EXXON MOBIL | 15,223 | -214 | $1,522 |
XOM | 15,223 | -214 | $1,522 |
BANK OF AMERICA | 40,985 | +2,912 | $1,380 |
BAC | 40,985 | +2,912 | $1,380 |
JP MORGAN CHASE | 5,774 | -1 | $982 |
COM | 5,774 | -1 | $982 |
FIRST NATL BK OF ALASKA | 4,770 | UNCH | $949 |
COM | 4,770 | UNCH | $949 |
VIATRIS | 52,356 | -16,632 | $567 |
VTRS | 52,356 | -16,632 | $567 |
ORGANON | 35,310 | -16,036 | $509 |
OGN | 35,310 | -16,036 | $509 |
VERIZON | 13,397 | +618 | $505 |
VZ | 13,397 | +618 | $505 |
CREW ENERGY | 145,780 | UNCH | $502 |
COM | 145,780 | UNCH | $502 |
RAFAEL HOLDING | 272,066 | -1,144 | $498 |
RFL | 272,066 | -1,144 | $498 |
NAVIENT | 23,286 | UNCH | $434 |
NAVI | 23,286 | UNCH | $434 |
NAM TAI PROPERTY INC F | 85,530 | -360 | $406 |
COM | 85,530 | -360 | $406 |
CHEVRONTEXACO | 2,448 | -800 | $365 |
CVX | 2,448 | -800 | $365 |
PEPSICO | 1,900 | UNCH | $323 |
PEP | 1,900 | UNCH | $323 |
PROCTOR & GAMBLE | 2,000 | UNCH | $293 |
PG | 2,000 | UNCH | $293 |
COMCAST CL A | 6,410 | +138 | $281 |
CMCSA | 6,410 | +138 | $281 |
AT&T | 16,737 | +10,102 | $281 |
T | 16,737 | +10,102 | $281 |
ZEDGE INC. | 115,977 | -457 | $273 |
ZDGE | 115,977 | -457 | $273 |
TRINITY PLACE HOLDINGS | 1,522,025 | +41,085 | $169 |
TPHS | 1,522,025 | +41,085 | $169 |
PEYTO EXP & DEV | 17,807 | UNCH | $163 |
COM | 17,807 | UNCH | $163 |
LIFEWAY FOODS | 10,000 | UNCH | $134 |
LWAY | 10,000 | UNCH | $134 |
IDW MEDIA | 66,132 | +66,132 | $30 |
COM | 66,132 | +66,132 | $30 |
See Full List: All Stocks Held By Kahn Brothers Group Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Kahn Brothers Group Inc.
Size ($ in 1000's)
At 12/31/2023: $634,761 At 09/30/2023: $641,176 Kahn Brothers Group Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Kahn Brothers Group Inc. 13F filings. Link to 13F filings: SEC filings |