Entity | Amount | Change
06/30/2024 to 09/30/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
CITIGROUP | 1,186,573 | -8,279 | $74,280 |
C | 1,186,573 | -8,279 | $74,280 |
MERCK | 580,488 | -11,423 | $65,921 |
MRK | 580,488 | -11,423 | $65,921 |
BP PLC | 1,588,880 | -51,522 | $49,875 |
BP | 1,588,880 | -51,522 | $49,875 |
NEW YORK COMMUNITY | 4,207,166 | -8,004,436 | $47,247 |
NYCB | 4,207,166 | -8,004,436 | $47,247 |
BAYER AG SPONS ADR | 5,159,540 | +785,085 | $43,702 |
COM | 5,159,540 | +785,085 | $43,702 |
GSK PLC | 1,058,832 | +1,058,832 | $43,285 |
COM | 1,058,832 | +1,058,832 | $43,285 |
BRISTOL MYERS SQUIBB | 826,108 | -1,150 | $42,743 |
BMY | 826,108 | -1,150 | $42,743 |
DISNEY | 405,445 | +184,542 | $39,000 |
DIS | 405,445 | +184,542 | $39,000 |
ORGANON | 1,835,193 | +174,170 | $35,108 |
OGN | 1,835,193 | +174,170 | $35,108 |
PFIZER | 997,025 | -5,405 | $28,854 |
PFE | 997,025 | -5,405 | $28,854 |
SEABOARD CORP | 9,034 | -191 | $28,339 |
SEB | 9,034 | -191 | $28,339 |
ASSURED GUARANTY | 294,985 | -6,102 | $23,457 |
AGO | 294,985 | -6,102 | $23,457 |
PATTERSON ENERGY | 2,246,029 | -74,825 | $17,182 |
PTEN | 2,246,029 | -74,825 | $17,182 |
IDT CORP CL B | 330,228 | -1,279 | $12,605 |
IDT | 330,228 | -1,279 | $12,605 |
GENIE ENERGY | 289,913 | -1,752 | $4,711 |
GNE | 289,913 | -1,752 | $4,711 |
HALEON | 241,952 | -4,195 | $2,560 |
HLN | 241,952 | -4,195 | $2,560 |
HOLOGIC | 25,591 | UNCH | $2,084 |
HOLX | 25,591 | UNCH | $2,084 |
NOVARTIS ADR | 17,581 | UNCH | $2,022 |
NVS | 17,581 | UNCH | $2,022 |
CSX | 49,820 | UNCH | $1,720 |
CSX | 49,820 | UNCH | $1,720 |
EXXON MOBIL | 14,326 | UNCH | $1,679 |
XOM | 14,326 | UNCH | $1,679 |
FAIRFAX FINANCIAL | 1,018 | UNCH | $1,287 |
COM | 1,018 | UNCH | $1,287 |
WEBSTER FINL | 21,437 | +615 | $999 |
WBS | 21,437 | +615 | $999 |
FIRST NATL BK OF ALASKA | 4,770 | UNCH | $975 |
COM | 4,770 | UNCH | $975 |
ANTERO RESOURCES | 30,156 | UNCH | $864 |
AR | 30,156 | UNCH | $864 |
CREW ENERGY | 150,780 | +5,000 | $801 |
COM | 150,780 | +5,000 | $801 |
MICROSOFT | 1,839 | +12 | $792 |
MSFT | 1,839 | +12 | $792 |
BANK OF AMERICA | 18,576 | -261 | $737 |
BAC | 18,576 | -261 | $737 |
VOXX INTERNATIONAL | 103,808 | -1,657,896 | $654 |
VOXX | 103,808 | -1,657,896 | $654 |
JP MORGAN CHASE | 2,950 | -407 | $622 |
COM | 2,950 | -407 | $622 |
APPLE INC | 2,492 | UNCH | $581 |
AAPL | 2,492 | UNCH | $581 |
RAFAEL HOLDING | 267,596 | -1,088 | $519 |
RFL | 267,596 | -1,088 | $519 |
VERIZON | 10,846 | +1,072 | $487 |
VZ | 10,846 | +1,072 | $487 |
ZEDGE INC. | 110,148 | -722 | $407 |
ZDGE | 110,148 | -722 | $407 |
PUBLIC SERVICE ENTERPRISE | 4,500 | UNCH | $401 |
PEG | 4,500 | UNCH | $401 |
SEI INVESTMENTS | 5,147 | +5,147 | $356 |
SEIC | 5,147 | +5,147 | $356 |
NAVIENT | 22,000 | UNCH | $343 |
NAVI | 22,000 | UNCH | $343 |
IBM | 1,508 | +1,508 | $334 |
IBM | 1,508 | +1,508 | $334 |
CIGNA GROUP | 941 | +465 | $326 |
CI | 941 | +465 | $326 |
PEPSICO | 1,900 | UNCH | $323 |
PEP | 1,900 | UNCH | $323 |
PROCTOR & GAMBLE | 1,700 | UNCH | $294 |
PG | 1,700 | UNCH | $294 |
ANTERO MIDSTREAM | 18,856 | +1,050 | $284 |
AM | 18,856 | +1,050 | $284 |
PNC BANK | 1,460 | -280 | $270 |
PNC | 1,460 | -280 | $270 |
LIFEWAY FOODS | 10,000 | UNCH | $259 |
LWAY | 10,000 | UNCH | $259 |
ORANGE COUNTY BANCORP | 4,000 | UNCH | $241 |
OBT | 4,000 | UNCH | $241 |
PEYTO EXP & DEV | 19,807 | +2,000 | $226 |
COM | 19,807 | +2,000 | $226 |
NAM TAI PROPERTY INC F | 84,830 | -500 | $212 |
COM | 84,830 | -500 | $212 |
DEUTSCHE BANK | 10,000 | +10,000 | $173 |
DB | 10,000 | +10,000 | $173 |
VIATRIS | 13,623 | -532 | $159 |
VTRS | 13,623 | -532 | $159 |
GARRETT MOTION | 14,229 | +2,000 | $116 |
GTX | 14,229 | +2,000 | $116 |
PINE CLIFF ENERGY | 129,731 | UNCH | $95 |
COM | 129,731 | UNCH | $95 |
See Full List: All Stocks Held By Kahn Brothers Group Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Kahn Brothers Group Inc.
Size ($ in 1000's)
At 09/30/2024: $580,606 At 06/30/2024: $594,796 Kahn Brothers Group Inc. AUM history 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 |