HoldingsChannel.com
All Stocks Held By Kahn Brothers Group Inc.
As of  12/31/2023, we find all stocks held by Kahn Brothers Group Inc. to be as follows, presented in the table below with each row detailing each Kahn Brothers Group Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Kahn Brothers Group Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Kahn Brothers Group Inc. as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
ASSURED GUARANTY 987,372 -34,767 $73,885
     AGO987,372-34,767$73,885
MERCK 624,541 -14,252 $68,088
     MRK624,541-14,252$68,088
NEW YORK COMMUNITY 6,160,014 -133,885 $63,017
     NYCB6,160,014-133,885$63,017
CITIGROUP 1,209,368 -6,316 $62,210
     C1,209,368-6,316$62,210
BP PLC 1,713,854 -59,780 $60,671
     BP1,713,854-59,780$60,671
GSK PLC 1,259,482 +1,259,482 $46,677
     COM1,259,482+1,259,482$46,677
BRISTOL MYERS SQUIBB 833,916 -17,783 $42,788
     BMY833,916-17,783$42,788
PATTERSON ENERGY 3,499,998 -139,721 $37,800
     PTEN3,499,998-139,721$37,800
SEABOARD CORP 8,963 -511 $31,999
     SEB8,963-511$31,999
VOXX INTERNATIONAL 2,877,564 -15,048 $30,732
     VOXX2,877,564-15,048$30,732
MBIA 4,829,606 +20,222 $29,557
     MBI4,829,606+20,222$29,557
PFIZER 1,025,681 -30,078 $29,530
     PFE1,025,681-30,078$29,530
IDT CORP CL B 347,092 -1,971 $11,844
     IDT347,092-1,971$11,844
GENIE ENERGY 295,840 -1,672 $8,322
     GNE295,840-1,672$8,322
BAYER AG SPONS ADR 712,500 +712,500 $6,576
     COM712,500+712,500$6,576
HALEON 645,675 -386,789 $5,314
     HLN645,675-386,789$5,314
WEBSTER FINL 101,073 -5,339 $5,130
     WBS101,073-5,339$5,130
BLACKBERRY 1,256,824 -123,232 $4,450
     BB1,256,824-123,232$4,450
HOLOGIC 28,491 UNCH $2,036
     HOLX28,491UNCH$2,036
NOVARTIS ADR 18,063 -3,515 $1,824
     NVS18,063-3,515$1,824
CSX 50,320 -108 $1,745
     CSX50,320-108$1,745
EXXON MOBIL 15,223 -214 $1,522
     XOM15,223-214$1,522
BANK OF AMERICA 40,985 +2,912 $1,380
     BAC40,985+2,912$1,380
JP MORGAN CHASE 5,774 -1 $982
     COM5,774-1$982
FIRST NATL BK OF ALASKA 4,770 UNCH $949
     COM4,770UNCH$949
VIATRIS 52,356 -16,632 $567
     VTRS52,356-16,632$567
ORGANON 35,310 -16,036 $509
     OGN35,310-16,036$509
VERIZON 13,397 +618 $505
     VZ13,397+618$505
CREW ENERGY 145,780 UNCH $502
     COM145,780UNCH$502
RAFAEL HOLDING 272,066 -1,144 $498
     RFL272,066-1,144$498
NAVIENT 23,286 UNCH $434
     NAVI23,286UNCH$434
NAM TAI PROPERTY INC F 85,530 -360 $406
     COM85,530-360$406
CHEVRONTEXACO 2,448 -800 $365
     CVX2,448-800$365
PEPSICO 1,900 UNCH $323
     PEP1,900UNCH$323
PROCTOR & GAMBLE 2,000 UNCH $293
     PG2,000UNCH$293
COMCAST CL A 6,410 +138 $281
     CMCSA6,410+138$281
AT&T 16,737 +10,102 $281
     T16,737+10,102$281
ZEDGE INC. 115,977 -457 $273
     ZDGE115,977-457$273
TRINITY PLACE HOLDINGS 1,522,025 +41,085 $169
     TPHS1,522,025+41,085$169
PEYTO EXP & DEV 17,807 UNCH $163
     COM17,807UNCH$163
LIFEWAY FOODS 10,000 UNCH $134
     LWAY10,000UNCH$134
IDW MEDIA 66,132 +66,132 $30
     COM66,132+66,132$30
VIEWRAY 363,244 +363,244 $0
     COM363,244+363,244$0
GSK PLC $0 (exited)
     COM0-1,282,289$0
IDW MEDIA $0 (exited)
     IDW0-67,352$0
SEI INVESTMENTS $0 (exited)
     COM0-6,600$0
VIEWRAY 0 -2,046,547 $0 (exited)
     VRAY0-2,046,547$0

See Summary: Kahn Brothers Group Inc. Top Holdings
See Details: Top 10 Stocks Held By Kahn Brothers Group Inc.

EntityShares/Amount
Change
Position Value
Change
GSK PLC +1,259,482+$46,677
BAYER AG SPONS ADR +712,500+$6,576
IDW MEDIA +66,132+$30
VIEWRAY +363,244$UNCH
EntityShares/Amount
Change
Position Value
Change
GSK -1,282,289-$46,483
SEI INVESTMENTS -6,600-$398
VRAY -2,046,547-$51
IDW -67,352-$29
EntityShares/Amount
Change
Position Value
Change
TPHS +41,085-$371
MBI +20,222-$5,118
T +10,102+$181
BAC +2,912+$338
VZ +618+$91
CMCSA +138+$3
HOLX UNCH+$59
FIRST NATL BK OF ALASKA UNCH+$52
CREW ENERGY UNCH-$127
NAVI UNCH+$33
EntityShares/Amount
Change
Position Value
Change
HLN -386,789-$3,286
PTEN -139,721-$12,574
NYCB -133,885-$8,355
BB -123,232-$2,050
BP -59,780-$8,005
AGO -34,767+$12,025
PFE -30,078-$5,490
BMY -17,783-$6,662
VTRS -16,632-$142
Size ($ 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

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