Kahn Brothers Group
Kahn Brothers Group · SEC Form 13F portfolio
- Period
- 2026-06-30
- Portfolio value
- $632.67M
- Holdings
- 48
- Top 10
- 78.7%
Latest reported holdings
| Holding | % of Portfolio | Value | Shares | Change |
|---|---|---|---|---|
Citigroup Inc · COM | 18.50% | $117.05M | 836.34K | −0.54% |
Bayer AG Spons ADR COM No company page | 14.12% | $89.31M | 6.52M | +0.07% |
Flagstar Financial, Inc. · COM | 9.62% | $60.88M | 4.07M | −0.22% |
Alphabet Inc Class C · COM | 6.75% | $42.72M | 120.91K | −0.92% |
Zillow Group Inc · COM | 5.89% | $37.26M | 1.18M | +116.84% |
Organon & Co · COM | 5.72% | $36.16M | 2.67M | −51.77% |
Walt Disney · COM | 5.46% | $34.56M | 359.09K | −5.23% |
Merck & Co. Inc. · COM | 4.43% | $28.04M | 218.18K | −4.01% |
M B I A Inc · COM | 4.34% | $27.47M | 4.21M | +104.91% |
Seaport Entmt Group · COM | 3.86% | $24.39M | 917.00K | +2.66% |
Seaboard Corp · COM | 3.80% | $24.06M | 5.39K | −8.21% |
BP PLC · COM | 3.65% | $23.09M | 625.00K | +0.44% |
IDT Corp Class B · COM | 3.23% | $20.45M | 351.66K | −5.61% |
Patterson Uti Energy · COM | 2.41% | $15.27M | 1.66M | −1.56% |
Pfizer · COM | 1.77% | $11.17M | 464.00K | −4.28% |
Bristol-Myers Squibb · COM | 1.59% | $10.03M | 174.15K | +2.21% |
GSK PLC ADR · COM | 1.31% | $8.31M | 158.44K | −1.58% |
ExxonMobil COM Ticker unresolved | 0.38% | $2.41M | 17.66K | −3.29% |
Genie Energy LTD Class B · COM | 0.35% | $2.20M | 151.94K | −13.18% |
Novartis AG · COM | 0.33% | $2.07M | 13.19K | −1.49% |
Fairfax Finl HLDGS LTD Sub VTG COM No company page | 0.26% | $1.67M | 1.02K | Unchanged |
CSX Corp Com · COM | 0.26% | $1.65M | 34.78K | −4.66% |
First Natl BK Alaska COM No company page | 0.25% | $1.56M | 4.92K | Unchanged |
Tourmaline Oil Corp Com COM No company page | 0.18% | $1.13M | 26.96K | Unchanged |
JPMorgan Chase · COM | 0.15% | $942.05K | 2.88K | +2.13% |
Apple Inc Com · COM | 0.14% | $894.70K | 3.09K | Unchanged |
Microsoft · COM | 0.13% | $808.71K | 2.17K | +3.63% |
Sei Invt Co Pa PV $0.01 · COM | 0.09% | $578.53K | 6.60K | Unchanged |
Haleon PLC · COM | 0.09% | $544.32K | 58.34K | +3.38% |
Bank Of America Corp · COM | 0.09% | $538.97K | 9.46K | Unchanged |
Peyto Expl & Dev Corp COM No company page | 0.08% | $522.15K | 31.31K | Unchanged |
Rafael Holdings Inc Class B · COM | 0.08% | $493.62K | 150.49K | +157.00% |
Windrock LTD Co COM No company page | 0.07% | $443.84K | 807.00 | +50.28% |
Intl Business Machines · COM | 0.05% | $345.32K | 1.23K | Unchanged |
Deutsche Bank AG · COM | 0.05% | $337.60K | 10.00K | Unchanged |
Webster Finl Co COM Ticker unresolved | 0.05% | $332.35K | 4.35K | New |
PNC Finl SVCS Group Inc Com · COM | 0.05% | $330.43K | 1.34K | Unchanged |
Chevron Corp. · COM | 0.05% | $323.73K | 1.95K | Unchanged |
Orange CNTY Bancorp · COM | 0.05% | $294.24K | 8.00K | Unchanged |
Public SVC Enterprise Group · COM | 0.05% | $286.01K | 3.52K | Unchanged |
Blackstone Inc Com · COM | 0.04% | $270.64K | 2.30K | Unchanged |
Antero Midstream Corp · COM | 0.04% | $268.59K | 11.81K | Unchanged |
Procter & Gamble · COM | 0.04% | $256.91K | 1.75K | −5.40% |
Pepsico Inc Com · COM | 0.04% | $243.72K | 1.80K | Unchanged |
Zedge Inc · COM | 0.04% | $242.19K | 78.13K | +0.25% |
Verizon · COM | 0.04% | $240.57K | 5.68K | Unchanged |
Pine Cliff Energy LTD Com COM No company page | 0.03% | $208.94K | 520.00K | Unchanged |
Tphgreenwich Trust Uni COM No company page | 0.00% | $0.00 | 167.00K | Unchanged |