Universe · entity
KAHN BROTHERS GROUP INC
Institutional manager (13F) · CIK 1039565
13F holdings · as of 2026-03-31 · top 48 · reported portfolio $564M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Citigroup Inc | $95M | 840,897 |
| 2 | Bayer AG Spons ADR | $75M | 6,513,893 |
| 3 | Flagstar Financial, Inc. | $54M | 4,083,618 |
| 4 | Walt Disney | $37M | 378,909 |
| 5 | Alphabet Inc Class C | $35M | 122,029 |
| 6 | Seaboard Corp | $33M | 5,871 |
| 7 | Organon & Co | $33M | 5,536,993 |
| 8 | BP PLC | $29M | 622,256 |
| 9 | Merck & Co. Inc. | $27M | 227,288 |
| 10 | Zillow Group | $23M | 545,212 |
| 11 | Seaport Entmt Group | $19M | 893,227 |
| 12 | Patterson Uti Energy | $18M | 1,690,156 |
| 13 | IDT Corp | $18M | 372,566 |
| 14 | Pfizer | $14M | 484,733 |
| 15 | M B I A Inc | $12M | 2,056,434 |
| 16 | Bristol-Myers Squibb | $10M | 170,381 |
| 17 | GSK PLC ADR | $9M | 160,982 |
| 18 | ExxonMobil | $3M | 18,255 |
| 19 | Genie Energy | $2M | 175,011 |
| 20 | Novartis AG Sponsored ADR | $2M | 13,386 |
| 21 | Fairfax Finl HLDGS LTD Sub VTG | $2M | 1,018 |
| 22 | CSX Corp Com | $1M | 36,481 |
| 23 | First Natl BK Alaska Com | $1M | 4,920 |
| 24 | Tourmaline Oil Corp | $1M | 26,959 |
| 25 | JPMorgan Chase | $829k | 2,818 |
| 26 | Apple Inc Com | $785k | 3,092 |
| 27 | Microsoft | $774k | 2,092 |
| 28 | Peyto Expl & Dev Corp | $610k | 31,307 |
| 29 | Haleon PLC | $565k | 56,431 |
| 30 | Sei Invt Co Pa PV $0.01 | $518k | 6,596 |
| 31 | Bank Of America Corp | $461k | 9,459 |
| 32 | Chevron Corp. | $404k | 1,953 |
| 33 | Deutsche Bank AG Namen Akt | $298k | 10,000 |
| 34 | Intl Business Machines | $298k | 1,228 |
| 35 | Public SVC Enterprise Group | $285k | 3,524 |
| 36 | Verizon | $285k | 5,682 |
| 37 | Pepsico Inc Com | $280k | 1,800 |
| 38 | PNC Finl SVCS Group | $279k | 1,342 |
| 39 | Antero Midstream | $269k | 11,806 |
| 40 | Procter & Gamble | $268k | 1,852 |
| 41 | Blackstone Inc Com | $264k | 2,300 |
| 42 | Orange CNTY Bancorp | $256k | 8,000 |
| 43 | Pine Cliff Energy LTD Com | $253k | 520,000 |
| 44 | Windrock LTD Co | $252k | 537 |
| 45 | Zedge Inc | $228k | 77,928 |
| 46 | Comcast Corp New CL A | $206k | 7,169 |
| 47 | Rafael Holdings Inc | $73k | 58,557 |
| 48 | Tphgreenwich Trust Uni | $0 | 166,999 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.