KAHN BROTHERS GROUP INC /DE/

KAHN BROTHERS GROUP INC /DE/ latest Q1_2021 13F filings reported $646,072,714,000 in market value on this 2021-05-07 report date . The portfolio quarterly return is 12.70%. This fund has 42 securities concentrations of 100% weights.

KAHN BROTHERS GROUP INC /DE/ largest holding is Assured Guaranty Ltd. with weight of 9.58% and $61,920,244,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-05-072021-03-31Q1_202113F-HR42$646,072,714,00012.70%
2021-02-162020-12-31Q4_202013F-HR42$573,282,964,0008.71%
2020-11-062020-09-30Q3_202013F-HR42$527,501,198,000-10.86%
2020-08-032020-06-30Q2_202013F-HR47$591,789,869,0008.24%
2020-05-112020-03-31Q1_202013F-HR48$546,731,759,000-33.71%
2020-01-272019-12-31Q4_201913F-HR47$824,728,934,0003.40%
2019-11-052019-09-30Q3_201913F-HR/A48$797,584,913,0000.00%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
ASSURED GUARANTY LTDAGOINCR$61,920,2440.30%9.58%$42280.00-0.03%1,464,528
Citigroup Inc.INCR$60,446,7510.20%9.36%$72750.020.02%830,883
NEW YORK CMNTY BANCORP INCNYCBINCR$56,768,7670.25%8.79%$12620.000.04%4,498,318
MerckDECR$54,493,865-0.09%8.43%$77090.03-0.03%706,886
BRISTOL MYERS SQUIBB COBMYDECR$53,429,1910.00%8.27%$63130.00-0.02%846,336
MBIA INCMBIINCR$47,087,6490.46%7.29%$9620.000.00%4,894,766
BP AMOCO P L CBPINCR$46,576,6800.24%7.21%$24350.000.05%1,912,800
GLAXOSMITHKLINE PLCGSKDECR$45,175,331-0.04%6.99%$35690.00-0.01%1,265,770
PATTERSON-UTI ENERGY INCPTENINCR$40,143,0710.33%6.21%$7130.00-0.02%5,630,164
SEABOARD CORP DELSEBINCR$37,881,4370.19%5.86%$999999.99-0.02%10,266
VOXX INTL CORPVOXXDECR$26,574,653-0.32%4.11%$19060.00-0.54%1,394,263
PFIZER COMPANY INCPFEDECR$23,994,658-0.03%3.71%$36230.00-0.02%662,287
BLACKBERRY LTDBBDECR$22,502,122-0.28%3.48%$8430.00-0.44%2,669,291
NAM TAI PPTY INCNTPINCR$16,221,8910.96%2.51%$12330.00-0.07%1,315,644
RAFAEL HLDGS INCRFLINCR$12,590,5290.61%1.95%$37642.550.00%334,476
IDT CORP CL BINCR$11,035,64616.71%1.71%$22660.00-0.03%487,010
STERLING BANCORP DELSTLINCR$6,249,5160.26%0.97%$23020.00-0.01%271,482
HOLOGIC INCHOLXDECR$3,304,629-0.01%0.51%$74380.00-0.03%44,429
TRINITY PL HLDGS INCTPHSINCR$2,816,1860.67%0.44%$2069.770.01%1,360,629
GENIE ENERGYDECR$2,164,641-0.15%0.34%$6340.00-0.04%341,426
ZEDGE INCZDGEINCR$1,809,8261.30%0.28%$14504.25-0.04%124,779
NOVARTIS AG SPONSORED ADRNVSDECR$1,743,621-0.18%0.27%$85480.00-0.09%20,398
VIEWRAY INCVRAYINCR$1,751,1140.07%0.27%$4350.00-0.06%402,555
VIATRIS INC NPVVTRSDECR$1,286,540-0.27%0.20%$13970.01-0.02%92,093
FIRST NATL BK OF ALASKAFBAKINCR$1,048,4940.18%0.16%$219810.060.00%4,770
EXXON MOBIL CORPXOMBUY$902,7710.00%0.14%$55829.990.00%16,170
VERIZON COMMUNICATIONS INCVZDECR$886,439-0.01%0.14%$58150.030.00%15,244
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$830,2780.10%0.13%$255470.150.00%3,250
PROVIDENT FINL SVCS INCPFSINCR$612,0760.24%0.09%$22279.990.00%27,472
BK OF AMERICA CORPBACINCR$524,1330.28%0.08%$38689.970.00%13,547
HOPE BANCORP INCORPORATED COMMON STOCK USD0.001HOPEINCR$466,8600.38%0.07%$15060.000.00%31,000
AT&TINCR$391,1180.04%0.06%$30269.95-0.01%12,921
CHEVRON CORP NEWCVXINCR$413,7110.24%0.06%$104790.020.00%3,948
COMCAST CORP NEWCMCSAINCR$334,4540.03%0.05%$54110.010.00%6,181
IDW MEDIAIDWMINCR$291,9160.09%0.05%$4000.05-0.04%72,978
JP MORGAN CHASEINCR$308,2260.20%0.05%$152210.370.00%2,025
NAVIENT CORPORATIONNAVIINCR$333,2230.46%0.05%$14310.010.00%23,286
PEPSICO INCPEPDECR$268,755-0.05%0.04%$141450.000.00%1,900
CREW ENERGYCWEGFINCR$169,2601.11%0.03%$930.000.00%182,000
DEUTSCHE BANK A GDBINCR$120,0000.10%0.02%$12000.000.00%10,000
PEYTO EXP & DEVPEYUFINCR$148,4420.85%0.02%$4241.200.00%35,000
LIFEWAY FOODS INCLWAYDECR$54,0000.00%0.01%$5400.000.00%10,000