Nam Tai Property Inc. (NTPIF)

Sector:Technology
Super Investor Stats:
Ownership count:1
Ownership rank:667
% of all portfolios:0.001%
History Portfolio Manager Activity Share change % change to portfolio
Q3  2024
Kahn Brothers Group Reduce 0.59% 500 0.00
Q1  2024
Kahn Brothers Group Reduce 0.23% 200 0.00
Q4  2023
Kahn Brothers Group Reduce 0.42% 360 0.00
Q2  2023
Kahn Brothers Group Reduce 0.12% 100 0.00
Q1  2023
Kahn Brothers Group Reduce 1.50% 1,310 0.00
Q3  2022
Kahn Brothers Group Sell 100.00% 86,300 0.05
Q3  2021
Kahn Brothers Group Reduce 25.91% 13,200 0.04
Q2  2021
Kahn Brothers Group Reduce 96.13% 1,264,694 4.96
Q1  2021
Kahn Brothers Group Reduce 6.89% 97,300 0.19
Q4  2020
Kahn Brothers Group Reduce 18.06% 311,500 0.32
Q3  2020
Kahn Brothers Group Reduce 8.46% 159,450 0.28
Q2  2020
Kahn Brothers Group Reduce 4.32% 85,100 0.09
Q1  2020
Kahn Brothers Group Reduce 6.57% 138,569 0.14
Q4  2019
Kahn Brothers Group Reduce 4.10% 90,042 0.09
Q3  2019
Kahn Brothers Group Reduce 1.57% 35,100 0.04
Q1  2019
Kahn Brothers Group Reduce 1.19% 22,621 0.03
Q4  2018
Kahn Brothers Group Reduce 13.80% 304,105 0.48
Q2  2018
Kahn Brothers Group Reduce 0.27% 5,000 0.01
Q1  2018
Kahn Brothers Group Reduce 1.89% 35,000 0.07
Q4  2017
Kahn Brothers Group Reduce 6.57% 130,425 0.26
Q1  2017
Kahn Brothers Group Reduce 0.28% 5,400 0.01
Q4  2016
Kahn Brothers Group Reduce 40.00% 1,280,554 1.60
Q3  2016
Kahn Brothers Group Reduce 2.68% 88,197 0.13
Q2  2016
Kahn Brothers Group Reduce 45.57% 1,656,659 2.02
Q1  2016
Kahn Brothers Group Reduce 0.26% 9,490 0.01
Q4  2015
Prem Watsa - Fairfax Financial Holdings Sell 100.00% 35,000 0.02
Q1  2015
Kahn Brothers Group Reduce 0.96% 28,121 0.02
Q4  2014
Kahn Brothers Group Reduce 21.12% 787,934 0.65
Q3  2014
Kahn Brothers Group Reduce 1.15% 43,561 0.04
Q2  2014
Kahn Brothers Group Reduce 0.04% 1,386 0.00
Q4  2013
Kahn Brothers Group Reduce 26.68% 1,000,000 1.06
Q4  2012
Kahn Brothers Group Reduce 0.28% 8,029 0.02
Q2  2012
Kahn Brothers Group Reduce 0.26% 7,005 0.01

* "Hold Price" is the last known price at which an investor still held a security. It is the closing price of the security as of the portfolio date (quarter end). This value is only provided when a security is owned by at least two investors. In the case of reporting dates being different, a weighted average price is calculated.