Kahn Brothers Group

History Stock Activity Share change % change to portfolio
Q1  2019
NTPIF - Nam Tai Property Inc. Reduce 1.19% 22,621 0.03
XOM - Exxon Mobil Corp. Reduce 1.25% 248 0.00
AGO - Assured Guaranty Ltd. Reduce 1.75% 22,065 0.15
RFL - Rafael Holdings Inc. Reduce 1.75% 5,549 0.01
BP - BP plc Reduce 2.02% 28,285 0.19
VOXX - VOXX International Corp. Reduce 2.24% 80,905 0.06
IDWM - IDW Media Holdings Reduce 2.45% 1,830 0.01
MBI - MBIA Inc. Reduce 2.64% 119,428 0.18
ZDGE - Zedge Inc. Reduce 2.71% 3,699 0.00
C - Citigroup Inc. Reduce 2.79% 26,466 0.26
CMCSA - Comcast Corp. Reduce 3.26% 56 0.00
SEB - Seaboard Corp. Reduce 4.73% 364 0.24
MRK - Merck & Co. Reduce 5.39% 47,377 0.62
STL - Sterling Bancorp Reduce 24.49% 146,742 0.43
NAVI - Navient Corp. Reduce 33.37% 12,750 0.03
HOLX - Hologic Inc. Reduce 38.12% 209,704 1.58
NYT - New York Times CL A Reduce 45.33% 557,610 2.86
BAC - Bank of America Corp. Reduce 48.27% 11,287 0.05
Q4  2018
XOM - Exxon Mobil Corp. Add 18.54% 3,100 0.04
PTEN - Patterson-UTI Energy Inc. Add 17.33% 237,437 0.44
NYCB - New York Community Bancorp Add 9.50% 375,473 0.64
C - Citigroup Inc. Add 1.94% 18,050 0.17
GSK - GSK plc Add 1.56% 19,424 0.13
BB - BlackBerry Ltd. Add 0.32% 14,565 0.02
IDT - IDT Corp. CL B Reduce 0.20% 1,282 0.00
RFL - Rafael Holdings Inc. Reduce 0.20% 640 0.00
T - AT&T Inc. Reduce 0.24% 30 0.00
IDWM - IDW Media Holdings Reduce 0.25% 190 0.00
BP - BP plc Reduce 0.29% 4,080 0.03
ZDGE - Zedge Inc. Reduce 0.31% 426 0.00
MBI - MBIA Inc. Reduce 0.43% 19,700 0.03
PFE - Pfizer Inc. Reduce 0.54% 2,900 0.02
GNE - Genie Energy Ltd. Reduce 0.56% 2,232 0.00
AGO - Assured Guaranty Ltd. Reduce 0.75% 9,515 0.07
MRK - Merck & Co. Reduce 0.90% 7,978 0.10
SEB - Seaboard Corp. Reduce 1.09% 85 0.05
TPHS - Trinity Place Holdings Reduce 1.31% 12,652 0.01
NVS - Novartis AG Reduce 2.01% 466 0.01
BAC - Bank of America Corp. Reduce 3.08% 742 0.00
VOXX - VOXX International Corp. Reduce 4.47% 169,416 0.12
HOLX - Hologic Inc. Reduce 4.83% 27,937 0.21
STL - Sterling Bancorp Reduce 12.34% 84,344 0.25
NTPIF - Nam Tai Property Inc. Reduce 13.80% 304,105 0.48
NYT - New York Times CL A Reduce 14.84% 214,354 0.86
Q3  2018
NYCB - New York Community Bancorp Add 29.29% 895,314 1.43
NTPIF - Nam Tai Property Inc. Add 21.37% 388,000 0.51
VOXX - VOXX International Corp. Add 4.27% 155,216 0.12
AGO - Assured Guaranty Ltd. Add 1.06% 13,340 0.09
BP - BP plc Add 0.99% 13,757 0.10
T - AT&T Inc. Add 0.66% 83 0.00
GSK - GSK plc Add 0.40% 4,924 0.03
IDT - IDT Corp. CL B Reduce 0.38% 2,399 0.00
RFL - Rafael Holdings Inc. Reduce 0.38% 1,198 0.00
TPHS - Trinity Place Holdings Reduce 0.39% 3,745 0.00
IDWM - IDW Media Holdings Reduce 0.49% 370 0.00
ZDGE - Zedge Inc. Reduce 0.58% 798 0.00
GNE - Genie Energy Ltd. Reduce 0.60% 2,399 0.00
BB - BlackBerry Ltd. Reduce 0.78% 36,150 0.06
C - Citigroup Inc. Reduce 1.11% 10,450 0.12
MRK - Merck & Co. Reduce 1.15% 10,337 0.11
PTEN - Patterson-UTI Energy Inc. Reduce 1.15% 15,900 0.04
XOM - Exxon Mobil Corp. Reduce 1.25% 212 0.00
MBI - MBIA Inc. Reduce 1.35% 62,450 0.10
PFE - Pfizer Inc. Reduce 1.77% 9,658 0.07
HOLX - Hologic Inc. Reduce 5.39% 32,942 0.21
BAC - Bank of America Corp. Reduce 7.65% 2,000 0.01
CVX - Chevron Corp. Reduce 17.83% 900 0.02
STL - Sterling Bancorp Reduce 19.54% 165,991 0.56
NYT - New York Times CL A Reduce 19.61% 352,436 1.25
CMCSA - Comcast Corp. Reduce 81.35% 7,504 0.04
Q2  2018
NYCB - New York Community Bancorp Add 38.71% 852,998 1.53
T - AT&T Inc. Add 11.36% 1,284 0.01
NVS - Novartis AG Add 5.45% 1,200 0.01
CMCSA - Comcast Corp. Add 3.36% 300 0.00
BB - BlackBerry Ltd. Add 3.23% 144,300 0.22
ORI - Old Republic International Add 1.88% 900 0.00
PTEN - Patterson-UTI Energy Inc. Add 1.51% 20,648 0.06
AGO - Assured Guaranty Ltd. Add 1.42% 17,668 0.10
BMY - Bristol-Myers Squibb Add 1.01% 200 0.00
GSK - GSK plc Add 0.48% 5,950 0.04
SEB - Seaboard Corp. Reduce 0.19% 15 0.01
MBI - MBIA Inc. Reduce 0.26% 11,900 0.02
NTPIF - Nam Tai Property Inc. Reduce 0.27% 5,000 0.01
IDT - IDT Corp. CL B Reduce 0.28% 1,809 0.00
RFL - Rafael Holdings Inc. Reduce 0.28% 904 0.00
IDWM - IDW Media Holdings Reduce 0.39% 296 0.00
ZDGE - Zedge Inc. Reduce 0.44% 603 0.00
GNE - Genie Energy Ltd. Reduce 0.45% 1,809 0.00
PFE - Pfizer Inc. Reduce 0.54% 2,977 0.02
VOXX - VOXX International Corp. Reduce 0.71% 25,863 0.02
MRK - Merck & Co. Reduce 0.81% 7,310 0.07
C - Citigroup Inc. Reduce 0.95% 8,989 0.10
BP - BP plc Reduce 1.14% 16,000 0.12
STL - Sterling Bancorp Reduce 2.41% 21,009 0.08
NAVI - Navient Corp. Reduce 2.41% 944 0.00
HOLX - Hologic Inc. Reduce 7.14% 46,970 0.30
NYT - New York Times CL A Reduce 20.40% 460,450 1.90
Q1  2018
CVX - Chevron Corp. Add 24.70% 1,000 0.02
AGO - Assured Guaranty Ltd. Add 16.71% 177,543 1.02
NYCB - New York Community Bancorp Add 15.96% 303,207 0.63