Kahn Brothers Group

History Stock Activity Share change % change to portfolio
Q1  2020
RFL - Rafael Holdings Inc. Reduce 0.60% 2,586 0.01
MRK - Merck & Co. Reduce 0.83% 8,580 0.12
ZDGE - Zedge Inc. Reduce 0.83% 1,363 0.00
SEB - Seaboard Corp. Reduce 0.98% 126 0.06
TPHS - Trinity Place Holdings Reduce 1.37% 21,817 0.01
STL - Sterling Bancorp Reduce 1.59% 6,027 0.01
CMCSA - Comcast Corp. Reduce 2.25% 200 0.00
VOXX - VOXX International Corp. Reduce 2.48% 95,495 0.05
BMY - Bristol-Myers Squibb Reduce 2.61% 27,523 0.28
GSK - GSK plc Reduce 2.77% 44,010 0.31
NYCB - New York Community Bancorp Reduce 2.93% 157,735 0.27
AGO - Assured Guaranty Ltd. Reduce 3.89% 59,408 0.28
CWEGF - Crew Energy Inc. Reduce 3.96% 7,500 0.00
PFE - Pfizer Inc. Reduce 4.87% 39,468 0.24
MBI - MBIA Inc. Reduce 5.36% 289,788 0.38
C - Citigroup Inc. Reduce 6.48% 65,269 0.50
NTPIF - Nam Tai Property Inc. Reduce 6.57% 138,569 0.14
VZ - Verizon Communications Reduce 8.30% 1,630 0.02
HOLX - Hologic Inc. Reduce 9.53% 28,066 0.18
NVS - Novartis AG Reduce 9.99% 2,575 0.04
T - AT&T Inc. Reduce 10.37% 1,893 0.01
ALC - Alcon Inc. Reduce 16.82% 800 0.01
CVX - Chevron Corp. Reduce 22.85% 1,000 0.01
AAPL - Apple Inc. Reduce 70.67% 2,892 0.02
NYT - New York Times CL A Reduce 99.52% 308,674 2.06
Q4  2019
AAPL - Apple Inc. Add 104.60% 2,092 0.02
VRAYQ - ViewRay Inc. Add 57.02% 193,750 0.10
CMCSA - Comcast Corp. Add 29.60% 2,030 0.01
NAVI - Navient Corp. Add 6.88% 880 0.00
BB - BlackBerry Ltd. Add 2.71% 153,254 0.12
PFE - Pfizer Inc. Reduce 0.25% 2,003 0.01
TPHS - Trinity Place Holdings Reduce 0.54% 8,611 0.00
T - AT&T Inc. Reduce 0.77% 142 0.00
IDWM - IDW Media Holdings Reduce 0.92% 895 0.00
RFL - Rafael Holdings Inc. Reduce 0.93% 4,057 0.01
IDT - IDT Corp. CL B Reduce 1.18% 8,314 0.01
BMY - Bristol-Myers Squibb Reduce 1.77% 19,028 0.15
GSK - GSK plc Reduce 2.03% 32,971 0.19
ALC - Alcon Inc. Reduce 2.46% 120 0.00
SEB - Seaboard Corp. Reduce 2.94% 389 0.20
NYCB - New York Community Bancorp Reduce 3.03% 168,182 0.24
AGO - Assured Guaranty Ltd. Reduce 3.09% 48,716 0.29
BP - BP plc Reduce 3.09% 51,817 0.24
ZDGE - Zedge Inc. Reduce 3.09% 5,259 0.00
MBI - MBIA Inc. Reduce 3.36% 187,732 0.21
GNE - Genie Energy Ltd. Reduce 3.47% 16,113 0.02
NTPIF - Nam Tai Property Inc. Reduce 4.10% 90,042 0.09
PTEN - Patterson-UTI Energy Inc. Reduce 4.16% 112,554 0.14
HOLX - Hologic Inc. Reduce 4.93% 15,266 0.10
C - Citigroup Inc. Reduce 5.10% 54,170 0.52
VOXX - VOXX International Corp. Reduce 5.45% 221,873 0.12
KEY - KeyCorp Reduce 7.75% 957 0.00
NYT - New York Times CL A Reduce 8.99% 30,652 0.12
VZ - Verizon Communications Reduce 9.72% 2,114 0.02
CCRK - Coal Creek Company Reduce 17.29% 170 0.01
STL - Sterling Bancorp Reduce 19.10% 89,394 0.23
MRK - Merck & Co. Reduce 48.68% 984,546 10.86
GBCI - Glacier Bancorp Reduce 57.00% 8,306 0.04
ED - Consolidated Edison Sell 100.00% 1,674 0.02
Q3  2019
VRAYQ - ViewRay Inc. Add 202.04% 227,300 0.08
VZ - Verizon Communications Add 160.21% 13,397 0.10
PTEN - Patterson-UTI Energy Inc. Add 37.26% 733,883 0.79
BAC - Bank of America Corp. Add 24.95% 3,547 0.01
T - AT&T Inc. Add 22.06% 3,325 0.02
CMCSA - Comcast Corp. Add 14.11% 848 0.00
BMY - Bristol-Myers Squibb Add 5.35% 54,480 0.35
BRK.B - Berkshire Hathaway CL B Add 3.13% 100 0.00
VOXX - VOXX International Corp. Add 2.53% 100,542 0.06
BB - BlackBerry Ltd. Add 1.75% 97,191 0.06
NYCB - New York Community Bancorp Add 1.39% 75,806 0.12
GNE - Genie Energy Ltd. Add 1.19% 5,472 0.01
ZDGE - Zedge Inc. Add 1.02% 1,712 0.00
GSK - GSK plc Add 0.97% 15,585 0.08
XOM - Exxon Mobil Corp. Add 0.77% 146 0.00
PFE - Pfizer Inc. Add 0.72% 5,771 0.03
RFL - Rafael Holdings Inc. Add 0.63% 2,739 0.01
AGO - Assured Guaranty Ltd. Add 0.53% 8,324 0.05
IDWM - IDW Media Holdings Add 0.36% 351 0.00
BP - BP plc Add 0.09% 1,470 0.01
PEP - PepsiCo Inc. Buy 2,100 0.04
KEY - KeyCorp Buy 12,349 0.03
AAPL - Apple Inc. Buy 2,000 0.01
PEYUF - Peyto Exploration & Development Corp. Buy 35,000 0.01
SEB - Seaboard Corp. Reduce 0.22% 29 0.02
TPHS - Trinity Place Holdings Reduce 0.35% 5,665 0.00
MBI - MBIA Inc. Reduce 0.45% 25,165 0.03
NTPIF - Nam Tai Property Inc. Reduce 1.57% 35,100 0.04
C - Citigroup Inc. Reduce 3.81% 42,029 0.36
CVX - Chevron Corp. Reduce 4.37% 200 0.00
ALC - Alcon Inc. Reduce 5.34% 275 0.00
HOLX - Hologic Inc. Reduce 8.79% 29,865 0.19
STL - Sterling Bancorp Reduce 10.42% 54,472 0.14
IDT - IDT Corp. CL B Reduce 18.95% 165,133 0.22
GBCI - Glacier Bancorp Reduce 21.07% 3,889 0.02
NYT - New York Times CL A Reduce 27.83% 131,446 0.47
NAVI - Navient Corp. Reduce 49.72% 12,656 0.04
MRK - Merck & Co. Reduce 81.05% 8,648,511 48.32
Q2  2019
CWEGF - Crew Energy Inc. Add 2426.67% 182,000 0.02
MRK - Merck & Co. Add 1183.53% 9,839,726 10.32
CMCSA - Comcast Corp. Add 261.18% 4,346 0.02