Kahn Brothers Group

History Stock Activity Share change % change to portfolio
Q2  2014
IBM - International Business Machines Reduce 0.76% 25 0.00
GNE - Genie Energy Ltd. Reduce 0.75% 4,981 0.01
MRK - Merck & Co. Reduce 0.74% 8,341 0.07
MBI - MBIA Inc. Reduce 0.73% 18,500 0.03
IDWM - IDW Media Holdings Reduce 0.71% 74 0.00
IDT - IDT Corp. CL B Reduce 0.68% 4,547 0.01
STRP - Straight Path Communications Reduce 0.65% 2,190 0.00
MON-OLD - Monsanto Co. Reduce 0.11% 10 0.00
NTPIF - Nam Tai Property Inc. Reduce 0.04% 1,386 0.00
Q1  2014
MRK - Merck & Co. Reduce 55.32% 1,396,961 11.32
ASTE - Astec Industries Reduce 40.00% 8,000 0.05
KEY - KeyCorp Reduce 15.59% 3,430 0.01
FFIC - Flushing Financial Corp. Reduce 8.99% 1,000 0.00
PTEN - Patterson-UTI Energy Inc. Reduce 6.37% 89,688 0.41
SLM - SLM Corp. Reduce 5.09% 139,305 0.17
USG - USG Corp. Reduce 5.00% 1,000 0.00
CVX - Chevron Corp. Reduce 4.23% 300 0.01
FNFG - First Niagara Financial Group Reduce 2.14% 3,193 0.00
Q4  2013
ASTE - Astec Industries Reduce 84.13% 106,000 0.58
USG - USG Corp. Reduce 83.33% 100,000 0.40
PHII - PHI Inc. Reduce 77.02% 21,780 0.13
LARK - Landmark Bancorp Inc. Reduce 55.92% 44,760 0.13
BB - BlackBerry Ltd. Reduce 48.72% 190,000 0.21
SEB - Seaboard Corp. Reduce 32.87% 4,400 1.82
FFIC - Flushing Financial Corp. Reduce 29.88% 4,737 0.01
PTEN - Patterson-UTI Energy Inc. Reduce 28.53% 562,200 2.10
MBI - MBIA Inc. Reduce 28.46% 849,550 1.50
VOXX - VOXX International Corp. Reduce 28.14% 657,750 1.62
ORI - Old Republic International Reduce 28.12% 963,218 2.46
GNE - Genie Energy Ltd. Reduce 27.82% 183,332 0.28
IDT - IDT Corp. CL B Reduce 27.64% 185,631 0.49
STRP - Straight Path Communications Reduce 27.30% 91,666 0.11
NTPIF - Nam Tai Property Inc. Reduce 26.68% 1,000,000 1.06
IDWM - IDW Media Holdings Reduce 26.38% 2,748 0.03
PFE - Pfizer Inc. Reduce 24.25% 608,243 2.75
C - Citigroup Inc. Reduce 21.88% 300,800 2.32
NYT - New York Times CL A Reduce 21.66% 1,178,200 2.76
NYCB - New York Community Bancorp Reduce 21.16% 877,620 2.18
HOLX - Hologic Inc. Reduce 12.92% 200,200 0.66
NEU - NewMarket Corp. Reduce 8.26% 90 0.00
SLM - SLM Corp. Reduce 8.14% 242,811 0.34
KEY - KeyCorp Reduce 7.53% 1,792 0.00
NVS - Novartis AG Reduce 6.81% 2,000 0.02
CMCSA - Comcast Corp. Reduce 2.33% 1,160 0.00
BMY - Bristol-Myers Squibb Reduce 2.30% 650 0.01
T - AT&T Inc. Reduce 0.94% 155 0.00
FNFG - First Niagara Financial Group Reduce 0.66% 1,000 0.00
FPFCQ - First Place Financial Corp. Sell 100.00% 13,426 0.00
RSTK-D - RSTK Trinity Place Sell 100.00% 750,615 0.49
PVBC - Provident Bancorp Inc. Sell 100.00% 1,139,040 1.80
Q3  2013
FFIC - Flushing Financial Corp. Reduce 76.85% 52,623 0.13
BMY - Bristol-Myers Squibb Reduce 48.95% 27,133 0.18
SLM - SLM Corp. Reduce 29.80% 1,266,093 1.64
CVX - Chevron Corp. Reduce 11.04% 880 0.02
FNFG - First Niagara Financial Group Reduce 10.82% 18,250 0.02
KEY - KeyCorp Reduce 8.62% 2,245 0.00
LARK - Landmark Bancorp Inc. Reduce 8.54% 7,471 0.02
NEU - NewMarket Corp. Reduce 5.63% 65 0.00
PHII - PHI Inc. Reduce 5.04% 1,500 0.01
SEB - Seaboard Corp. Reduce 4.41% 618 0.25
NVS - Novartis AG Reduce 3.29% 1,000 0.01
CMCSA - Comcast Corp. Reduce 1.42% 720 0.00
PFE - Pfizer Inc. Reduce 1.32% 33,620 0.14
GNE - Genie Energy Ltd. Reduce 0.73% 4,833 0.01
T - AT&T Inc. Reduce 0.16% 27 0.00
VOXX - VOXX International Corp. Reduce 0.01% 300 0.00
AMBC - Ambac Financial Group Sell 100.00% 100,000 0.00
CITZ - CFS Bancorp Inc. Sell 100.00% 90,276 0.01
TRV - Travelers Companies Inc. Sell 100.00% 2,000 0.02
TCF - TCF Financial Sell 100.00% 24,364 0.05
DCOM - Dime Community Bancshares Sell 100.00% 58,677 0.14
Q2  2013
TRV - Travelers Companies Inc. Reduce 93.32% 27,928 0.28
BMY - Bristol-Myers Squibb Reduce 86.62% 358,994 2.46
USG - USG Corp. Reduce 32.14% 56,830 0.20
IBM - International Business Machines Reduce 27.27% 1,231 0.04
LARK - Landmark Bancorp Inc. Reduce 24.31% 28,114 0.09
CMCSA - Comcast Corp. Reduce 23.47% 15,512 0.05
T - AT&T Inc. Reduce 22.08% 4,670 0.03
DCOM - Dime Community Bancshares Reduce 21.25% 15,834 0.04
SLM - SLM Corp. Reduce 16.91% 864,638 1.07
FNFG - First Niagara Financial Group Reduce 13.73% 26,830 0.04
FFIC - Flushing Financial Corp. Reduce 12.01% 9,350 0.02
GE - GE Aerospace Reduce 11.76% 250 0.01
NVS - Novartis AG Reduce 9.23% 3,088 0.03
CITZ - CFS Bancorp Inc. Reduce 7.67% 7,500 0.00
PHII - PHI Inc. Reduce 6.29% 2,000 0.01
CVX - Chevron Corp. Reduce 5.12% 430 0.01
MBI - MBIA Inc. Reduce 1.86% 56,150 0.12
HOLX - Hologic Inc. Reduce 1.32% 20,704 0.06
PFE - Pfizer Inc. Reduce 1.20% 30,814 0.13
C - Citigroup Inc. Reduce 1.14% 15,730 0.12
ORI - Old Republic International Reduce 0.93% 32,100 0.06
ASTE - Astec Industries Reduce 0.79% 1,000 0.01
RSTK-D - RSTK Trinity Place Reduce 0.41% 3,065 0.00
TPHS - Trinity Place Holdings Reduce 0.34% 1,500 0.00
BAC - Bank of America Corp. Reduce 0.29% 166 0.00
IDT - IDT Corp. CL B Reduce 0.07% 499 0.00
GNE - Genie Energy Ltd. Reduce 0.03% 166 0.00
VOXX - VOXX International Corp. Reduce 0.03% 600 0.00
IDWM - IDW Media Holdings Reduce 0.02% 2 0.00