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Kahn Brothers Group

Kahn Brothers Group · portfolio as of 2026-06-30

Full portfolio

PIFYFPine Cliff Energy Ltd.

520,000 shares · $253,403,000

31.0%
CCitigroup Inc.

840,897 shares · $95,366,128

11.7%
BAYRYBayer AG

6,513,893 shares · $74,777,216

9.2%
FLGFlagstar Financial, Inc.

4,083,618 shares · $53,781,249

6.6%
DISThe Walt Disney Company

378,909 shares · $36,519,249

4.5%
GOOGAlphabet Inc.

122,029 shares · $35,005,238

4.3%
SEBSeaboard Corporation

5,871 shares · $33,194,751

4.1%
OGNOrganon & Co.

5,536,993 shares · $33,166,588

4.1%
BPBP p.l.c.

622,256 shares · $29,246,032

3.6%
MRKMerck & Co., Inc.

227,288 shares · $27,340,511

3.3%
ZZillow Group, Inc. Class C

545,212 shares · $22,560,872

2.8%
SEGSeaport Entertainment Group Inc.

893,227 shares · $19,186,515

2.3%
PTENPatterson-UTI Energy, Inc.

1,690,156 shares · $18,304,389

2.2%
IDTIDT Corporation

372,566 shares · $18,292,990

2.2%
PFEPfizer Inc.

484,733 shares · $13,611,302

1.7%
MBIMBIA Inc.

2,056,434 shares · $12,153,524

1.5%
BMYBristol-Myers Squibb Company

170,381 shares · $10,333,607

1.3%
GSKGSK plc

160,982 shares · $8,884,596

1.1%
XONA.DEExxon Mobil Corporation

18,255 shares · $3,097,143

0.4%
GNEGenie Energy Ltd.

175,011 shares · $2,474,655

0.3%
NVSNovartis AG

13,386 shares · $2,044,711

0.3%
FAXXFFairfax Financial Holdings Limited

1,018 shares · $1,729,242

0.2%
CSXCSX Corporation

36,481 shares · $1,497,545

0.2%
FBAKFirst National Bank Alaska

4,920 shares · $1,471,080

0.2%
TRMLFTourmaline Oil Corp.

26,959 shares · $1,286,318

0.2%
JPMJPMorgan Chase & Co.

2,818 shares · $828,942

0.1%
AAPLApple Inc.

3,092 shares · $784,718

0.1%
MSFTMicrosoft Corporation

2,092 shares · $774,395

0.1%
PEYUFPeyto Exploration & Development Corp.

31,307 shares · $609,806

0.1%
HLNHaleon plc

56,431 shares · $564,874

0.1%
SEICSEI Investments Company

6,596 shares · $517,588

0.1%
BACBank of America Corporation

9,459 shares · $461,126

0.1%
CVXChevron Corporation

1,953 shares · $404,075

0.0%
DBDeutsche Bank AG

10,000 shares · $297,800

0.0%
IBMInternational Business Machines Corporation

1,228 shares · $297,654

0.0%
PEGPublic Service Enterprise Group Incorporated

3,524 shares · $285,267

0.0%
VZVerizon Communications Inc.

5,682 shares · $285,236

0.0%
PEPPepsiCo, Inc.

1,800 shares · $279,522

0.0%
PNCThe PNC Financial Services Group, Inc.

1,342 shares · $279,256

0.0%
AMAntero Midstream Corporation

11,806 shares · $269,176

0.0%
PGThe Procter & Gamble Company

1,852 shares · $267,502

0.0%
BXBlackstone Inc.

2,300 shares · $264,477

0.0%
OBTOrange County Bancorp, Inc.

8,000 shares · $255,840

0.0%
WRLCWindrock Land Company

537 shares · $251,853

0.0%
ZDGEZedge, Inc.

77,928 shares · $228,329

0.0%
CMCSAComcast Corporation

7,169 shares · $205,821

0.0%
RFLRafael Holdings, Inc.

58,557 shares · $73,196

0.0%
GLSIGreenwich LifeSciences, Inc.

166,999 shares · $0

0.0%

From SEC Form 13F-HR — up to 45 days old at time of filing. Not a recommendation to buy or sell. Analyze any of these free →