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Kahn Brothers Group Holdings – 2025 Q3

Explore the latest portfolio disclosure for Kahn Brothers Group, with insights into sector exposure, position sizes, and overall investment structure for 2025 Q3.

The latest 2025 Q3 filing shows that Kahn Brothers Group maintains its largest exposure in Finance, which represents approximately 28.62% of the portfolio. This sector forms the core of Kahn Brothers Group's investment stance during this reporting period.

Additional major allocations include Health Care (about 22.26%) and Non-U.S. Assets (approximately 11.23%), reflecting how Kahn Brothers Group diversifies beyond its primary sector focus.

These sector weightings provide a clear view into Kahn Brothers Group's positioning and conviction areas for the 2025 Q3 quarter.

Breakdown by Sector

Finance
28.6%
Health Care
22.3%
Non-U.S. Assets
11.2%
Consumer Discretionary
11.2%
Energy
9.4%
Technology
6.7%
Industrials
5.6%
Telecommunications
4.0%
Utilities
0.7%
Unclassified Sector
0.3%
Consumer Staples
0.0%
Real Estate
0.0%
Symbol Shares Reported Price(USD) Action Change % Portfolio Weight Position Value Filing Period
RFL 158,674 $1.36 Reduced -1.46% 0.04% $215.8K 2025 Q3
OBT 8,000 $25.25 No Change No Change 0.04% $202K 2025 Q3
CMCSA 6,380 $31.35 No Change No Change 0.04% $200.01K 2025 Q3
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