Thomas Graham's Quarterly Portfolio Trends: Key Holdings Shifts Revealed
Thomas Graham's portfolio, managed by Kahn Brothers Group, showed notable changes in holdings during the quarter, with both increases and decreases observed across various sectors.

Thomas Graham's portfolio, managed by Kahn Brothers Group, exhibited significant shifts during the quarter ending December 31, 2025. The total portfolio value stood at $564.7 million.
Among the top holdings, Alphabet Inc. Class C (GOOG) saw an increase in shares, rising by 0.52%, while Bayer AG Spons ADR (BAYRY) experienced a decrease of 0.49% in its share count.
Citigroup Inc. (C) and Walt Disney (DIS) also reported decreases in their share quantities, with reductions of 0.04% and 0.04% respectively.
For further details on Thomas Graham's investment profile, visit Kahn Brothers Group. Detailed information on individual stocks like Citigroup Inc. can be found at Citigroup Inc.