KAHN THOMAS GRAHAM
13F-HR, 2000-07-26
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FORM 13F

Report for the Calendar Year or Quarter
	Ended: June 30, 2000

This Amendment (Check only one.):
		is a restatement
	x	adds new holding entries.

Institutional Investment Manager Filing this Report:

Name: Kahn Brothers & Co., Inc.

Address: 555 Madison Ave., 22nd Floor, NY, NY, 10022


Form 13F File Number:
	The institutional investment manager filing
this report and the person by whom it is signed
hereby represent that the person signing the report
is authorized to submit it, that all information
contained herein is true, correct and complete,
and that it is understood that all required items,
statements, schedules, lists, and tables, are
considered integral parts of this form.

Person Signing this Report on Behalf of
Reporting Manager:
Name: Kenneth Rodwogin
Title: Vice President
Phone: (212) 980-5050

Signature, Place, and Date of Signing:

[Signature]/s/ Kenneth Rodwogin

[City, State]  New York, NY

[Date]	July 24, 2000

Report Type (Check only one.):

  13F HOLDINGS REPORT. (Check here if
	all holdings of this reporting manager
	are reported in this report.)   X
  13F NOTICE. (Check here if no holdings
	reported are in this report, and all
	holdings are reported by other
	reporting manager(s).)









FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:
NONE


Form 13F Information Table Entry Total:
79

Form 13F Information Table Value Total:
$239,540,519

Provide a numbered list of the name(s) and
Form 13F file number(s) of all institutional
investment managers with respect to which this
report is filed, other than the manager filing
this report. [If there are no entries in this
list, state "NONE" and omit the column
headings and list entires.]

	NONE


 KAHN BROTHERS & CO. INC.
 FORM 13F
 JUNE 30, 2000
                                                                INVEST	VOTING
                                                                 DISCR.	 AUTH.
SECURITY                CLASS   CUSIP        MARKET      QTY  	SOLE   NONE
                                             VALUE
COMMON STOCK

ADVANCED MARKETING       COM  00753T105    18,551,376  1,006,149   x 1,006,149
AMERICAN HOME PDTS.      COM  022609107    12,886,961    219,353   x   219,353
AMERICAN NAT'L INS. CO.  COM   23645104     1,095,021     21,471   x    21,471
AMERICAN TEL & TEL       COM  030177109    10,304,953    325,848   x   325,848
ASHLAND OIL CO.          COM  044540102       439,865     12,545   x    12,545
ASTORIA FIN'L            COM   46265104       789,650     30,667   x    30,667
BRISTOL MYERS SQUIBB     COM  110122108     2,718,178     46,664   x    46,664
BP AMOCO                 COM   55622104       508,841      8,996   x     8,996
CFS BANCORP              COM  12525D102     3,178,917    347,195   x   347,195
CHARTER ONE FIN'L        COM  160903100     6,318,611    274,723   x   274,723
CITIGROUP, INC.		 COM  172967101	    457,478      7,593   x     7,593
CLEVELAND CLIFFS         COM  1858961077      229,090      8,875   x     8,875
COLUMBIA GAS SYS.        COM  197648108       702,844     10,710   x    10,710
CRAZY WOMAN CREEK        COM  225233105       308,000     28,000   x    28,000
DEBEERS                  COM  240253302     5,501,375    226,273   x   226,273
DIME COMM.BANC.          COM  253922108     3,077,100    189,360   x   189,360
DORAL FIN'L              COM  25811P110       137,256     12,000   x    12,000
ENERON CORP.		 COM  293561106       206,400      3,200   x     3,200
ETHYL CORP               COM  297659104       350,400    140,160   x   140,160
EXXON MOBIL CORP.        COM  30231G102     1,943,503     24,758   x    24,758
FFY FIN'L                COM  302424108     1,444,300    131,300   x   131,300
FIRST PLACE FIN'L        COM  33610T109     1,692,158    157,410   x   157,410
FLUSHING FINANCIAL CORP  COM  343873105     4,843,781    317,625   x   317,625
GATX CORP.               COM  361448103       668,440     19,660   x    19,660
GENERAL ELECTRIC         COM  369604103       423,258      7,986   x     7,986
HAGGAR                   COM  405173105     7,686,122    653,287   x   653,287
HIGHLANDS INS.GROUP      COM  431032101       225,234     24,025   x    24,025
HOLOGIC                  COM  436440101     7,661,993  1,135,110   x 1,135,110
HUDSON UTD BANCORP       COM  444165104     2,153,980     95,997   x    95,997
HUDSON RIVER             COM  444128102     6,871,813    578,679   x   578,679
IBM                      COM  459200101    10,639,334     97,107   x    97,107
IMPERIAL SUGAR CORP      COM  453096109       967,158    736,602   x   736,602
JOHNSON & JOHNSON        COM  478160104       980,038      9,620   x     9,620
KEYCORP                  COM  493267108       183,300     10,400   x    10,400
LANDMARK SVGS. BK.       COM  514928100       550,565     36,401   x    36,401
LUCENT TECH.             COM  549463107       228,231      3,852   x     3,852
MARITRANS INC.           COM  570363101     4,269,880    704,252   x   704,252
MAXXAM CORP.             COM  577913106       246,401     13,893   x    13,893
MERCHANTS GROUP          COM  588539106     2,098,075    126,200   x   126,200
MERITOR SVGS BK PA       COM  590007100        23,210     15,800   x    15,800
MINE SAFETY APPLIANCE    COM  602720104       727,200     30,300   x    30,300
MISSISSIPPI CHEMICAL     COM  605288208     3,876,765    816,161   x   816,161
MONTEREY BAY BANCORP.    COM  61239H107     1,216,252    132,374   x   132,374
MONY GROUP               COM  615337102    10,497,313    310,452   x   310,452
MOTOROLA                 COM  620076109       366,194     12,600   X    12,600
NEW YORK MAGIC           COM  629484106       617,310     43,320   x    43,320
NORTH FORK BANC.         COM  659424205    16,881,602  1,116,139   x 1,116,139
NORTEL NETWORKS		 COM	656568102	    462,735	     6,780	 x	 6,780
NOVARTIS ADR             COM  66987V109     9,195,200    229,880   x   229,880
OCCIDENTAL PETE CORP.    COM  674599105       273,819     13,000   x    13,000
OFFICEMAX INC.           COM  67622M108     3,788,250    757,650   x   757,650
OFFSHORE LOGISTICS       COM  676255102     1,350,459     93,945   x    93,945
OLD REPUBLIC             COM  680223104    11,308,470    685,362   x   685,362
PETROLEUM HELO.          COM  716604202       742,088     77,100   x    77,100
PHARMACIA UPJOHN         COM  716941109     9,847,805    190,524   x   190,524
QUESTAR CORP.            COM  748356102       589,000     30,400   x    30,400
QUEENS CNTY SVGS.        COM  748242104     8,578,482    465,261   x   465,261
SEABOARD CORP.           COM  811543107     5,399,596     31,393   x    31,393
SEAGRAM LTD              COM  811850106     3,112,512     53,664   x    53,664
SLM HOLDING CORP COM     COM  78442A109     1,008,954     26,950   x    26,950
SCOTTISH POWER           COM  81013T705       287,032      8,584   x     8,584
STATEN ISLAND BANC.      COM  857550109       272,923     15,485   x    15,485
ST. PAUL COMPANIES       COM  792860108     5,337,161    156,400   x   156,400
SYMS CORP                COM  871551107       438,890    111,450   x   111,450
TCF FIN'L			 COM	872275102	    312,931	    12,182	 x	12,182
TECUMSEH CL. B           COM  878895101     1,179,212     28,630   x    28,630
TECUMSEH CL. A           COM  878895200     1,503,729     39,377   x    39,377
TEXAS INSTRUMENTS		 COM	882508104	    274,752	     4,000	 x	 4,000
TEXACO                   COM  881694103       826,493     15,521   x    15,521
THISTLE GROUP            COM  88431E103        85,858     12,375   x    12,375
TREMONT CORP.            COM  894745207       660,622     29,525   x    29,525
TEMPLE INLAND            COM  879868107       493,290     11,745   x    11,745
TROY FIN'L CORP.         COM  897329108       395,988     40,100   x    40,100
USB HLDG INC             COM  902910108     1,041,267     73,718   x    73,718
USEC INC.                COM  90333E108       639,804    138,336   x   138,336
VELCRO INDS.             COM  922571104     3,050,720    269,665   x   269,665
VOLVO                    COM  928856400     4,174,538    190,836   x   190,836
WARWICK COMM.BK.         COM  936559103     4,578,466    385,555   x   385,555
XTRA CORP                COM  984138107       573,547     14,543   x    14,543

TOTALS                                    239,540,519 14,501,028    14,501,028





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