Markel Corp Thomas Gayner

Top positions activity

Value History

Quarterly report: Q4 2024

Total portfolio value: $11.3B
TICKER CORP NAME VALUE($) SHARES +/- SHARES OWNERSHIP HISTORY
BRK.A
Berkshire Hathaway Inc. - Class A 758.5M 6.68% 1.1K =
BRK.B
Berkshire Hathaway Inc. - Class B 694.4M 6.12% 1.5M =
GOOG
Alphabet Inc - Class C 523.7M 4.61% 2.7M =
AMZN
Amazon.com Inc. 445.5M 3.92% 2.0M =
DE
Deere & Co. 370.7M 3.26% 875.0K +5.8K ↑0.67%
HD
Home Depot, Inc. 357.9M 3.15% 920.0K =
V
Visa Inc - Class A 315.8M 2.78% 999.3K =
AAPL
Apple Inc 307.3M 2.7% 1.2M =
WSO
Watsco Inc. - Class A 279.8M 2.46% 590.5K +8.0K ↑1.37%
ADI
Analog Devices Inc. 248.1M 2.18% 1.2M =
DIS
Walt Disney Co (The) 226.2M 1.99% 2.0M =
BLK
Blackrock Inc. 225.7M 1.98% 220.2K +220.2K Newly Added
MSFT
Microsoft Corporation 219.0M 1.93% 519.5K +4.5K ↑0.87%
KKR
KKR & Co. Inc. 214.7M 1.89% 1.5M =
BX
Blackstone Inc 211.9M 1.86% 1.2M =
GS
Goldman Sachs Group, Inc. 205.8M 1.81% 359.4K =
RLI
RLI Corp. 197.3M 1.73% 1.2M =
NVO
Novo Nordisk - ADR 184.9M 1.63% 2.1M =
PGR
Progressive Corp. 180.6M 1.59% 753.8K =
LPLA
LPL Financial Holdings Inc 173.8M 1.53% 532.4K +12.0K ↑2.31%
DEO
Diageo plc - ADR 173.7M 1.53% 1.4M =
LOW
Lowe`s Cos., Inc. 173.1M 1.52% 701.5K +11.0K ↑1.59%
APO
Apollo Global Management Inc - Class A (New) 167.2M 1.47% 1.0M =
FB
Meta Platforms Inc - Class A 163.0M 1.43% 278.4K +3.1K ↑1.14%
MMC
Marsh & McLennan Cos., Inc. 156.2M 1.37% 735.5K +13.0K ↑1.80%
AXP
American Express Co. 143.7M 1.26% 484.2K =
TXN
Texas Instruments Inc. 135.8M 1.19% 724.0K =
BAM
Brookfield Asset Management Inc. - Class A 118.9M 1.04% 2.2M =
CAT
Caterpillar Inc. 117.8M 1.03% 324.8K +6.0K ↑1.90%
MA
Mastercard Incorporated - Class A 109.3M 0.96% 207.5K =
GOOGL
Alphabet Inc - Class A 105.1M 0.92% 555.0K =
GD
General Dynamics Corp. 103.0M 0.9% 391.0K =
MCO
Moody`s Corp. 101.2M 0.89% 213.9K =
SCHW
Charles Schwab Corp. 100.9M 0.88% 1.4M +13.0K ↑0.96%
NVR
NVR Inc. 96.6M 0.85% 11.8K +110 ↑0.94%
JNJ
Johnson & Johnson 88.3M 0.77% 610.8K =
MSCI
MSCI Inc 85.7M 0.75% 142.8K =
ITW
Illinois Tool Works, Inc. 83.0M 0.73% 327.5K =
SPGI
S&P Global Inc 75.0M 0.66% 150.7K =
ADM
Archer Daniels Midland Co. 74.5M 0.65% 1.5M +11.0K ↑0.75%
HEI.A
Heico Corp. - Class A 70.6M 0.62% 379.6K =
ROL
Rollins, Inc. 67.8M 0.59% 1.5M +9.0K ↑0.62%
CG
Carlyle Group Inc (The) 67.0M 0.59% 1.3M =
ECL
Ecolab, Inc. 64.3M 0.56% 274.3K =
DG
Dollar General Corp. 63.4M 0.55% 835.8K +93.5K ↑12.60%
JPM
JPMorgan Chase & Co. 60.5M 0.53% 252.6K =
FDX
Fedex Corp 58.1M 0.51% 206.5K +11.5K ↑5.90%
FNV
Franco-Nevada Corporation 56.8M 0.5% 483.2K +137.8K ↑39.87%
Sold Out Positions
TICKER CORP NAME VALUE($) SHARES +/- SHARES
BLK
Blackrock Inc. 209.1M 1.88% 220.2K Sold Out
ODFL
Old Dominion Freight Line, Inc. 58.6M 0.52% 295.0K Sold Out
SBUX
Starbucks Corp. 58.5M 0.52% 600.3K Sold Out
NSC
Norfolk Southern Corp. 57.0M 0.51% 229.5K Sold Out
ACN
Accenture plc - Class A 56.3M 0.5% 159.4K Sold Out