Filing
Spy
Filing
Spy
Home
About
Giverny Capital (Francois Rochon) - FilingSpy
Giverny Capital
Francois Rochon
$2.63B
13F
2024 Q3
6 of 44 quarters
Overview
Activity
Holdings
Buys
ICE
NEW
Intercontinental Exchange Inc
$2.70M
+16.8K shares
COF
NEW
Capital One Financial Corporation
$2.21M
+14.8K shares
YUMC
NEW
Yum China Holdings Inc
$1.62M
+36.0K shares
FWONK
NEW
Liberty Media Corporation
$1.16M
+15.0K shares
COST
NEW
Costco Wholesale Corporation
$212.8K
+240 shares
BRK.B
Berkshire Hathaway Inc
$197.08M
+ $28.13M
=
$225.21M
484.5K
+4.8K (+1.00%)
META
Meta Platforms Inc
$150.11M
+ $27.31M
=
$177.42M
297.7K
+12.2K (+4.11%)
AME
Ametek Inc
$156.16M
+ $8.55M
=
$164.71M
936.7K
+22.5K (+2.40%)
HEI.A
Heico Corporation
$128.47M
+ $20.88M
=
$149.35M
723.7K
+9.3K (+1.28%)
PGR
The Progressive Corporation
$111.09M
+ $25.10M
=
$136.19M
534.8K
+1.9K (+0.35%)
NVR
NVR Inc
$100.01M
+ $30.56M
=
$130.57M
13.2K
+128 (+0.97%)
KMX
Carmax Inc
$116.97M
+ $9.71M
=
$126.68M
1.59M
+42.2K (+2.64%)
IBP
Installed Building Products Inc
$96.99M
+ $22.97M
=
$119.96M
471.6K
+15.6K (+3.30%)
V
Visa Inc
$101.57M
+ $6.15M
=
$107.71M
387.0K
+4.8K (+1.24%)
FISV
Fiserv, Inc.
$72.27M
+ $17.78M
=
$90.05M
484.9K
+16.3K (+3.37%)
BKNG
Booking Holdings Inc
$79.24M
+ $7.17M
=
$86.41M
20.0K
+512 (+2.56%)
KEYS
Keysight Technologies, Inc.
$65.58M
+ $10.88M
=
$76.46M
479.6K
+1.5K (+0.32%)
MEDP
Medpace Holdings Inc
$77.47M
- $1.67M
=
$75.80M
188.1K
+39.0K (+20.72%)
SBUX
Starbucks Corporation
$55.71M
+ $14.29M
=
$70.00M
715.6K
+2.4K (+0.33%)
MKL
Markel Group Inc
$65.34M
+ $1.61M
=
$66.95M
41.5K
+1.2K (+2.92%)
Show all 40 buys (20 more)
Sells
ABNB
EXIT
Airbnb Inc
$1.07M
- $1.07M
=
Closed
-7.1K shares (100%)
GBTC
EXIT
Grayscale Bitcoin Trust
$396.2K
- $396.2K
=
Closed
-7.4K shares (100%)
FERG
EXIT
Ferguson Enterprises Inc
$5.76M
- $5.76M
=
Closed
-29.8K shares (100%)
GOOG
Alphabet Inc
$118.75M
- $10.72M
=
$108.03M
646.2K left
-1.3K (-0.19%)
FND
Floor & Decor Holdings Inc
$27.47M
+ $1.18M
=
$28.64M
230.7K left
-45.6K (-16.51%)
AAPL
Apple Inc
$2.11M
+ $183.6K
=
$2.30M
9.9K left
-175 (-1.75%)
ITB
iShares Trust
$1.27M
+ $39.5K
=
$1.31M
10.3K left
-2.3K (-18.01%)