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Markel Group (Thomas Gayner) - FilingSpy
Markel Group
Thomas Gayner
$1.10B
13F
2013 Q1
52 of 53 quarters
Overview
Activity
Holdings
Buys
FWONA
NEW
Liberty Media Corporation
$4.69M
+42.0K shares
GOOGL
NEW
Alphabet Inc. (formerly Google Inc.)
$3.97M
+5.0K shares
FDS
NEW
Factset Research Systems Inc.
$2.69M
+29.0K shares
AMZN
NEW
Amazon.com Inc
$1.47M
+5.5K shares
STRZA
NEW
Starz Entertainment Corp (liberty Capital)
$266.0K
+12.0K shares
ADM
Archer-Daniels-Midland Company
$36.55M
+ $9.00M
=
$45.55M
1.33M
+16.0K (+1.20%)
ADP
Automatic Data Processing Inc
$29.36M
+ $4.71M
=
$34.07M
515.7K
+8.2K (+1.59%)
GD
General Dynamics Corp.
$27.57M
+ $748.0K
=
$28.31M
398.0K
+3.6K (+0.90%)
TEVA
Teva Pharmaceutical Industries Ltd
$24.05M
+ $2.28M
=
$26.33M
644.1K
+19.5K (+3.03%)
ORCL
Oracle Corporation
$21.57M
- $273.0K
=
$21.30M
647.5K
+11.4K (+1.76%)
MCD
Mcdonald'S Corporation
$16.73M
+ $2.20M
=
$18.93M
189.6K
+250 (+0.13%)
SCHW
The Charles Schwab Corporation
$14.54M
+ $3.70M
=
$18.24M
1.01M
+18.5K (+1.83%)
NOV
Nov Inc.
$8.41M
+ $1.22M
=
$9.62M
123.0K
+13.0K (+10.57%)
HAS
Hasbro, Inc.
$5.44M
+ $2.90M
=
$8.34M
151.5K
+38.3K (+25.28%)
MCO
Moody'S Corporation
$4.80M
+ $3.48M
=
$8.29M
95.4K
+60.0K (+62.89%)
NSC
Norfolk Southern Corp
$4.46M
+ $2.79M
=
$7.25M
72.1K
+22.0K (+30.51%)
MAT
Mattel, Inc.
$3.70M
+ $2.43M
=
$6.13M
101.0K
+39.0K (+38.61%)
KO
The Coca-Cola Company
$4.50M
+ $924.0K
=
$5.42M
124.0K
+10.0K (+8.06%)
MA
Mastercard Incorporated
$1.47M
+ $2.85M
=
$4.33M
3.0K
+5.0K (+166.67%)
MON
Monsanto Company
$3.35M
+ $420.0K
=
$3.77M
35.4K
+300 (+0.85%)
Show all 21 buys (1 more)
Sells
BBSI
EXIT
Barrett Business Services, Inc.
$781.0K
- $781.0K
=
Closed
-20.5K shares (100%)
CLMS
EXIT
Calamos Asset Management, Inc.
$2.43M
- $2.43M
=
Closed
-230.0K shares (100%)
DELL
EXIT
Dell Technologies Inc.
$2.54M
- $2.54M
=
Closed
-250.0K shares (100%)
XRAY
EXIT
Dentsply Sirona Inc.
$1.40M
- $1.40M
=
Closed
-35.4K shares (100%)
LII
EXIT
Lennox Intl Inc
$13.31M
- $13.31M
=
Closed
-253.5K shares (100%)
LMCA
EXIT
Liberty Media Corporation
$1.39M
- $1.39M
=
Closed
-12.0K shares (100%)
MKC
EXIT
Mccormick & Company, Incorporated
$1.08M
- $1.08M
=
Closed
-17.0K shares (100%)
NICK
EXIT
Nicholas Financial Inc.
$2.27M
- $2.27M
=
Closed
-183.5K shares (100%)
RFP
EXIT
Resolute Forest Products Inc
$204.0K
- $204.0K
=
Closed
-15.4K shares (100%)
UBSH
EXIT
Union First Market Bankshares Corporation
$41.39M
- $41.39M
=
Closed
-2.62M shares (100%)
UPS
EXIT
United Parcel Service Inc
$5.13M
- $5.13M
=
Closed
-69.5K shares (100%)
RTX
EXIT
United Technologies Corporation
$4.40M
- $4.40M
=
Closed
-53.6K shares (100%)
V
EXIT
Visa Inc
$15.32M
- $15.32M
=
Closed
-101.1K shares (100%)
WPC
EXIT
W. P. Carey Inc.
$2.35M
- $2.35M
=
Closed
-45.0K shares (100%)
WMT
EXIT
Walmart, Inc.
$7.94M
- $7.94M
=
Closed
-116.4K shares (100%)
WAG
EXIT
Walgreen Co.
$79.66M
- $79.66M
=
Closed
-2.15M shares (100%)
GHC
EXIT
Graham Holdings Company
$1.94M
- $1.94M
=
Closed
-5.3K shares (100%)
ELME
EXIT
Elme Communities
$241.0K
- $241.0K
=
Closed
-9.2K shares (100%)
FRFHF
Fairfax Financial Holdings Limited
$96.42M
- $19.33M
=
$77.09M
197.1K left
-70.0K (-26.21%)
GE
General Electric Company
$50.39M
+ $4.80M
=
$55.20M
2.39M left
-13.4K (-0.56%)
Show all 34 sells (14 more)