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Markel Group (Thomas Gayner) - FilingSpy
Markel Group
Thomas Gayner
$3.16B
13F
2013 Q4
49 of 53 quarters
Overview
Activity
Holdings
Buys
UL
NEW
Unilever Plc
$8.94M
+217.0K shares
FNF
NEW
Fidelity National Financial, Inc.
$2.59M
+79.7K shares
SPGI
NEW
S&P Global Inc.
$2.35M
+30.0K shares
TGT
NEW
Target Corp
$1.52M
+24.0K shares
ROL
NEW
Rollins Inc
$1.42M
+47.0K shares
UTI
NEW
Universal Technical Institute, Inc.
$320.0K
+23.0K shares
MSCI
NEW
Msci Inc.
$219.0K
+5.0K shares
BAM
Brookfield Asset Management Inc
$118.39M
+ $6.55M
=
$124.94M
3.17M
+52.0K (+1.64%)
WMT
Walmart, Inc.
$82.43M
+ $6.49M
=
$88.92M
1.11M
+15.5K (+1.39%)
XOM
Exxon Mobil Corp.
$73.73M
+ $15.04M
=
$88.78M
857.0K
+20.3K (+2.37%)
GE
General Electric Company
$58.61M
+ $14.22M
=
$72.83M
2.45M
+144.9K (+5.90%)
MAR
Marriott International Inc
$56.38M
+ $9.88M
=
$66.25M
1.34M
+2.1K (+0.16%)
UNH
UnitedHealth Group Incorporated
$41.27M
+ $4.43M
=
$45.70M
576.3K
+30.6K (+5.31%)
MSFT
Microsoft Corporation
$26.70M
+ $4.17M
=
$30.87M
802.3K
+22.8K (+2.84%)
V
Visa Inc
$23.43M
+ $6.99M
=
$30.42M
122.6K
+14.0K (+11.42%)
INTC
Intel Corporation
$19.70M
+ $6.22M
=
$25.92M
859.4K
+139.3K (+16.21%)
FWONA
Liberty Media Corporation
$16.19M
+ $3.42M
=
$19.60M
110.0K
+24.0K (+21.82%)
NOV
Nov Inc.
$16.48M
+ $2.77M
=
$19.25M
211.0K
+31.0K (+14.69%)
BLK
Blackrock Inc
$9.01M
+ $9.79M
=
$18.80M
33.3K
+26.1K (+78.38%)
SLB
Slb Ltd
$13.61M
+ $2.07M
=
$15.68M
154.0K
+20.0K (+12.99%)
Show all 42 buys (22 more)
Sells
ANR
EXIT
Alpha Natural Resources Inc
$1.44M
- $1.44M
=
Closed
-242.0K shares (100%)
CRR
EXIT
Carbo Ceramics Inc
$23.39M
- $23.39M
=
Closed
-236.0K shares (100%)
CEIX
EXIT
Consol Energy Inc
$1.01M
- $1.01M
=
Closed
-30.0K shares (100%)
LUK
EXIT
Leucadia National Corporation
$10.63M
- $10.63M
=
Closed
-390.4K shares (100%)
NRP
EXIT
Natural Resource Partners LP
$1.94M
- $1.94M
=
Closed
-101.9K shares (100%)
KMX
Carmax Inc
$244.02M
- $7.69M
=
$236.34M
5.03M left
-8.2K (-0.16%)
BRK.B
Berkshire Hathaway Inc
$173.82M
+ $7.25M
=
$181.07M
1.53M left
-4.1K (-0.27%)
DEO
Diageo Plc
$154.09M
+ $6.25M
=
$160.34M
1.21M left
-1.7K (-0.14%)
WAG
Walgreen Co.
$115.63M
+ $7.72M
=
$123.35M
2.15M left
-1.8K (-0.08%)
DIS
Walt Disney Co. (the)
$97.49M
+ $17.76M
=
$115.25M
1.51M left
-3.2K (-0.21%)
UPS
United Parcel Service Inc
$67.44M
+ $9.88M
=
$77.32M
735.8K left
-2.3K (-0.31%)
HD
The Home Depot Inc
$71.23M
+ $5.83M
=
$77.06M
935.9K left
-3.1K (-0.34%)
FHI
Federated Hermes Inc
$58.56M
+ $3.53M
=
$62.08M
2.16M left
-300 (-0.01%)
WPC
W. P. Carey Inc.
$61.68M
- $3.21M
=
$58.48M
953.2K left
-200 (-0.02%)
JNJ
Johnson & Johnson
$50.35M
+ $2.83M
=
$53.18M
580.6K left
-200 (-0.03%)
BUD
Anheuser-Busch Inbev Sa/nv
$40.91M
+ $2.91M
=
$43.82M
411.6K left
-803 (-0.19%)
ADP
Automatic Data Processing Inc
$38.54M
+ $4.45M
=
$42.99M
532.1K left
-400 (-0.08%)
NVO
Novo Nordisk A/s
$37.52M
+ $3.35M
=
$40.87M
221.2K left
-500 (-0.23%)
GD
General Dynamics Corp.
$34.95M
+ $3.12M
=
$38.07M
398.4K left
-961 (-0.24%)
AXP
American Express Company
$26.75M
+ $5.23M
=
$31.98M
352.5K left
-1.7K (-0.49%)
Show all 40 sells (20 more)