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Markel Group (Thomas Gayner) - FilingSpy
Markel Group
Thomas Gayner
$6.62B
13F
2019 Q3
26 of 53 quarters
Overview
Activity
Holdings
Buys
BX
NEW
Blackstone Inc.
$58.90M
+1.21M shares
KHC
NEW
Kraft Heinz Co. (the)
$978.0K
+35.0K shares
LEN.B
NEW
Lennar Corporation
$965.0K
+21.8K shares
BRK.B
Berkshire Hathaway Inc
$324.66M
- $7.39M
=
$317.26M
1.52M
+2.2K (+0.14%)
BAM
Brookfield Asset Management Inc
$275.42M
+ $31.55M
=
$306.97M
5.76M
+17.8K (+0.31%)
DIS
Walt Disney Co. (the)
$254.56M
- $14.39M
=
$240.17M
1.82M
+19.9K (+1.09%)
MAR
Marriott International Inc
$218.75M
- $22.96M
=
$195.79M
1.56M
+15.0K (+0.96%)
AMZN
Amazon.com Inc
$179.34M
- $10.51M
=
$168.83M
94.7K
+2.5K (+2.69%)
V
Visa Inc
$162.84M
+ $481.0K
=
$163.32M
938.3K
+11.2K (+1.19%)
GOOG
Alphabet Inc. (formerly Google Inc.)
$139.46M
+ $22.95M
=
$162.42M
129.0K
+4.2K (+3.27%)
WBA
Walgreens Boots Alliance Inc
$117.43M
+ $1.51M
=
$118.94M
2.15M
+2.5K (+0.12%)
BLK
Blackrock Inc
$99.87M
- $3.07M
=
$96.79M
212.8K
+4.4K (+2.07%)
ADI
Analog Devices Inc
$91.74M
+ $2.54M
=
$94.28M
812.8K
+31.0K (+3.81%)
TXN
Texas Instruments Incorporated
$77.69M
+ $13.23M
=
$90.92M
677.0K
+26.5K (+3.91%)
GS
The Goldman Sachs Group, Inc.
$60.89M
+ $8.37M
=
$69.25M
297.6K
+36.6K (+12.29%)
AAPL
Apple Inc
$57.49M
+ $9.07M
=
$66.56M
290.5K
+6.7K (+2.31%)
MSFT
Microsoft Corporation
$59.80M
+ $4.60M
=
$64.40M
446.4K
+16.8K (+3.76%)
WSO
Watsco, Inc.
$58.22M
+ $5.48M
=
$63.70M
356.0K
+20.5K (+5.76%)
ECL
Ecolab Inc
$56.03M
+ $2.94M
=
$58.98M
283.8K
+14.0K (+4.93%)
AXP
American Express Company
$55.67M
+ $75.0K
=
$55.75M
451.0K
+20.3K (+4.50%)
Show all 63 buys (43 more)
Sells
BXUSD
EXIT
The Blackstone Group L.p.
$53.57M
- $53.57M
=
Closed
-1.21M shares (100%)
CME
EXIT
Cme Group Inc
$26.20M
- $26.20M
=
Closed
-135.0K shares (100%)
GT
EXIT
The Goodyear Tire & Rubber Co
$306.0K
- $306.0K
=
Closed
-20.0K shares (100%)
OAK
EXIT
Oaktree Capital Group, LLC
$17.93M
- $17.93M
=
Closed
-362.0K shares (100%)
SYF
EXIT
Synchrony Financial
$366.0K
- $366.0K
=
Closed
-10.6K shares (100%)
LILA
EXIT
Liberty Latin America Ltd.
$340.0K
- $340.0K
=
Closed
-19.7K shares (100%)
NXPI
EXIT
Nxp Semiconductors N.v.
$2.83M
- $2.83M
=
Closed
-29.0K shares (100%)
ST
EXIT
Sensata Technologies Holding Plc
$4.02M
- $4.02M
=
Closed
-82.0K shares (100%)
SRCL
Stericycle, Inc.
$27.19M
+ $1.73M
=
$28.93M
568.0K left
-1.5K (-0.26%)
DISCK
Discovery, Inc.
$33.46M
- $16.79M
=
$16.67M
677.0K left
-499.0K (-42.43%)
SHAK
Shake Shack Inc.
$2.38M
+ $565.0K
=
$2.94M
30.0K left
-2.9K (-8.81%)