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Markel Group (Thomas Gayner) - FilingSpy
Markel Group
Thomas Gayner
$7.91B
13F
2021 Q3
18 of 53 quarters
Overview
Activity
Holdings
Buys
DG
NEW
Dollar General Corp.
$7.90M
+37.3K shares
INTU
NEW
Intuit Inc
$1.10M
+2.0K shares
SPOT
NEW
Spotify Technology S.a.
$216.0K
+960 shares
ADI
Analog Devices Inc
$153.47M
+ $23.63M
=
$177.10M
891.4K
+166.0K (+18.62%)
WSO
Watsco, Inc.
$116.52M
- $6.90M
=
$109.62M
406.5K
+7.8K (+1.91%)
KKR
Kkr & Co Inc
$83.40M
+ $2.83M
=
$86.22M
1.41M
+8.5K (+0.60%)
PGR
The Progressive Corporation
$68.09M
- $4.59M
=
$63.50M
693.3K
+9.2K (+1.33%)
CG
Carlyle Group Inc.
$56.89M
+ $1.50M
=
$58.39M
1.22M
+11.0K (+0.90%)
WHR
Whirlpool Corp
$60.36M
- $3.08M
=
$57.27M
276.8K
+4.1K (+1.48%)
REGN
Regeneron Pharmaceuticals, Inc.
$37.31M
+ $7.66M
=
$44.97M
66.8K
+7.5K (+11.23%)
ROK
Rockwell Automation Inc
$40.64M
+ $2.85M
=
$43.49M
142.1K
+5.8K (+4.08%)
MMM
3m Co.
$47.81M
- $4.45M
=
$43.36M
240.7K
+6.5K (+2.70%)
ATVI
Activision Blizzard, Inc.
$29.21M
- $3.24M
=
$25.97M
306.1K
+29.5K (+9.64%)
SEIC
Sei Investments Co
$26.47M
- $903.0K
=
$25.57M
427.2K
+4.0K (+0.94%)
HCSG
Healthcare Services Group, Inc.
$25.86M
- $4.78M
=
$21.08M
819.0K
+24.5K (+2.99%)
AON
Aon Plc
$10.72M
+ $4.03M
=
$14.75M
44.9K
+6.7K (+14.92%)
CARR
Carrier Global Corporation
$10.89M
+ $1.04M
=
$11.93M
224.0K
+6.5K (+2.90%)
TPL
Texas Pacific Land Corp
$7.20M
+ $1.15M
=
$8.35M
4.5K
+2.4K (+53.33%)
LMT
Lockheed Martin Corp
$1.06M
+ $1.46M
=
$2.52M
2.8K
+4.5K (+159.97%)
EMN
Eastman Chemical Co
$1.40M
+ $216.0K
=
$1.62M
12.0K
+4.0K (+33.75%)
Show all 21 buys (1 more)
Sells
MXIM
EXIT
Maxim Integrated Products, Inc.
$26.55M
- $26.55M
=
Closed
-252.0K shares (100%)
NFLX
EXIT
Netflix Inc
$227.0K
- $227.0K
=
Closed
-430 shares (100%)
WIX
EXIT
Wix.com Ltd
$348.0K
- $348.0K
=
Closed
-1.2K shares (100%)
IFF
International Flavors & Fragrances Inc
$23.31M
- $12.41M
=
$10.90M
81.5K left
-74.5K (-47.76%)
BNT
Brookfield Asset Management Reinsurance Partners Ltd
$3.13M
+ $213.0K
=
$3.34M
60.1K left
-1 (-0.00%)