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Markel Group (Thomas Gayner) - FilingSpy
Markel Group
Thomas Gayner
$8.74B
13F
2021 Q4
17 of 53 quarters
Overview
Activity
Holdings
Buys
405166
NEW
Hagerty Inc
$42.54M
+3.00M shares
FDX
NEW
Fedex Corp.
$4.53M
+17.5K shares
HGTY
NEW
Hagerty Inc
$2.37M
+540.0K shares
CSGP
NEW
Costar Group Inc
$245.0K
+3.1K shares
TMO
NEW
Thermo Fisher Scientific Inc
$200.0K
+300 shares
DIS
Walt Disney Co. (the)
$315.36M
- $24.14M
=
$291.22M
1.86M
+16.0K (+0.86%)
ADI
Analog Devices Inc
$177.10M
+ $9.69M
=
$186.79M
1.06M
+5.3K (+0.50%)
WSO
Watsco, Inc.
$109.62M
+ $21.40M
=
$131.02M
414.3K
+4.5K (+1.09%)
KKR
Kkr & Co Inc
$86.22M
+ $19.36M
=
$105.59M
1.42M
+1.0K (+0.07%)
PGR
The Progressive Corporation
$63.50M
+ $10.51M
=
$74.01M
702.5K
+18.5K (+2.63%)
CG
Carlyle Group Inc.
$58.39M
+ $9.52M
=
$67.91M
1.24M
+2.0K (+0.16%)
WHR
Whirlpool Corp
$57.27M
+ $8.91M
=
$66.19M
280.9K
+1.1K (+0.39%)
ROK
Rockwell Automation Inc
$43.49M
+ $9.15M
=
$52.64M
147.9K
+3.0K (+2.03%)
REGN
Regeneron Pharmaceuticals, Inc.
$44.97M
+ $5.12M
=
$50.08M
74.3K
+5.0K (+6.73%)
MMM
3m Co.
$43.36M
+ $1.61M
=
$44.98M
247.2K
+6.0K (+2.43%)
GOOGL
Alphabet Inc. (formerly Google Inc.)
$33.42M
+ $4.97M
=
$38.39M
12.5K
+750 (+6.00%)
ATVI
Activision Blizzard, Inc.
$25.97M
+ $4.21M
=
$30.18M
335.6K
+118.0K (+35.16%)
CMCSA
Comcast Corporation
$29.55M
- $2.76M
=
$26.79M
528.3K
+4.0K (+0.76%)
HCSG
Healthcare Services Group, Inc.
$21.08M
- $1.00M
=
$20.08M
843.5K
+285.0K (+33.79%)
AON
Aon Plc
$14.75M
+ $2.72M
=
$17.46M
51.6K
+6.5K (+12.60%)
Show all 31 buys (11 more)
Sells
C
EXIT
Citigroup Inc
$1.48M
- $1.48M
=
Closed
-21.0K shares (100%)
DHI
EXIT
D.r. Horton, Inc.
$1.18M
- $1.18M
=
Closed
-14.0K shares (100%)
IAC
EXIT
Iac Inc
$320.0K
- $320.0K
=
Closed
-2.5K shares (100%)
ILMN
EXIT
Illumina Inc
$1.62M
- $1.62M
=
Closed
-4.0K shares (100%)
LEN.B
EXIT
Lennar Corporation
$1.01M
- $1.01M
=
Closed
-13.0K shares (100%)
MTCH
EXIT
Match Group Inc
$559.0K
- $559.0K
=
Closed
-3.6K shares (100%)
PYPL
EXIT
PayPal Holdings, Inc.
$476.0K
- $476.0K
=
Closed
-1.8K shares (100%)
ROP
EXIT
Roper Technologies Inc
$366.0K
- $366.0K
=
Closed
-820 shares (100%)
CRM
EXIT
Salesforce, Inc.
$475.0K
- $475.0K
=
Closed
-1.8K shares (100%)
TWTR
EXIT
Twitter Inc.
$634.0K
- $634.0K
=
Closed
-10.5K shares (100%)
IFF
International Flavors & Fragrances Inc
$10.90M
- $7.43M
=
$3.46M
23.0K left
-58.5K (-71.78%)