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Markel Group (Thomas Gayner) - FilingSpy
Markel Group
Thomas Gayner
$8.40B
13F
2023 Q2
11 of 53 quarters
Overview
Activity
Holdings
Buys
HGTY
NEW
Hagerty Inc
$28.08M
+3.00M shares
CHH
NEW
Choice Hotels Intl Inc
$587.6K
+5.0K shares
BUD
NEW
Anheuser-Busch Inbev Sa/nv
$510.5K
+9.0K shares
UBER
NEW
Uber Technologies Inc
$302.2K
+7.0K shares
AMZN
Amazon.com Inc
$207.55M
+ $55.63M
=
$263.18M
2.01M
+9.5K (+0.47%)
AAPL
Apple Inc
$199.03M
+ $36.83M
=
$235.87M
1.21M
+9.0K (+0.75%)
V
Visa Inc
$217.42M
+ $17.52M
=
$234.93M
964.3K
+24.9K (+2.59%)
ADI
Analog Devices Inc
$220.11M
- $1.42M
=
$218.69M
1.12M
+6.5K (+0.58%)
WSO
Watsco, Inc.
$168.23M
+ $37.48M
=
$205.71M
528.8K
+10.5K (+1.99%)
DIS
Walt Disney Co. (the)
$202.13M
- $21.72M
=
$180.40M
2.02M
+2.0K (+0.10%)
MSFT
Microsoft Corporation
$138.38M
+ $27.12M
=
$165.50M
480.0K
+6.0K (+1.25%)
LOW
Lowe'S Companies Inc
$123.88M
+ $18.87M
=
$142.75M
619.5K
+13.0K (+2.10%)
MRSH
Marsh & Mclennan Companies Inc
$108.34M
+ $15.70M
=
$124.04M
650.5K
+9.0K (+1.38%)
DG
Dollar General Corp.
$58.77M
+ $27.69M
=
$86.46M
279.3K
+230.0K (+82.36%)
KKR
Kkr & Co Inc
$74.95M
+ $6.20M
=
$81.15M
1.43M
+22.0K (+1.54%)
META
Meta Platforms Inc
$51.35M
+ $21.19M
=
$72.54M
242.3K
+10.5K (+4.33%)
CAT
Caterpillar Inc
$65.79M
+ $6.30M
=
$72.09M
287.5K
+5.5K (+1.91%)
SCHW
The Charles Schwab Corporation
$61.11M
+ $9.53M
=
$70.64M
1.17M
+79.6K (+6.82%)
NVR
NVR Inc
$57.19M
+ $9.61M
=
$66.80M
10.3K
+255 (+2.48%)
GOOGL
Alphabet Inc
$55.29M
+ $10.55M
=
$65.83M
533.0K
+17.0K (+3.19%)
Show all 45 buys (25 more)
Sells
ESAB
EXIT
Esab Corporation
$20.58M
- $20.58M
=
Closed
-348.4K shares (100%)
405166
EXIT
Hagerty Inc
$26.22M
- $26.22M
=
Closed
-3.00M shares (100%)
MRVL
EXIT
Marvell Technology Inc
$6.93M
- $6.93M
=
Closed
-160.0K shares (100%)
PYPL
EXIT
PayPal Holdings, Inc.
$4.55M
- $4.55M
=
Closed
-59.9K shares (100%)
BAM
Brookfield Asset Management Ltd.
$71.79M
- $197.6K
=
$71.59M
2.19M left
-5 (-0.00%)
SRCL
Stericycle, Inc.
$29.27M
+ $1.79M
=
$31.05M
668.7K left
-2.4K (-0.35%)
SEIC
Sei Investments Co
$33.91M
- $23.58M
=
$10.33M
173.2K left
-416.0K (-70.60%)
HCSG
Healthcare Services Group, Inc.
$7.05M
- $2.45M
=
$4.60M
308.0K left
-200.0K (-39.37%)