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Markel Group (Thomas Gayner) - FilingSpy
Markel Group
Thomas Gayner
$12.32B
13F
2025 Q3
2 of 53 quarters
Overview
Activity
Holdings
Buys
CNI
NEW
Canadian National Railway Company
$2.36M
+25.0K shares
CP
NEW
Canadian Pacific Kansas City Limited
$2.31M
+31.0K shares
XOM
NEW
Exxon Mobil Corp.
$338.3K
+3.0K shares
MSFT
Microsoft Corporation
$262.37M
+ $13.22M
=
$275.59M
527.5K
+4.6K (+0.87%)
LPLA
Lpl Financial Holdings Inc
$204.21M
- $20.13M
=
$184.08M
544.6K
+8.7K (+1.60%)
LOW
Lowe'S Companies Inc
$159.13M
+ $23.50M
=
$182.63M
717.2K
+9.5K (+1.32%)
MRSH
Marsh & Mclennan Companies Inc
$163.71M
- $11.55M
=
$152.16M
748.8K
+6.3K (+0.83%)
FNV
Franco-Nevada Corp.
$93.35M
+ $41.62M
=
$134.97M
569.5K
+36.0K (+6.32%)
NVO
Novo Nordisk A/s
$155.89M
- $24.45M
=
$131.44M
2.26M
+110.1K (+4.87%)
LIN
Linde Plc
$87.55M
+ $4.05M
=
$91.60M
186.6K
+6.3K (+3.35%)
ROL
Rollins Inc
$82.90M
+ $3.79M
=
$86.69M
1.47M
+6.5K (+0.44%)
NSC
Norfolk Southern Corp
$60.54M
+ $16.52M
=
$77.06M
236.5K
+20.0K (+8.46%)
ODFL
Old Dominion Freight Line, Inc.
$55.58M
- $5.07M
=
$50.50M
342.4K
+16.3K (+4.76%)
TSN
Tyson Foods, Inc.
$45.65M
+ $426.5K
=
$46.07M
816.0K
+32.5K (+3.98%)
FERG
Ferguson Enterprises, Inc.
$29.29M
+ $3.73M
=
$33.01M
134.5K
+12.5K (+9.29%)
HCA
HCA Healthcare, Inc.
$26.42M
+ $5.64M
=
$32.06M
69.0K
+6.3K (+9.06%)
UNP
Union Pacific Corporation
$22.38M
+ $7.58M
=
$29.97M
97.3K
+29.5K (+30.33%)
ABNB
Airbnb Inc
$28.06M
- $478.0K
=
$27.58M
212.0K
+15.1K (+7.14%)
TMO
Thermo Fisher Scientific Inc
$20.09M
+ $6.97M
=
$27.06M
49.5K
+6.3K (+12.61%)
CSCO
Cisco Systems Inc
$24.25M
+ $75.0K
=
$24.32M
349.5K
+6.0K (+1.72%)
Show all 30 buys (10 more)
Sells
BUD
EXIT
Anheuser-Busch Inbev Sa/nv
$755.9K
- $755.9K
=
Closed
-11.0K shares (100%)
BALL
EXIT
Ball Corporation
$2.86M
- $2.86M
=
Closed
-51.0K shares (100%)
CE
EXIT
Celanese Corp
$4.50M
- $4.50M
=
Closed
-81.3K shares (100%)
CSGP
EXIT
Costar Group Inc
$1.50M
- $1.50M
=
Closed
-18.6K shares (100%)
IT
EXIT
Gartner Inc
$2.30M
- $2.30M
=
Closed
-5.7K shares (100%)
GPK
EXIT
Graphic Packaging Holding Company
$3.67M
- $3.67M
=
Closed
-174.0K shares (100%)
INTU
EXIT
Intuit Inc
$2.14M
- $2.14M
=
Closed
-2.7K shares (100%)
EL
EXIT
Estee Lauder Companies Inc.
$1.21M
- $1.21M
=
Closed
-15.0K shares (100%)
OI
EXIT
O-I Glass Inc
$6.98M
- $6.98M
=
Closed
-473.7K shares (100%)
MMM
EXIT
3m Co.
$18.00M
- $18.00M
=
Closed
-118.3K shares (100%)
WTW
EXIT
Willis Towers Watson Public Limited Company
$2.64M
- $2.64M
=
Closed
-8.6K shares (100%)
ADM
Archer-Daniels-Midland Company
$83.07M
+ $6.89M
=
$89.96M
1.51M left
-68.0K (-4.32%)
IQV
Iqvia Holdings Inc
$7.82M
+ $1.09M
=
$8.91M
46.9K left
-2.7K (-5.52%)