Findlay Park Partners LLP Q3 2019 Filing

Filed November 5, 2019

Portfolio Value

$11.4T

Holdings

46

Report Date

Q3 2019

Filing Type

13F-HR

All Holdings (46 positions)

#StockSharesValue% PortfolioType
1
MSFTMicrosoft Corp
4,707,744$654.5B5.72%
2
DHRDanaher Corporation
3,897,671$562.9B4.92%
3
BDXBecton Dickinson & Co
2,200,000$556.5B4.87%
4
FISFidelity Natl Information SV
3,986,715$529.3B4.63%
5
BRK/BBerkshire Hathaway Inc Del
2,506,976$521.5B4.56%
6
APDAir Prods & Chems Inc
2,315,000$513.6B4.49%
7
FISVFiserv Inc
4,520,000$468.2B4.09%
8
CMCSAComcast Corp New
9,700,457$437.3B3.82%
9
LYVLive Nation Entertainment In
6,537,000$433.7B3.79%
10
GOOGAlphabet Inc
349,334$425.8B3.72%
11
ADSKAutodesk Inc
2,346,803$346.6B3.03%
12
AG8Agilent Technologies Inc
4,500,000$344.8B3.02%
13
WCNWaste Connections Inc
3,534,746$325.2B2.84%
14
EOGEOG Res Inc
4,311,240$320.0B2.80%
15
AXPAmerican Express Co
2,525,737$298.7B2.61%
16
AEMAgnico Eagle Mines Ltd
5,410,171$290.0B2.54%
17
SHWSherwin Williams Co
525,188$288.8B2.53%
18
ACNAccenture PLC Ireland
1,421,343$273.4B2.39%
19
TMUST Mobile US Inc
3,370,554$265.5B2.32%
20
HLTHilton Worldwide Hldgs Inc
2,825,000$263.0B2.30%
21
DEDeere & Co
1,394,572$235.2B2.06%
22
TMOThermo Fisher Scientific Inc
756,273$220.3B1.93%
23
PBProsperity Bancshares Inc
2,998,648$211.8B1.85%
24
MRSHMarsh & Mclennan Cos Inc
2,035,287$203.6B1.78%
25
YUSDAlleghany Corp Del
242,552$193.5B1.69%
26
NDAQNasdaq Inc
1,875,000$186.3B1.63%
27
TELTE Connectivity Ltd
1,900,494$177.1B1.55%
28
KOCoca Cola Co
3,139,670$170.9B1.49%
29
SCHWThe Charles Schwab Corporati
3,896,249$163.0B1.43%
30
WFCWells Fargo Co New
2,963,784$149.5B1.31%
31
ICEIntercontinental Exchange In
1,603,661$148.0B1.29%
32
ADIAnalog Devices Inc
1,225,968$137.0B1.20%
33
INTUIntuit
398,000$105.8B0.93%
34
AONAON PLC
539,244$104.4B0.91%
35
TXNTexas Instrs Inc
780,086$100.8B0.88%
36
COOCooper Cos Inc
332,748$98.8B0.86%
37
MLMMartin Marietta Matls Inc
351,785$96.4B0.84%
38
DISDisney Walt Co
700,000$91.2B0.80%
39
ADBEAdobe Inc
329,484$91.0B0.80%
40
ALCAlcon Inc
1,250,000$72.9B0.64%
41
ICUIICU Med Inc
450,000$71.8B0.63%
42
TRUTransunion
875,000$71.0B0.62%
43
MMM3M Co
412,668$67.8B0.59%
44
SSNCSS&C Technologies Hldgs Inc
1,305,013$67.3B0.59%
45
CBSHCommerce Bancshares Inc
1,057,978$64.2B0.56%
46
AMTAmerican Tower Corp New
68,471$15.1B0.13%