MARKEL GROUP INC. Q4 2019 Filing

Filed February 7, 2020

Portfolio Value

$7.2T

Holdings

134

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (134 positions)

#StockSharesValue% PortfolioType
1
KMXCarmax
4,913,070$430.7B5.98%
2
BRK-BBerkshire Hathaway, Inc.
1,105$375.2B5.21%
3
BRK/BBerkshire Hathaway Class B
1,526,357$345.7B4.80%
4
BAMBrookfield Asset Management
5,794,641$334.9B4.65%
5
DISDisney
1,854,430$268.2B3.72%
6
MARMarriott International
1,585,269$240.1B3.33%
7
DEODiageo PLC
1,349,800$227.3B3.16%
8
HDHome Depot
920,000$200.9B2.79%
9
GOOGAlphabet Inc
135,558$181.2B2.52%
10
AMZNAmazon.com
97,932$181.0B2.51%
11
VVisa
955,150$179.5B2.49%
12
UNHUnited Health Group Inc
599,000$176.1B2.44%
13
DEJohn Deere
1,005,900$174.3B2.42%
14
WBAWalgreens Boots Alliance Inc
2,057,500$121.3B1.68%
15
BLKCHFBlackrock Inc
220,000$110.6B1.54%
16
RLIRLI Corporation
1,197,272$107.8B1.50%
17
ADIAnalog Devices Inc
855,811$101.7B1.41%
18
TXNTexas Instruments Inc
714,500$91.7B1.27%
19
ADPAutomatic Data Processing
530,700$90.5B1.26%
20
JNJJohnson and Johnson
610,800$89.1B1.24%
21
AAPLApple Inc
300,035$88.1B1.22%
22
ULUnilever PLC ADR
1,527,600$87.3B1.21%
23
GSGoldman Sachs
341,900$78.6B1.09%
24
MSFTMicrosoft Corp
474,620$74.8B1.04%
25
WSOWatsco Inc
387,500$69.8B0.97%
26
LOWLowes
581,000$69.6B0.97%
27
BXBlackstone Group
1,223,000$68.4B0.95%
28
GDGeneral Dynamics
387,000$68.2B0.95%
29
MRSHMarsh & McLennan
609,500$67.9B0.94%
30
ADMArcher Daniels
1,463,300$67.8B0.94%
31
ELVAnthem Inc
224,000$67.7B0.94%
32
NVONovo-Nordisk A/S
1,075,000$62.2B0.86%
33
MAMastercard, Inc
205,850$61.5B0.85%
34
AXPAmerican Express
481,250$59.9B0.83%
35
ECLEcolab
306,300$59.1B0.82%
36
ITWIllinois Tool Works
319,000$57.3B0.80%
37
BF/ABrown Forman Class A
843,000$52.9B0.73%
38
SCHWCharles Schwab
1,082,700$51.5B0.71%
39
MCOMoody's Corp
209,780$49.8B0.69%
40
APOApollo Global Management - A
1,012,500$48.3B0.67%
41
PGRProgressive Corp
640,000$46.3B0.64%
42
SBUXStarbucks Corp
519,668$45.7B0.63%
43
SMGScotts Miracle-Gro Co
422,000$44.8B0.62%
44
NSCNorfolk Southern
229,500$44.6B0.62%
45
TRVThe Travelers Companies Inc
315,000$43.1B0.60%
46
CATCaterpillar Inc
284,000$41.9B0.58%
47
ENOVColfax Corporation
1,135,070$41.3B0.57%
48
MMM3M Company
228,500$40.3B0.56%
49
SPGIS&P Global
147,000$40.1B0.56%
50
KKRKKR & Co LLC
1,365,700$39.8B0.55%
51
CGThe Carlyle Group
1,210,000$38.8B0.54%
52
WHRWhirlpool Corp
262,539$38.7B0.54%
53
HASHasbro, Inc
364,000$38.4B0.53%
54
TROWT.Rowe Price
314,000$38.3B0.53%
55
NKENike
366,000$37.1B0.51%
56
SRCLStericycle Inc
568,000$36.2B0.50%
57
MHKMohawk Industries
261,000$35.6B0.49%
58
MSCIMSCI
137,000$35.4B0.49%
59
LYVLive Nation
488,700$34.9B0.48%
60
ITICInvestors Title Company
213,300$34.0B0.47%
61
ACNAccenture
159,400$33.6B0.47%
62
UTXZUnited Technologies
224,000$33.5B0.47%
63
TSNTyson Foods
355,500$32.4B0.45%
64
BF/BBrown-Forman Class B
474,187$32.1B0.45%
65
NVRNVR Inc
8,355$31.8B0.44%
66
FDSFactset Research
116,560$31.3B0.43%
67
BABoeing Co
94,400$30.8B0.43%
68
HEIHeico Corp Class A
341,644$30.6B0.42%
69
JPMJP Morgan
215,680$30.1B0.42%
70
METAFacebook
143,190$29.4B0.41%
71
ROKRockwell Automation Inc
140,100$28.4B0.39%
72
ROLRollins, Inc.
819,350$27.2B0.38%
73
LUVSouthwest Airlines
490,500$26.5B0.37%
74
LBRDALiberty Broadband A
205,250$25.6B0.35%
75
LSXMKUSDLiberty Sirius Group C
522,000$25.1B0.35%
76
SEICSEI Investments Co
383,200$25.1B0.35%
77
CVSCVS Corporation
332,000$24.7B0.34%
78
PHParker-Hannifin Corp
118,600$24.4B0.34%
79
DALDelta Air Lines
417,000$24.4B0.34%
80
CMCSAComcast Corp- Class A
521,000$23.4B0.33%
81
LBRDKLiberty Broadband Class C
172,113$21.6B0.30%
82
CHHChoice Hotels Intl Inc
203,000$21.0B0.29%
83
LM03Liberty Sirius Group A
426,000$20.6B0.29%
84
LINLinde PLC
94,400$20.1B0.28%
85
PEPPepsico
145,600$19.9B0.28%
86
SHWSherwin Williams
31,000$18.1B0.25%
87
GOOGLAlphabet Inc Class A
12,500$16.7B0.23%
88
ATVIEURActivision Blizzard Inc
280,800$16.7B0.23%
89
MCHPMicrochip Technology
159,000$16.7B0.23%
90
CSCOCisco
342,000$16.4B0.23%
91
MXIMMaxim Integrated Products
252,000$15.5B0.22%
92
UNPUnion Pacific
85,370$15.4B0.21%
93
EFXEquifax Inc
107,500$15.1B0.21%
94
HCSGHealthcare Services Group
573,500$13.9B0.19%
95
IFFIntl Flavors & Fragrances
106,000$13.7B0.19%
96
HXLHexcel Corp
184,000$13.5B0.19%
97
EAElectronic Arts Inc
122,400$13.2B0.18%
98
BKBank of New York Mellon Corp
254,000$12.8B0.18%
99
PAYXPaychex
150,000$12.8B0.18%
100
FWONALiberty Media Group C
259,500$11.9B0.17%
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