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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
BERKSHIRE HATHAWAY INC BRK.ACommon1,0960335,376,000-15,344,00012/31/2018
BERKSHIRE HATHAWAY INC BRK/BCommon1,518,7471,650310,098,000-14,728,00012/31/2018
CARMAX INC KMXCommon4,913,0700308,197,000-58,662,00012/31/2018
BROOKFIELD ASSET MANAGEMENT INC. BAMCommon5,674,14110,100217,603,000-34,617,00012/31/2018
WALT DISNEY CO/ DISCommon1,800,5001,300197,424,000-12,974,00012/31/2018
DIAGEO PLC DEOSPON ADR NEW1,349,8000191,402,000176,00012/31/2018
MARRIOTT INTERNATIONAL INC /MD/ MARCL A1,532,2691,000166,343,000-35,830,00012/31/2018
DEERE & CO DECommon1,095,4000163,401,000-1,270,00012/31/2018
HOME DEPOT INC HDCommon920,0000158,074,000-32,504,00012/31/2018
UNITEDHEALTH GROUP INC UNHCommon599,000-64,000149,223,000-27,161,00012/31/2018
Walgreens Boots Alliance, Inc. WBACOM2,148,0000146,772,000-9,817,00012/31/2018
AMAZON COM INC AMZNCommon89,745425134,794,000-44,114,00012/31/2018
VISA INC. VCL A925,8001,400122,150,000-16,593,00012/31/2018
Alphabet Inc. GOOGCOM115,1891,380119,291,000-16,537,00012/31/2018
RLI CORP RLICommon1,197,272082,600,000-11,482,00012/31/2018
UNILEVER PLC ULSPON ADR NEW1,527,600079,817,000-4,155,00012/31/2018
JOHNSON & JOHNSON JNJCommon610,800078,824,000-5,570,00012/31/2018
BlackRock Inc. BLKCommon195,70020076,875,000-15,270,00012/31/2018
AUTOMATIC DATA PROCESSING INC ADPCommon530,700069,585,000-10,370,00012/31/2018
GENERAL DYNAMICS CORP GDCommon387,000060,840,000-18,387,00012/31/2018
TEXAS INSTRUMENTS INC TXNCommon636,0001,00060,101,000-8,028,00012/31/2018
ANALOG DEVICES INC ADICommon699,81140,00060,065,000-941,00012/31/2018
ARCHER DANIELS MIDLAND CO ADMCommon1,463,300059,951,000-13,609,00012/31/2018
Anthem, Inc. ANTMCOM224,000058,829,000-2,558,00012/31/2018
LOWES COMPANIES INC LOWCommon570,000052,645,000-12,802,00012/31/2018
NOVO NORDISK A S NVOADR1,075,000049,525,000-1,150,00012/31/2018
MARSH & MCLENNAN COMPANIES, INC. MMCCommon609,500048,608,000-1,810,00012/31/2018
SCHWAB CHARLES CORP SCHWCommon1,057,100043,902,000-8,054,00012/31/2018
WATSCO INC WSOCommon295,0003,00041,046,000-10,959,00012/31/2018
Oaktree Capital Group, LLC OAKCommon1,020,5001,00040,564,000-1,643,00012/31/2018
BROWN FORMAN CORP BF.ACL A843,000039,975,000-2,850,00012/31/2018
ECOLAB INC. ECLCommon269,80070039,755,000-2,435,00012/31/2018
MICROSOFT CORP MSFTCommon389,0002,00039,510,000-4,751,00012/31/2018
3M CO MMMCommon204,000038,870,000-4,115,00012/31/2018
TRAVELERS COMPANIES, INC. TRVCommon315,000037,721,000-3,138,00012/31/2018
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