Back to Markel Group Inc

Markel Group Inc

All holdings · as of Mar 31, 2026

128 positions

CompanyClassValueShares% of portfolio
NIKE, Inc.$23.63M447,4000.2%
Lamar Advertising Co$24.45M193,0000.2%
CISCO SYSTEMS, INC.$27.58M355,5000.2%
Comcast Corp.$27.62M961,8800.2%
T Rowe Price Group Inc$28.30M314,0000.3%
FactSet Research Systems Inc$29.38M135,3760.3%
Verisk Analytics, Inc.$29.59M155,9500.3%
SHERWIN WILLIAMS CO$30.19M94,1720.3%
Airbnb, Inc.$30.61M242,3890.3%
Marriott International Inc/MD$30.66M93,7500.3%
Accenture plc$31.61M159,4000.3%
ALLSTATE CORP$32.04M154,5500.3%
Hagerty, Inc.HGTYCommon Stock$32.73M3,108,0000.3%
THERMO FISHER SCIENTIFIC INC.$32.98M67,1000.3%
Union Pacific Corp$36.46M150,2780.3%
Yum! Brands Inc$38.13M245,2130.3%
HCA Healthcare, Inc.$39.01M82,4300.3%
COSTCO WHOLESALE CORP /NEW$39.01M39,1500.3%
LOCKHEED MARTIN CORP$39.41M65,2130.4%
Ferguson Enterprises Inc. /DE$39.82M170,7000.4%
RTX Corp$43.21M224,0000.4%
Aon plc$43.83M135,8000.4%
INVESTORS TITLE COITICCommon Stock$46.36M213,3000.4%
HANOVER INSURANCE GROUP, INC.$48.71M281,0000.4%
S&P Global Inc.$50.06M117,6900.4%
Rockwell Automation Inc$55.59M154,9000.5%
STARBUCKS CORP$55.89M623,8180.5%
TYSON FOODS INC$56.99M889,5000.5%
Sunbelt Rentals Holdings, Inc.SUNBCommon Stock$62.71M963,3610.6%
Carlyle Group Inc.$64.21M1,327,0000.6%
ECOLAB INC.$72.97M274,3000.7%
JPMORGAN CHASE & CO$74.29M252,5500.7%
MSCI Inc.$77.00M142,8500.7%
NVR INC$79.65M12,0870.7%
ROLLINS INC$80.01M1,498,0250.7%
HEICO CORP$80.14M379,6440.7%
NORFOLK SOUTHERN CORP$81.08M282,5000.7%
OLD DOMINION FREIGHT LINE, INC.$83.86M429,1500.7%
ILLINOIS TOOL WORKS INC$85.24M327,5000.8%
Moody's Corp$93.31M213,8900.8%
BROOKFIELD ASSET MANAGMT LTD$97.52M2,193,9530.9%
LINDE PLC$101.43M204,6000.9%
DIAGEO PLC$102.16M1,372,2080.9%
DOLLAR GENERAL CORP$103.21M869,2500.9%
Mastercard Inc$103.70M207,5400.9%
NOVO-NORDISK A S$105.46M2,869,7740.9%
Archer-Daniels-Midland Co$109.46M1,505,8001.0%
Apollo Global Management, Inc.$112.81M1,012,5001.0%
SCHWAB CHARLES CORP$130.05M1,383,8001.2%
MARSH & MCLENNAN COMPANIES, INC.$132.43M763,5001.2%
← PrevPage 2 of 3Next →