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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
CARMAX INC KMXCommon4,913,0700372,459,00062,641,00009/30/2017
BERKSHIRE HATHAWAY INC BRK.ACommon1,0880298,917,00021,804,00009/30/2017
BERKSHIRE HATHAWAY INC BRK/BCommon1,511,6070277,108,00021,088,00009/30/2017
BROOKFIELD ASSET MANAGEMENT INC. BAMCommon5,435,82175,000224,499,00014,302,00009/30/2017
DIAGEO PLC DEOSPON ADR NEW1,349,8002,000178,349,00016,842,00009/30/2017
WALT DISNEY CO/ DISCommon1,699,20012,000167,490,000-11,775,00009/30/2017
MARRIOTT INTERNATIONAL INC /MD/ MARCL A1,508,2690166,302,00015,008,00009/30/2017
Walgreens Boots Alliance, Inc. WBACOM2,135,0000164,865,000-2,327,00009/30/2017
HOME DEPOT INC HDCommon920,0000150,475,0009,347,00009/30/2017
DEERE & CO DECommon1,095,4000137,571,0002,191,00009/30/2017
UNITEDHEALTH GROUP INC UNHCommon663,0000129,849,0006,916,00009/30/2017
VISA INC. VCL A914,30010,00096,221,00011,416,00009/30/2017
Alphabet Inc. GOOGCOM97,03110,00093,063,00013,975,00009/30/2017
UNILEVER PLC ULSPON ADR NEW1,527,600088,540,0005,866,00009/30/2017
BlackRock Inc. BLKCommon180,0005,00080,476,0006,554,00009/30/2017
GENERAL DYNAMICS CORP GDCommon387,000079,559,0002,894,00009/30/2017
JOHNSON & JOHNSON JNJCommon610,800079,411,000-1,392,00009/30/2017
AMAZON COM INC AMZNCommon80,00010,00076,908,0009,148,00009/30/2017
RLI CORP RLICommon1,197,272068,676,0003,281,00009/30/2017
W. P. Carey Inc. WPCCommon950,200064,034,0001,312,00009/30/2017
ARCHER DANIELS MIDLAND CO ADMCommon1,463,300062,205,0001,654,00009/30/2017
AUTOMATIC DATA PROCESSING INC ADPCommon530,700058,016,0003,640,00009/30/2017
NOVO NORDISK A S NVOADR1,075,000051,761,0005,654,00009/30/2017
MARSH & MCLENNAN COMPANIES, INC. MMCCommon609,500051,082,0003,565,00009/30/2017
MONSANTO CO /NEW/ MONCommon396,700047,533,000580,00009/30/2017
Colfax CORP CFXCOM1,135,070047,264,0002,577,00009/30/2017
TEXAS INSTRUMENTS INC TXNCommon526,00028,00047,151,0008,840,00009/30/2017
BROWN FORMAN CORP BF.ACL A843,000046,947,0005,387,00009/30/2017
ANALOG DEVICES INC ADICommon537,81122,00046,343,0006,213,00009/30/2017
SCHWAB CHARLES CORP SCHWCommon1,057,000046,233,000824,00009/30/2017
LOWES COMPANIES INC LOWCommon570,000045,565,0001,373,00009/30/2017
EXXON MOBIL CORP XOMCommon544,800-400,00044,663,000-31,611,00009/30/2017
3M CO MMMCommon204,000042,820,000349,00009/30/2017
Anthem, Inc. ANTMCOM224,000042,533,000392,00009/30/2017
Oaktree Capital Group, LLC OAKCommon886,50036,00041,710,0002,077,00009/30/2017
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