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FolioFact
FolioFact
Q2 2026 58/68 funds filed
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Some record dates are in the future and are excluded from the latest observation date.

Investor portfolio

Markel Group

QualityInsurance

Markel Group is an insurance and investment holding company associated with Thomas Gayner.

Linked investors: Thomas Gayner

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US 13F portfolio

Quarter
Q2 2026
Filed
2026-07-31
Portfolio value
$13,130,490,727
Positions
130
history Ticker Change % of portfolio
≡ BRK.{A,B} 12.19%
≡ GOOG(L) 8.96%
≡ DE 4.24%
≡ BN 4.24%
≡ AMZN 3.69%
≡ ADI −2% 3.02%
≡ GS 2.77%
≡ AAPL 2.7%
≡ CAT 2.67%
≡ V +1% 2.65%
≡ HD +0% 2.48%
≡ WSO +3% 1.9%
≡ TXN 1.64%
≡ BLK 1.61%
≡ MSFT 1.53%
≡ DIS 1.49%
≡ AXP 1.26%
≡ LOW +2% 1.26%
≡ PGR 1.25%
≡ FNV +9% 1.23%
≡ LPLA 1.2%
≡ JNJ 1.18%
≡ BX 1.1%
≡ RLI 1.08%
≡ GD 1.05%
≡ NVO 1.05%
≡ KKR 1.01%
≡ META −6% 1.0%
≡ SCHW +1% 0.98%
≡ MRSH 0.97%
≡ APO 0.91%
≡ ADM 0.88%
≡ LIN +5% 0.85%
≡ DEO 0.84%
≡ MA 0.81%
≡ DG 0.76%
≡ BAM 0.75%
≡ HEI.A 0.75%
≡ MCO 0.74%
≡ ODFL 0.71%
≡ NSC 0.68%
≡ ITW 0.67%
≡ JPM 0.63%
≡ NVR +0% 0.63%
≡ MSCI 0.61%
≡ ROK 0.58%
≡ ECL 0.58%
≡ SUNB +1% 0.56%
≡ SBUX 0.49%
≡ ROL +1% 0.48%
≡ THG 0.46%
≡ ITIC 0.44%
≡ CG 0.43%
≡ TSN +3% 0.4%
≡ SPGI 0.37%
≡ AON 0.34%
≡ UNP +7% 0.33%
≡ FERG +6% 0.33%
≡ RTX 0.32%
≡ CSCO 0.32%
≡ MELI +340% 0.31%
≡ YUM 0.3%
≡ MAR +6% 0.28%
≡ ALL 0.28%
≡ TMO +9% 0.28%
≡ COST 0.28%
≡ HGTY 0.27%
≡ TROW 0.27%
≡ URI 0.27%
≡ ABNB 0.26%
≡ LMT 0.25%
≡ HCA +2% 0.25%
≡ SHW 0.25%
≡ FDS 0.24%
≡ LAMR 0.23%
≡ VRSK 0.21%
≡ CSX +10% 0.21%
≡ AMAT 0.2%
≡ APD +17% 0.2%
≡ FIX 0.2%
≡ CCK 0.19%
≡ BF.A 0.18%
≡ RNR 0.17%
≡ EPD +182% 0.16%
≡ PM 0.16%
≡ ACN 0.15%
≡ CMCSA −17% 0.15%
≡ HXL 0.14%
≡ NKE 0.14%
≡ COF 0.14%
≡ BNY 0.14%
≡ CARR 0.13%
≡ WFC 0.13%
≡ SEIC 0.12%
≡ PAYX 0.11%
≡ HSY 0.1%
≡ PEP 0.1%
≡ BF.B 0.1%
≡ SPOT 0.09%
≡ SHOP 0.09%

13F filings show only a manager's disclosed reportable long positions; this filing contains no call or put rows — methodology & caveats.

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