Markel Group Inc.

Holdings as of Jun 30, 2026 · filed Jul 31, 2026

$13130490727
Portfolio value
130
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Alphabet Inc $971608033 7.40% NEW BUY
2 Berkshire Hathaway Inc Del $834218900 6.35% NEW BUY
3 Berkshire Hathaway Inc Del $766582969 5.84% NEW BUY
4 Deere & Co $556878306 4.24% NEW BUY
5 Brookfield Corp $556805009 4.24% NEW BUY
6 Amazon Com Inc $484011339 3.69% NEW BUY
7 Analog Devices Inc $397039330 3.02% NEW BUY
8 Goldman Sachs Group Inc $363445924 2.77% NEW BUY
9 Apple Inc $355128634 2.70% NEW BUY
10 Caterpillar Inc $349979385 2.67% NEW BUY
11 Visa Inc $347863069 2.65% NEW BUY
12 Home Depot Inc $325347299 2.48% NEW BUY
13 Watsco Inc $249100359 1.90% NEW BUY
14 Texas Instrs Inc $215802680 1.64% NEW BUY
15 Blackrock Inc $211735512 1.61% NEW BUY
16 Alphabet Inc $204415640 1.56% NEW BUY
17 Microsoft Corp $200546744 1.53% NEW BUY
18 Disney Walt Co $195547757 1.49% NEW BUY
19 American Express Co $165894715 1.26% NEW BUY
20 Lowes Cos Inc $165804070 1.26% NEW BUY
21 Progressive Corp $164656689 1.25% NEW BUY
22 Franco Nev Corp $161228340 1.23% NEW BUY
23 Lpl Finl Hldgs Inc $157726999 1.20% NEW BUY
24 Johnson & Johnson $155124875 1.18% NEW BUY
25 Blackstone Inc $144616429 1.10% NEW BUY
26 Rli Corp $141445715 1.08% NEW BUY
27 General Dynamics Corp $138507840 1.05% NEW BUY
28 Novo-Nordisk A S $137576966 1.05% NEW BUY
29 Kkr & Co Inc $133246205 1.01% NEW BUY
30 Meta Platforms Inc $131901676 1.00% NEW BUY
31 Schwab Charles Corp $128698196 0.98% NEW BUY
32 Marsh & Mclennan Cos Inc $127252547 0.97% NEW BUY
33 Apollo Global Mgmt Inc $119788875 0.91% NEW BUY
34 Archer Daniels Midland Co $115043119 0.88% NEW BUY
35 Linde Plc $111883464 0.85% NEW BUY
36 Diageo Plc $110298080 0.84% NEW BUY
37 Mastercard Incorporated $106592545 0.81% NEW BUY
38 Dollar Gen Corp $100059367 0.76% NEW BUY
39 Brookfield Asset Managmt Ltd $98398791 0.75% NEW BUY
40 Heico Corp New $97913984 0.75% NEW BUY
41 Moodys Corp $96875059 0.74% NEW BUY
42 Old Dominion Freight Line In $92953890 0.71% NEW BUY
43 Norfolk Southn Corp $88871675 0.68% NEW BUY
44 Illinois Tool Wks Inc $88578926 0.67% NEW BUY
45 Jpmorgan Chase & Co $82667192 0.63% NEW BUY
46 Nvr Inc $82421700 0.63% NEW BUY
47 Msci Inc $80001714 0.61% NEW BUY
48 Rockwell Automation Inc $76687892 0.58% NEW BUY
49 Ecolab Inc $76422723 0.58% NEW BUY
50 Sunbelt Rentals Holdings Inc $72891947 0.56% NEW BUY
51 Starbucks Corp $63747961 0.49% NEW BUY
52 Rollins Inc $63299755 0.48% NEW BUY
53 Hanover Ins Group Inc $60167720 0.46% NEW BUY
54 Investors Title Co Nc $58375945 0.44% NEW BUY
55 Carlyle Group Inc $55879970 0.43% NEW BUY
56 Tyson Foods Inc $52297875 0.40% NEW BUY
57 S&P Global Inc $47930429 0.37% NEW BUY
58 Aon Plc $45043503 0.34% NEW BUY
59 Union Pac Corp $43799616 0.33% NEW BUY
60 Ferguson Enterprises Inc $42766866 0.33% NEW BUY
61 Rtx Corporation $42499520 0.32% NEW BUY
62 Cisco Sys Inc $41757030 0.32% NEW BUY
63 Mercadolibre Inc $40737361 0.31% NEW BUY
64 Yum Brands Inc $39199750 0.30% NEW BUY
65 Marriott Intl Inc New $36873706 0.28% NEW BUY
66 Allstate Corp $36773627 0.28% NEW BUY
67 Thermo Fisher Scientific Inc $36649416 0.28% NEW BUY
68 Costco Wholesale Corporation $36623651 0.28% NEW BUY
69 Hagerty Inc $35897400 0.27% NEW BUY
70 Price T Rowe Group Inc $35698661 0.27% NEW BUY
71 United Rentals Inc $35289524 0.27% NEW BUY
72 Airbnb Inc $34685867 0.26% NEW BUY
73 Lockheed Martin Corp $33223415 0.25% NEW BUY
74 Hca Healthcare Inc $32893460 0.25% NEW BUY
75 Sherwin Williams Co $32425304 0.25% NEW BUY
76 Factset Resh Sys Inc $31147311 0.24% NEW BUY
77 Lamar Advertising Co $30104140 0.23% NEW BUY
78 Verisk Analytics Inc $27997704 0.21% NEW BUY
79 Csx Corp $27781285 0.21% NEW BUY
80 Applied Matls Inc $26281050 0.20% NEW BUY
81 Air Products And Chemicals I $25946430 0.20% NEW BUY
82 Comfort Sys Usa Inc $25765350 0.20% NEW BUY
83 Crown Hldgs Inc $24600400 0.19% NEW BUY
84 Brown Forman Corp $23064480 0.18% NEW BUY
85 Renaissancere Hldgs Ltd $22183000 0.17% NEW BUY
86 Enterprise Prods Partners L $20916440 0.16% NEW BUY
87 Philip Morris Intl Inc $20714195 0.16% NEW BUY
88 Accenture Plc Ireland $19835735 0.15% NEW BUY
89 Comcast Corp New $19690917 0.15% NEW BUY
90 Hexcel Corp New $18911340 0.14% NEW BUY
91 Nike Inc $18365770 0.14% NEW BUY
92 Capital One Finl Corp $18256420 0.14% NEW BUY
93 Bank New York Mellon Corp $18003945 0.14% NEW BUY
94 Carrier Global Corporation $17237250 0.13% NEW BUY
95 Wells Fargo & Co $16895748 0.13% NEW BUY
96 Sei Invts Co $15191372 0.12% NEW BUY
97 Paychex Inc $14749500 0.11% NEW BUY
98 Hershey Co $13158750 0.10% NEW BUY
99 Pepsico Inc $13026834 0.10% NEW BUY
100 Brown Forman Corp $12637084 0.10% NEW BUY
101 Spotify Technology S A $11891467 0.09% NEW BUY
102 Shopify Inc $11731995 0.09% NEW BUY
103 Equifax Inc $11562752 0.09% NEW BUY
104 Cme Group Inc $10986293 0.08% NEW BUY
105 Cboe Global Mkts Inc $10604680 0.08% NEW BUY
106 Uber Technologies Inc $10282800 0.08% NEW BUY
107 Otis Worldwide Corp $9567192 0.07% NEW BUY
108 Iqvia Hldgs Inc $9062018 0.07% NEW BUY
109 Huntington Ingalls Inds Inc $7696975 0.06% NEW BUY
110 Exxon Mobil Corp $7669992 0.06% NEW BUY
111 Insperity Inc $7490989 0.06% NEW BUY
112 Carmax Inc $7219485 0.05% NEW BUY
113 Sony Group Corp $6720100 0.05% NEW BUY
114 Canadian Natl Ry Co $6379340 0.05% NEW BUY
115 Canadian Pacific Kansas City $6325450 0.05% NEW BUY
116 Graham Hldgs Co $5935384 0.05% NEW BUY
117 Eastman Chem Co $5020151 0.04% NEW BUY
118 Zoetis Inc $4756773 0.04% NEW BUY
119 Brunswick Corp $4317300 0.03% NEW BUY
120 Berkley W R Corp $4284699 0.03% NEW BUY
121 Mgm Resorts International $4183375 0.03% NEW BUY
122 Acuity Inc $3672435 0.03% NEW BUY
123 Intercontinental Exchange In $3554186 0.03% NEW BUY
124 Eagle Matls Inc $3318750 0.03% NEW BUY
125 Weyerhaeuser Co $2872800 0.02% NEW BUY
126 Netflix Inc. $2856000 0.02% NEW BUY
127 Sysco Corp $2549190 0.02% NEW BUY
128 Dominos Pizza Inc $1628220 0.01% NEW BUY
129 Brown & Brown Inc $898100 0.01% NEW BUY
130 Ufp Industries Inc $362960 0.00% NEW BUY

Holdings disclosed quarterly to the SEC on Form 13-F and may be up to 45 days old. Values as reported. For research only — not investment advice.