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Registro del gestor · ✦ seleccionado · trimestre archivado

Markel Group

Insurance holding company · Glen Allen, VA · CIK 1096343 · Declaraciones EDGAR ↗

Buffett-style equity book inside an insurer.

Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Dif. ⇄
$11.11BValor 13F declarado
216Posiciones
39.2%Ponderación del top 10
40.90Posiciones efectivas
2.3%Rotación est.
+5Nuevo
−5Cierres

El valor de cartera 13F declarado cubre únicamente posiciones largas estadounidenses sujetas a reporte — no incluye efectivo, bonos, posiciones cortas ni activos no estadounidenses. No equivale a activos bajo gestión.

Valor declarado por trimestre Q2 2024 → Q2 2026
Exposición sectorial
Servicios financieros 44.2% (+1.6pp)
Industria 14.5% (+0.5pp)
Consumo cíclico 11.5% (+0.3pp)
Tecnología 9.7% (-0.4pp)
Servicios de comunicación 8.9% (-1.1pp)
Consumo defensivo 4.6% (-0.4pp)
Salud 3.9% (-0.6pp)
Materiales básicos 2.5% (+0.1pp)
Inmobiliario 0.3% (+0.1pp)

Participación sobre el valor declarado de renta variable ordinaria; (±pp) respecto al trimestre anterior.

El portafolio · Q3 2024
#ValorPonderaciónValorAccionesΔ accionesMantenida
1 BRK-B Berkshire Hathaway Inc. 6.3% $508.34M 1.10M 0.0% Held 2
2 GOOG Alphabet Inc. 4.1% $410.06M 2.45M 0.0% Held 2
3 BRK-A Berkshire Hathaway Inc. 6.9% $407.80M 590 0.0% Held 2
4 DE Deere & Company 3.3% $362.70M 869.10K +2.8% ▲ Add 2
5 BRK-A Berkshire Hathaway Inc. 6.9% $362.18M 524 0.0% Held 2
6 AMZN Amazon.com, Inc. 3.4% $350.73M 1.88M 0.0% Held 2
7 BN Brookfield Corporation 4.2% $294.64M 5.54M 0.0% Held 2
8 AAPL Apple Inc. 2.6% $274.73M 1.18M 0.0% Held 2
9 ADI Analog Devices, Inc. 2.4% $266.23M 1.16M 0.0% Held 2
10 WSO Watsco, Inc. 2.6% $266.06M 540.90K +2.0% ▲ Add 2
11 HD The Home Depot, Inc. 3.4% $260.58M 643.09K 0.0% Held 2
12 V Visa Inc. 2.5% $253.82M 923.13K 0.0% Held 2
13 MSFT Microsoft Corporation 2.0% $211.43M 491.36K +1.5% ▲ Add 2
14 BLK BlackRock, Inc. 1.9% $197.69M 208.20K 0.0% Held 2
15 BRK-B Berkshire Hathaway Inc. 6.3% $196.77M 427.51K 0.0% Held 2
16 KKR KKR & Co. Inc. 1.7% $187.23M 1.43M 0.0% Held 2
17 BX Blackstone Inc. 1.7% $182.91M 1.19M 0.0% Held 2
18 PGR The Progressive Corporation 1.7% $176.05M 693.75K 0.0% Held 2
19 RLI RLI Corp. 1.7% $170.60M 1.10M 0.0% Held 2
20 LOW Lowe's Companies, Inc. 1.7% $170.29M 628.73K +2.1% ▲ Add 2
21 BN Brookfield Corporation 4.2% $168.60M 3.17M 0.0% Held 2
22 GS The Goldman Sachs Group… 1.6% $166.21M 335.71K 0.0% Held 2
23 MRSH Marsh & McLennan Companies… 1.5% $156.61M 702.00K +2.3% ▲ Add 2
24 DIS The Walt Disney Company 1.8% $151.73M 1.58M 0.0% Held 2
25 TXN Texas Instruments… 1.3% $149.56M 724.00K 0.0% Held 2
26 META Meta Platforms, Inc. 1.4% $145.18M 253.62K +1.6% ▲ Add 2
27 NVO Novo Nordisk A/S 2.3% $141.91M 1.19M 0.0% Held 2
28 AXP American Express Company 1.2% $128.62M 474.25K 0.0% Held 2
29 APO Apollo Global Management… 1.1% $123.66M 990.00K 0.0% Held 2
30 CAT Caterpillar Inc. 1.1% $120.76M 308.75K +2.3% ▲ Add 2
31 LPLA LPL Financial Holdings Inc. 1.1% $120.53M 518.12K +8.0% ▲ Add 2
32 NVO Novo Nordisk A/S 2.3% $114.09M 958.16K 0.0% Held 2
33 NVR NVR, Inc. 1.0% $113.12M 11.53K +1.5% ▲ Add 2
34 HD The Home Depot, Inc. 3.4% $112.20M 276.91K 0.0% Held 2
35 DEO Diageo plc 1.7% $109.66M 781.39K 0.0% Held 2
36 GD General Dynamics Corporation 1.1% $104.86M 347.00K 0.0% Held 2
37 JNJ Johnson & Johnson 0.9% $94.66M 584.09K 0.0% Held 2
38 MA Mastercard Incorporated 0.9% $92.62M 187.56K 0.0% Held 2
39 MCO Moody's Corporation 0.9% $91.50M 192.79K 0.0% Held 2
40 MSCI MSCI Inc. 0.7% $82.69M 141.85K 0.0% Held 2
41 DEO Diageo plc 1.7% $82.14M 585.31K 0.0% Held 2
42 ITW Illinois Tool Works Inc. 0.8% $81.41M 310.65K 0.0% Held 2
43 GOOGL Alphabet Inc. 0.8% $80.11M 483.00K 0.0% Held 2
44 SCHW The Charles Schwab… 0.8% $79.18M 1.22M -1.2% ▼ Trim 2
45 SPGI S&P Global Inc. 0.7% $77.33M 149.69K 0.0% Held 2
46 ADM Archer-Daniels-Midland… 0.8% $77.22M 1.29M 0.0% Held 2
47 HEI-A HEICO Corporation 0.7% $74.87M 367.44K 0.0% Held 2
48 LIN Linde plc 0.7% $70.38M 147.60K +8.0% ▲ Add 2
49 ROL Rollins, Inc. 0.7% $70.35M 1.39M +1.0% ▲ Add 2
50 ECL Ecolab Inc. 0.6% $64.16M 251.30K 0.0% Held 2
51 DG Dollar General Corporation 0.6% $62.48M 738.75K +6.5% ▲ Add 2
52 BAM Brookfield Asset Management… 0.9% $58.57M 1.24M 0.0% Held 2
53 ODFL Old Dominion Freight Line… 0.5% $57.41M 289.00K +5.5% ▲ Add 2
54 ACN Accenture plc 0.5% $56.34M 159.40K 0.0% Held 2
55 CG The Carlyle Group Inc. 0.5% $55.22M 1.28M 0.0% Held 2
56 SBUX Starbucks Corporation 0.5% $54.58M 559.82K +5.6% ▲ Add 2
57 JPM JPMorgan Chase & Co. 0.5% $53.25M 252.55K 0.0% Held 2
58 FDX FedEx Corporation 0.5% $52.27M 191.00K +7.7% ▲ Add 2
59 NSC Norfolk Southern Corporation 0.5% $49.82M 200.50K 0.0% Held 2
60 GOOG Alphabet Inc. 4.1% $49.69M 297.23K 0.0% Held 2
61 ITIC INVESTORS TITLE CO NC 0.4% $49.02M 213.30K 0.0% Held 2
62 TSN Tyson Foods, Inc. 0.4% $46.43M 779.50K +0.5% ▲ Add 2
63 BAM Brookfield Asset Management… 0.9% $45.18M 955.45K 0.0% Held 2
64 DIS The Walt Disney Company 1.8% $43.69M 454.24K 0.0% Held 2
65 FDS FactSet Research Systems… 0.5% $43.10M 93.72K 0.0% Held 2
66 FNV Franco-Nevada Corporation 0.4% $42.93M 345.50K +41.0% ▲ Add 2
67 AON Aon plc 0.4% $41.05M 118.65K +5.4% ▲ Add 2
68 CMCSA Comcast Corporation 0.4% $39.60M 948.14K 0.0% Held 2
69 ROK Rockwell Automation, Inc. 0.4% $39.46M 147.00K 0.0% Held 2
70 VRSK Verisk Analytics, Inc. 0.3% $38.17M 142.45K +8.4% ▲ Add 2
71 THG The Hanover Insurance… 0.3% $36.73M 248.00K +5.8% ▲ Add 2
72 SHW The Sherwin-Williams Company 0.3% $35.94M 94.17K 0.0% Held 2
73 COST Costco Wholesale Corporation 0.3% $34.71M 39.15K 0.0% Held 2
74 NKE NIKE, Inc. 0.3% $33.85M 382.90K +10.3% ▲ Add 2
75 LMT Lockheed Martin Corporation 0.3% $32.95M 56.36K 0.0% Held 2
76 BF-A BROWN FORMAN CORP 0.4% $32.62M 678.40K 0.0% Held 2
77 TROW T. Rowe Price Group, Inc. 0.3% $30.72M 282.00K 0.0% Held 2
78 HGTY Hagerty, Inc. 0.3% $30.51M 3.00M -15.2% ▼ Trim 2
79 ALL The Allstate Corporation 0.3% $29.31M 154.55K 0.0% Held 2
80 MMM 3M Company 0.4% $29.08M 212.75K 0.0% Held 2
81 AMZN Amazon.com, Inc. 3.4% $27.66M 148.43K 0.0% Held 2
82 TMO Thermo Fisher Scientific… 0.2% $21.90M 35.40K +20.4% ▲ Add 2
83 YUM Yum! Brands, Inc. 0.2% $21.86M 156.50K +80.9% ▲ Add 2
84 EFX Equifax Inc. 0.2% $21.41M 72.85K -25.6% ▼ Trim 2
85 URI United Rentals, Inc. 0.2% $21.01M 25.95K +17.9% ▲ Add 2
86 CABO Cable One, Inc. 0.2% $21.00M 60.05K +11.6% ▲ Add 2
87 V Visa Inc. 2.5% $20.94M 76.15K 0.0% Held 2
88 HCA HCA Healthcare, Inc. 0.2% $20.70M 50.93K +45.1% ▲ Add 2
89 RTX RTX Corporation 0.2% $20.52M 169.40K 0.0% Held 2
90 WSO Watsco, Inc. 2.6% $20.46M 41.60K +2.0% ▲ Add 2
91 TGT Target Corporation 0.2% $19.56M 125.50K 0.0% Held 2
92 UNP Union Pacific Corporation 0.2% $18.41M 74.68K 0.0% Held 2
93 RNR RenaissanceRe Holdings Ltd. 0.2% $18.25M 67.00K 0.0% Held 2
94 CCK Crown Holdings, Inc. 0.2% $17.88M 186.50K 0.0% Held 2
95 FERG Ferguson plc 0.2% $16.78M 84.50K Nuevo New 1
96 LOW Lowe's Companies, Inc. 1.7% $16.72M 61.75K +2.1% ▲ Add 2
97 PEP PepsiCo, Inc. 0.1% $16.36M 96.21K 0.0% Held 2
98 WHR Whirlpool Corporation 0.2% $16.31M 152.39K -44.1% ▼ Trim 2
99 BF-B Brown-Forman Corporation 0.2% $16.18M 328.79K 0.0% Held 2
100 APD Air Products and Chemicals… 0.1% $15.48M 52.00K +36.8% ▲ Add 2
101 PGR The Progressive Corporation 1.7% $15.23M 60.00K 0.0% Held 2
102 CHH Choice Hotels… 0.1% $15.05M 115.50K +4.5% ▲ Add 2
103 RLI RLI Corp. 1.7% $14.95M 96.47K 0.0% Held 2
104 LAMR Lamar Advertising Company 0.1% $14.83M 111.00K +18.1% ▲ Add 2
105 CARR Carrier Global Corporation 0.2% $14.52M 180.40K 0.0% Held 2
106 UNH UnitedHealth Group… 0.1% $14.07M 24.06K +15.6% ▲ Add 2
107 IQV IQVIA Holdings Inc. 0.1% $13.92M 58.73K 0.0% Held 2
108 PM Philip Morris International… 0.1% $13.90M 114.50K 0.0% Held 2
109 SMG The Scotts Miracle-Gro… 0.1% $13.79M 159.00K 0.0% Held 2
110 GD General Dynamics Corporation 1.1% $13.30M 44.00K 0.0% Held 2
111 COF Capital One Financial… 0.1% $12.50M 83.50K 0.0% Held 2
112 META Meta Platforms, Inc. 1.4% $12.37M 21.61K +1.6% ▲ Add 2
113 GOOGL Alphabet Inc. 0.8% $11.94M 72.00K 0.0% Held 2
114 AMT American Tower Corporation 0.1% $11.84M 50.91K 0.0% Held 2
115 GS The Goldman Sachs Group… 1.6% $11.71M 23.65K 0.0% Held 2
116 GPK Graphic Packaging Holding… 0.1% $11.68M 394.73K +17.9% ▲ Add 2
117 BLK BlackRock, Inc. 1.9% $11.39M 12.00K 0.0% Held 2
118 AAPL Apple Inc. 2.6% $11.23M 48.20K 0.0% Held 2
119 MMM 3M Company 0.4% $11.07M 81.00K 0.0% Held 2
120 PAYX Paychex, Inc. 0.2% $10.74M 80.00K 0.0% Held 2
121 OI O-I Glass, Inc. 0.1% $10.68M 814.00K +20.8% ▲ Add 2
122 FDS FactSet Research Systems… 0.5% $10.58M 23.00K 0.0% Held 2
123 CSCO Cisco Systems, Inc. 0.2% $10.32M 194.00K 0.0% Held 2
124 TRU TransUnion 0.1% $10.27M 98.05K 0.0% Held 2
125 ADM Archer-Daniels-Midland… 0.8% $10.20M 170.73K 0.0% Held 2
126 MSFT Microsoft Corporation 2.0% $10.16M 23.62K +1.5% ▲ Add 2
127 KMX CarMax, Inc. 0.1% $10.02M 129.50K 0.0% Held 2
128 MCO Moody's Corporation 0.9% $10.01M 21.10K 0.0% Held 2
129 MA Mastercard Incorporated 0.9% $9.87M 19.98K 0.0% Held 2
130 CE Celanese Corporation 0.1% $9.76M 71.80K 0.0% Held 2
131 WFC Wells Fargo & Company 0.1% $9.74M 172.45K 0.0% Held 2
132 SPOT Spotify Technology S.A. 0.1% $9.54M 25.90K 0.0% Held 2
133 PAYX Paychex, Inc. 0.2% $9.39M 70.00K 0.0% Held 2
134 HXL Hexcel Corporation 0.1% $9.34M 151.00K 0.0% Held 2
135 OTIS Otis Worldwide Corporation 0.1% $9.08M 87.32K 0.0% Held 2
136 MAR Marriott International, Inc. 0.1% $8.95M 36.00K +63.6% ▲ Add 2
137 BNY Bank of New York Mellon Corp 0.1% $8.73M 121.50K 0.0% Held 2
138 SCHW The Charles Schwab… 0.8% $8.36M 129.00K -1.2% ▼ Trim 2
139 SHOP Shopify Inc. 0.1% $8.23M 102.75K 0.0% Held 2
140 EMN Eastman Chemical Company 0.1% $7.94M 70.95K 0.0% Held 2
141 BF-A BROWN FORMAN CORP 0.4% $7.91M 164.60K 0.0% Held 2
142 SEIC SEI Investments Company 0.1% $7.90M 114.20K 0.0% Held 2
143 CSCO Cisco Systems, Inc. 0.2% $7.88M 148.00K 0.0% Held 2
144 NSC Norfolk Southern Corporation 0.5% $7.21M 29.00K 0.0% Held 2
145 BF-B Brown-Forman Corporation 0.2% $7.15M 145.40K 0.0% Held 2
146 HSY The Hershey Company 0.1% $6.90M 36.00K +67.4% ▲ Add 2
147 RTX RTX Corporation 0.2% $6.62M 54.60K 0.0% Held 2
148 UBER Uber Technologies, Inc. 0.1% $6.61M 88.00K +23.9% ▲ Add 2
149 SONY Sony Group Corporation 0.1% $6.47M 67.00K 0.0% Held 2
150 NSP Insperity, Inc. 0.1% $6.17M 70.14K +32.6% ▲ Add 2
151 ECL Ecolab Inc. 0.6% $5.87M 23.00K 0.0% Held 2
152 CMCSA Comcast Corporation 0.4% $5.56M 133.10K 0.0% Held 2
153 BX Blackstone Inc. 1.7% $5.28M 34.50K 0.0% Held 2
154 FIX Comfort Systems USA, Inc. 0.0% $5.07M 13.00K 0.0% Held 2
155 MRSH Marsh & McLennan Companies… 1.5% $4.57M 20.50K +2.3% ▲ Add 2
156 ITW Illinois Tool Works Inc. 0.8% $4.42M 16.85K 0.0% Held 2
157 CARR Carrier Global Corporation 0.2% $4.39M 54.60K 0.0% Held 2
158 JNJ Johnson & Johnson 0.9% $4.33M 26.71K 0.0% Held 2
159 GHC Graham Holdings Company 0.0% $4.27M 5.20K 0.0% Held 2
160 SEIC SEI Investments Company 0.1% $4.08M 59.00K 0.0% Held 2
161 NKE NIKE, Inc. 0.3% $4.07M 46.00K +10.3% ▲ Add 2
162 SBUX Starbucks Corporation 0.5% $3.95M 40.50K +5.6% ▲ Add 2
163 CAT Caterpillar Inc. 1.1% $3.91M 10.00K +2.3% ▲ Add 2
164 LIN Linde plc 0.7% $3.53M 7.40K +8.0% ▲ Add 2
165 TROW T. Rowe Price Group, Inc. 0.3% $3.49M 32.00K 0.0% Held 2
166 BALL Ball Corporation 0.0% $3.46M 51.00K 0.0% Held 2
167 WRB W. R. Berkley Corporation 0.0% $3.45M 60.75K +50.0% ▲ Add 2
168 ROL Rollins, Inc. 0.7% $3.16M 62.48K +1.0% ▲ Add 2
169 IT Gartner, Inc. 0.0% $2.89M 5.70K 0.0% Held 2
170 OTIS Otis Worldwide Corporation 0.1% $2.84M 27.30K 0.0% Held 2
171 APO Apollo Global Management… 1.1% $2.81M 22.50K 0.0% Held 2
172 UNP Union Pacific Corporation 0.2% $2.74M 11.10K 0.0% Held 2
173 AXP American Express Company 1.2% $2.71M 10.00K 0.0% Held 2
174 WTW Willis Towers Watson Public… 0.0% $2.54M 8.63K 0.0% Held 2
175 ADI Analog Devices, Inc. 2.4% $2.53M 11.00K 0.0% Held 2
176 HEI-A HEICO Corporation 0.7% $2.49M 12.20K 0.0% Held 2
177 ABNB Airbnb, Inc. 0.0% $2.43M 19.15K Nuevo New 1
178 KKR KKR & Co. Inc. 1.7% $2.35M 18.00K 0.0% Held 2
179 HXL Hexcel Corporation 0.1% $2.35M 38.00K 0.0% Held 2
180 ROK Rockwell Automation, Inc. 0.4% $2.12M 7.90K 0.0% Held 2
181 DPZ Domino's Pizza, Inc. 0.0% $1.94M 4.50K Nuevo New 1
182 CG The Carlyle Group Inc. 0.5% $1.92M 44.50K 0.0% Held 2
183 WFC Wells Fargo & Company 0.1% $1.81M 32.00K 0.0% Held 2
184 NVR NVR, Inc. 1.0% $1.72M 175 +1.5% ▲ Add 2
185 INTU Intuit Inc. 0.0% $1.69M 2.72K 0.0% Held 2
186 CSGP CoStar Group, Inc. 0.0% $1.40M 18.60K 0.0% Held 2
187 EL The Estée Lauder Companies… 0.0% $1.40M 14.00K Nuevo New 1
188 DNB DUN & BRADSTREET HLDGS INC 0.0% $1.32M 115.00K 0.0% Held 2
189 ODFL Old Dominion Freight Line… 0.5% $1.19M 6.00K +5.5% ▲ Add 2
190 BC Brunswick Corporation 0.0% $1.17M 14.00K Nuevo New 1
191 TGT Target Corporation 0.2% $1.17M 7.50K 0.0% Held 2
192 COF Capital One Financial… 0.1% $1.12M 7.50K 0.0% Held 2
193 FDX FedEx Corporation 0.5% $1.09M 4.00K +7.7% ▲ Add 2
194 THG The Hanover Insurance… 0.3% $888,660 6.00K +5.8% ▲ Add 2
195 ICE Intercontinental Exchange… 0.0% $822,477 5.12K 0.0% Held 2
196 RNR RenaissanceRe Holdings Ltd. 0.2% $817,200 3.00K 0.0% Held 2
197 CE Celanese Corporation 0.1% $815,760 6.00K 0.0% Held 2
198 SMG The Scotts Miracle-Gro… 0.1% $780,300 9.00K 0.0% Held 2
199 BUD Anheuser-Busch InBev SA/NV 0.0% $729,190 11.00K 0.0% Held 2
200 VRSK Verisk Analytics, Inc. 0.3% $669,900 2.50K +8.4% ▲ Add 2
201 TSN Tyson Foods, Inc. 0.4% $595,600 10.00K +0.5% ▲ Add 2
202 MSCI MSCI Inc. 0.7% $582,930 1.00K 0.0% Held 2
203 WHR Whirlpool Corporation 0.2% $559,610 5.23K -44.1% ▼ Trim 2
204 KMX CarMax, Inc. 0.1% $541,660 7.00K 0.0% Held 2
205 LPLA LPL Financial Holdings Inc. 1.1% $532,490 2.29K +8.0% ▲ Add 2
206 AON Aon plc 0.4% $518,985 1.50K +5.4% ▲ Add 2
207 SPGI S&P Global Inc. 0.7% $516,620 1.00K 0.0% Held 2
208 EMN Eastman Chemical Company 0.1% $447,800 4.00K 0.0% Held 2
209 TRU TransUnion 0.1% $314,100 3.00K 0.0% Held 2
210 DG Dollar General Corporation 0.6% $295,995 3.50K +6.5% ▲ Add 2
211 CCK Crown Holdings, Inc. 0.2% $287,640 3.00K 0.0% Held 2
212 AMT American Tower Corporation 0.1% $232,560 1.00K 0.0% Held 2
213 SOLV Solventum Corporation 0.0% $52,290 750 -99.0% ▼ Trim 2
214 OI O-I Glass, Inc. 0.1% $1,312 100 +20.8% ▲ Add 2
215 ACN Accenture plc 0.5% $353 1 0.0% Held 2
216 TXN Texas Instruments… 1.3% $207 1 0.0% Held 2

Solo posiciones de acciones ordinarias (SH); las líneas de opciones están en la pestaña Opciones y nunca se netean. ✂ = cambio calculado respecto a las acciones previas ajustadas por splits. "Mantenido N+" = mantenido cada trimestre en nuestra ventana, posiblemente más.

Antigüedad de la posición
50–1 trimestres
1272–4 trimestres

Trimestres consecutivos en que cada posición actual ha sido reportada, dentro de nuestra ventana de datos.

Gestores similares
GestorPosiciones comunesSuperposición de nombresSimilitud ponderada
First Manhattan Co. Llc. 88 11.5% 0.5431 Comparar ⇄
Fayez Sarofim & Co 77 21.9% 0.4651 Comparar ⇄
Blair William & Co/Il 121 6.3% 0.4471 Comparar ⇄
Baird Financial Group, Inc. 115 6.1% 0.443 Comparar ⇄
Neuberger Berman Group LLC 129 5.7% 0.4397 Comparar ⇄
Chevy Chase Trust Holdings, LLC 102 15.1% 0.4098 Comparar ⇄
Brown Advisory Inc 118 8.3% 0.4098 Comparar ⇄
Aberdeen Group plc 102 10.7% 0.4012 Comparar ⇄

Similitud basada únicamente en posiciones largas declaradas — las coberturas y los activos no sujetos a 13F no son visibles. Metodología

Historial de declaraciones
Jul 31 2026 13F-HR · período Q2 2026

$13.13B · 205 posiciones · Ver presentación original ante la SEC ↗

May 01 2026 13F-HR · período Q1 2026

$11.94B · 205 posiciones · Ver presentación original ante la SEC ↗

Feb 06 2026 13F-HR · período Q4 2025

$12.54B · 205 posiciones · Ver presentación original ante la SEC ↗

Oct 31 2025 13F-HR · período Q3 2025

$12.32B · 208 posiciones · Ver presentación original ante la SEC ↗

Aug 01 2025 13F-HR · período Q2 2025

$11.83B · 218 posiciones · Ver presentación original ante la SEC ↗

May 02 2025 13F-HR · período Q1 2025

$11.26B · 217 posiciones · Ver presentación original ante la SEC ↗

Feb 07 2025 13F-HR · período Q4 2024

$11.34B · 214 posiciones · Ver presentación original ante la SEC ↗

Nov 01 2024 13F-HR · período Q3 2024

$11.11B · 216 posiciones · Ver presentación original ante la SEC ↗

Aug 02 2024 13F-HR · período Q2 2024

$10.17B · 222 posiciones · Ver presentación original ante la SEC ↗

Procedencia: Todas las posiciones analizadas de las tablas de información 13F de este gestor en SEC EDGAR; valores tal como se declararon, en USD enteros. Los cambios comparan la última versión aceptada de cada trimestre (enmiendas incorporadas) sobre recuentos de acciones ajustados por splits. Período de reporte: Q3 2024 · última presentación Jul 31, 2026 · Metodología de cambios