Markel Corp Portfolio

Markel Corp 13F filer (CIK 0001096343).

LargeBuy & Hold how tags are computed

Q2 2026 · 130 positions · Total reported value $13.13B · Top-10 concentration 42.9%

Turnover: 6.1% · 3 new · 3 cut · 2 exited

In its Q2 2026 13F filing, Markel Corp disclosed 130 equity positions with a combined reported value of $13.13B. The filing implies a moderately concentrated portfolio: its ten largest positions account for 42.9% of reported value. HoldingsHub classifies the profile as Large / Buy & Hold.

The largest disclosed positions as of Q2 2026 were GOOG ($971.61M), BRKA ($834.22M), BRKB ($766.58M). By sector, the heaviest allocations are Consumer Discretionary 21.0%, Technology 19.7%. Versus the prior quarter, allocation shifted toward Technology (+1.5pp), Industrials (+0.7pp) and away from Other (-0.7pp), Financials (-0.8pp).

Versus the prior quarter, Markel Corp opened 3 new positions, trimmed 3 and fully exited 2, a turnover rate of 6.1% of positions. The portfolio's overlap with the prior quarter was 96% of names.

Figures come from the fund's SEC Form 13F filing. 13F reports are filed within 45 days of quarter end and cover long positions of $100,000 or more; they exclude short positions and non-13F asset classes, so treat this page as a quarter-end snapshot rather than the fund's live book.

Sector Allocation

Technology 19.7%
Financials 19.3%
Industrials 13.0%
Other 16.6%
Sort by: Value Shares Weight Sector Change · CSV
# Symbol Company Shares Value Weight Change
1 GOOG ALPHABET INC 2.75M $971.61M 7.40% Hold
2 BRKA BERKSHIRE HATHAWAY INC DEL 1.11K $834.22M 6.35% Hold
3 BRKB BERKSHIRE HATHAWAY INC DEL 1.53M $766.58M 5.84% Hold
4 DE DEERE & CO 877.90K $556.88M 4.24% Hold
5 BN BROOKFIELD CORP 13.07M $556.81M 4.24% Hold
6 AMZN AMAZON COM INC 2.03M $484.01M 3.69% Hold
7 ADI ANALOG DEVICES INC 999.67K $397.04M 3.02% Reduce
8 GS GOLDMAN SACHS GROUP INC 359.36K $363.45M 2.77% Hold
9 AAPL APPLE INC 1.23M $355.13M 2.71% Hold
10 CAT CATERPILLAR INC 328.65K $349.98M 2.67% Hold
11 V VISA INC 1.01M $347.86M 2.65% Add
12 HD HOME DEPOT INC 922.50K $325.35M 2.48% Hold
13 WSO WATSCO INC 597.75K $249.10M 1.90% Add
14 TXN TEXAS INSTRS INC 724.00K $215.80M 1.64% Hold
15 BLK BLACKROCK INC 220.20K $211.74M 1.61% Hold
16 GOOGL ALPHABET INC 572.00K $204.42M 1.56% Hold
17 MSFT MICROSOFT CORP 537.63K $200.55M 1.53% Hold
18 DIS DISNEY WALT CO 2.03M $195.55M 1.49% Hold
19 AXP AMERICAN EXPRESS CO 490.45K $165.89M 1.26% Hold
20 LOW LOWES COS INC 751.98K $165.80M 1.26% Add
21 PGR PROGRESSIVE CORP 753.75K $164.66M 1.25% Hold
22 FNV FRANCO NEV CORP 773.50K $161.23M 1.23% Add
23 LPLA LPL FINL HLDGS INC 559.95K $157.73M 1.20% Hold
24 JNJ JOHNSON & JOHNSON 610.80K $155.12M 1.18% Hold
25 BX BLACKSTONE INC 1.23M $144.62M 1.10% Hold
26 RLI RLI CORP 2.39M $141.45M 1.08% Hold
27 GD GENERAL DYNAMICS CORP 391.00K $138.51M 1.05% Hold
28 NVO NOVO-NORDISK A S 2.87M $137.58M 1.05% Hold
29 KKR KKR & CO INC 1.45M $133.25M 1.01% Hold
30 META META PLATFORMS INC. CLASS A 234.16K $131.90M 1.00% Reduce
31 SCHW SCHWAB CHARLES CORP 1.39M $128.70M 0.98% Add
32 MRSH MARSH & MCLENNAN COS INC 763.50K $127.25M 0.97% Hold
33 APO APOLLO GLOBAL MGMT INC 1.01M $119.79M 0.91% Hold
34 ADM ARCHER DANIELS MIDLAND CO 1.51M $115.04M 0.88% Hold
35 LIN LINDE PLC 215.60K $111.88M 0.85% Add
36 DEO DIAGEO PLC 1.37M $110.30M 0.84% Hold
37 MA MASTERCARD INCORPORATED 207.54K $106.59M 0.81% Hold
38 DG DOLLAR GEN CORP 869.25K $100.06M 0.76% Hold
39 BAM BROOKFIELD ASSET MANAGMT LTD 2.19M $98.40M 0.75% Hold
40 HEIA HEICO CORP NEW 379.64K $97.91M 0.75% Hold
41 MCO MOODYS CORP 213.89K $96.88M 0.74% Hold
42 ODFL OLD DOMINION FREIGHT LINE IN 429.15K $92.95M 0.71% Hold
43 NSC NORFOLK SOUTHN CORP 282.50K $88.87M 0.68% Hold
44 ITW ILLINOIS TOOL WKS INC 327.50K $88.58M 0.68% Hold
45 JPM JPMORGAN CHASE & CO 252.55K $82.67M 0.63% Hold
46 NVR NVR INC. 12.10K $82.42M 0.63% Hold
47 MSCI MSCI INC 142.85K $80.00M 0.61% Hold
48 ROK ROCKWELL AUTOMATION INC 154.90K $76.69M 0.58% Hold
49 ECL ECOLAB INC 274.30K $76.42M 0.58% Hold
50 SUNB SUNBELT RENTALS HOLDINGS INC 974.36K $72.89M 0.56% Add