Tom Gayner Portfolio 2023
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![Tom Gayner profile](/static/images/investors/profiles/tom-gayner.webp)
Tom Gayner
Markel Corporation Holdings Strategy: Value InvestorThomas S. Gayner is Co-Chief Executive Officer of Markel Corp. He received his Bachelor's Degree from McIntire School of Commerce before graduating at the Lawrenceville School. Markel Corporation markets and underwrites specialty insurance products to many different niche markets and holds different investments. The business has offices across the world. Tom Gayner's investment approach reflects a strategic and diversified portfolio composition, showcasing his top five stock investments. At the helm of his investment choices is Berkshire Hathaway Inc. - Ordinary Shares - Class A, occupying 7.0% of his portfolio. This mirrors confidence in the conglomerate led by Warren Buffett, indicating a preference for stable, high-value entities. Closely following this position is Berkshire Hathaway Inc. - Ordinary Shares - Class B with 6.4%, suggesting a balanced strategy in capitalizing on both segments of the companyβs share structure. Alphabet Inc. - Ordinary Shares - Class C accounts for 3.9% of Gaynerβs holdings, pointing towards an inclination to invest in leading technology firms with robust growth potentials. Brookfield Corporation - Ordinary Shares - Class A stands at 3.7%, signaling interest in diverse global operations, particularly in infrastructure and renewable energy sectors. Equally weighted at 3.7%, Amazon.com Inc. features prominently, underlining a bet on e-commerce and cloud computing giants essential for modern economy landscapes. Through these top selections, investors can glean insights into Tom Gayner's market methodology, emphasizing quality, growth prospects, and diversification across industries.
Track Gayner, It's Free!Performance
1 Year
+19.24%
3 Years
+25.28%
5 Years
+89.41%
10 years
+185.57%
Sectors
Largest Holdings
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Dividend Kings 2024 The Most Elite Group of Dividend-Paying Stocks
See the list of stocks that have raised their payouts for 50 straight years
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Trades
Berkshire Hathaway Inc. - Ordinary Shares - Class A (BRK.A)
- Sector: Offices of Other Holding Companies
- % of Portfolio: 6.9%
- (Buy) $153,456.07 β +294.6% β$605,560.01 (Now)
Berkshire Hathaway Inc. - Ordinary Shares - Class B (BRK.B)
- Sector: Offices of Other Holding Companies
- % of Portfolio: 6.3%
- (Buy) $147.93 β +172.0% β$402.39 (Now)
Alphabet Inc - Ordinary Shares - Class C (GOOG)
- Sector: All Other Telecommunications
- % of Portfolio: 3.8%
- (Buy) $44.98 β +200.7% β$135.24 (Now)
Brookfield Corporation - Ordinary Shares - Class A (BN)
- Sector: Securities and Commodity Exchanges
- % of Portfolio: 3.8%
- (Buy) $39.91 β +5.8% β$42.23 (Now)
Amazon.com Inc. (AMZN)
- Sector: Electronic Shopping and Mail-Order Houses
- % of Portfolio: 3.7%
- (Buy) $50.39 β +250.9% β$176.82 (Now)
Home Depot, Inc. (HD)
- Sector: Home Centers
- % of Portfolio: 3.5%
- (Buy) $110.30 β +241.4% β$376.55 (Now)
Deere & Co. (DE)
- Sector: Farm Machinery and Equipment Manufacturing
- % of Portfolio: 3.1%
- (Buy) $99.00 β +279.1% β$375.32 (Now)
Novo Nordisk - ADR (NVO)
- Sector: Medicinal and Botanical Manufacturing
- % of Portfolio: 3.0%
- (Buy) $46.05 β +195.2% β$135.92 (Now)
Visa Inc - Ordinary Shares - Class A (V)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 2.8%
- (Buy) $78.57 β +254.2% β$278.26 (Now)
Analog Devices Inc. (ADI)
- Sector: Semiconductor and Related Device Manufacturing
- % of Portfolio: 2.4%
- (Buy) $100.36 β +97.5% β$198.24 (Now)
Watsco Inc. - Ordinary Shares - Class A (WSO)
- Sector: Warm Air Heating and Air-Conditioning Equipment and Supplies Merchant Wholesalers
- % of Portfolio: 2.3%
- (Buy) $185.44 β +118.1% β$404.54 (Now)
Walt Disney Co (The) (DIS)
- Sector:
- % of Portfolio: 2.3%
- (Buy) $124.37 β -11.4% β$110.18 (Now)
Apple Inc (AAPL)
- Sector: Electronic Computer Manufacturing
- % of Portfolio: 2.1%
- (Buy) $42.22 β +300.3% β$169.00 (Now)
Microsoft Corporation (MSFT)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 2.1%
- (Buy) $88.05 β +364.7% β$409.14 (Now)
Diageo plc - ADR (DEO)
- Sector: Wineries
- % of Portfolio: 2.1%
- (Buy) $114.99 β +28.9% β$148.24 (Now)
Blackrock Inc. (BLK)
- Sector: Securities and Commodity Exchanges
- % of Portfolio: 1.9%
- (Buy) $383.82 β +116.7% β$831.70 (Now)
RLI Corp. (RLI)
- Sector: Direct Property and Casualty Insurance Carriers
- % of Portfolio: 1.8%
- (Buy) $49.41 β +196.3% β$146.38 (Now)
Lowe`s Cos., Inc. (LOW)
- Sector: Home Centers
- % of Portfolio: 1.6%
- (Buy) $87.16 β +177.3% β$241.72 (Now)
Blackstone Inc (BX)
- Sector: Investment Advice
- % of Portfolio: 1.6%
- (Buy) $48.84 β +155.5% β$124.80 (Now)
Progressive Corp. (PGR)
- Sector: Direct Property and Casualty Insurance Carriers
- % of Portfolio: 1.5%
- (Buy) $69.07 β +184.0% β$196.12 (Now)
KKR & Co. Inc (KKR)
- Sector: Securities and Commodity Exchanges
- % of Portfolio: 1.5%
- (Buy) $27.84 β +251.9% β$97.98 (Now)
Marsh & McLennan Cos., Inc. (MMC)
- Sector: Insurance Agencies and Brokerages
- % of Portfolio: 1.4%
- (Buy) $69.48 β +194.0% β$204.29 (Now)
Goldman Sachs Group, Inc. (GS)
- Sector: Investment Banking and Securities Dealing
- % of Portfolio: 1.4%
- (Buy) $214.86 β +80.8% β$388.43 (Now)
Meta Platforms Inc - Ordinary Shares - Class A (META)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 1.4%
- (Buy) $165.51 β +209.5% β$512.19 (Now)
Texas Instruments Inc. (TXN)
- Sector: Semiconductor and Related Device Manufacturing
- % of Portfolio: 1.3%
- (Buy) $78.97 β +121.9% β$175.27 (Now)
LPL Financial Holdings Inc (LPLA)
- Sector: Investment Advice
- % of Portfolio: 1.2%
- (Buy) $221.85 β +21.1% β$268.75 (Now)
Apollo Global Management Inc - Ordinary Shares - Class A (New) (APO)
- Sector: Investment Advice
- % of Portfolio: 1.1%
- (Buy) $43.88 β +152.7% β$110.91 (Now)
American Express Co. (AXP)
- Sector: Other Activities Related to Credit Intermediation
- % of Portfolio: 1.1%
- (Buy) $89.88 β +148.6% β$223.42 (Now)
General Dynamics Corp. (GD)
- Sector: Search, Detection, Navigation, Guidance, Aeronautical, and Nautical System and Instrument Manufacturing
- % of Portfolio: 1.1%
- (Buy) $138.04 β +97.8% β$273.03 (Now)
Dollar General Corp. (DG)
- Sector: All Other General Merchandise Stores
- % of Portfolio: 1.1%
- (Buy) $195.99 β -18.9% β$158.93 (Now)
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% of portfolio |
Average Buy Price |
Current Price |
Position | ||
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Options
Can't find any put or calls that Tom Gayner has in Markel Corp
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Metrics
Performance
1 Year
+19.24%
3 Years
+25.28%
5 Years
+89.41%
10 years
+185.57%
Averaged Ratio's of Portfolio Stocks
- Market Cap: $516 Billion
- Dividend Yield 1.2 %
- Beta 0.8951
- P/E Ratio 27.52
- Negative P/E Ratio -197.15
- Profit Margin 18.27%
- PEG 288.59
- Price to Sales Ratio 4.39
- Price to Book Ratio 21.36
- Enterprise Value to EBIT: 24.64
- Enterprise Value to Revenue 5.2
- Total Debt to Enterprise Value 0.17
- Debt to Equity 2.0396
- Quarterly Earnings Growth (YoY) -
- Return on Equity 65.57%
- Return on Assets 10.12%
- Return on Invested Capital 19.49%
Track Gayner
Don't miss a trade. Get notified when Tom Gayner makes his next trade, It's Free!
About Tom Gayner
Thomas S. Gayner is Co-Chief Executive Officer of Markel Corp. He received his Bachelor's Degree from McIntire School of Commerce before graduating at the Lawrenceville School. Markel Corporation markets and underwrites specialty insurance products to many different niche markets and holds different investments. The business has offices across the world. Tom Gayner's investment approach reflects a strategic and diversified portfolio composition, showcasing his top five stock investments. At the helm of his investment choices is Berkshire Hathaway Inc. - Ordinary Shares - Class A, occupying 7.0% of his portfolio. This mirrors confidence in the conglomerate led by Warren Buffett, indicating a preference for stable, high-value entities. Closely following this position is Berkshire Hathaway Inc. - Ordinary Shares - Class B with 6.4%, suggesting a balanced strategy in capitalizing on both segments of the companyβs share structure. Alphabet Inc. - Ordinary Shares - Class C accounts for 3.9% of Gaynerβs holdings, pointing towards an inclination to invest in leading technology firms with robust growth potentials. Brookfield Corporation - Ordinary Shares - Class A stands at 3.7%, signaling interest in diverse global operations, particularly in infrastructure and renewable energy sectors. Equally weighted at 3.7%, Amazon.com Inc. features prominently, underlining a bet on e-commerce and cloud computing giants essential for modern economy landscapes. Through these top selections, investors can glean insights into Tom Gayner's market methodology, emphasizing quality, growth prospects, and diversification across industries.
Dividend Kings 2024 The Most Elite Group of Dividend-Paying Stocks
See the list of stocks that have raised their payouts for 50 straight years
See the list![](/static/images/articles/dividend-kings.webp)
Track Gayner
Don't miss a trade. Get notified when Tom Gayner makes his next trade, It's Free!