HoldingsChannel.com
Findlay Park Partners LLP Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp 4,624,744 -83,000 $729,368
     MSFT4,624,744-83,000$729,368
Becton Dickinson & Co 2,706,348 +281,348 $621,838
     BDX2,706,348+281,348$621,838
T Mobile US Inc 6,267,890 +4,797,336 $525,876
     TMUS6,267,890+4,797,336$525,876
Berkshire Hathaway Inc Del      $523,075
     BRK.B2,860,993+354,017$523,075
Fiserv Inc 5,375,000 +725,000 $510,571
     FISV5,375,000+725,000$510,571
Air Prods & Chems Inc 2,520,000 +200,000 $503,017
     APD2,520,000+200,000$503,017
Intuit 2,156,069 +749,281 $495,896
     INTU2,156,069+749,281$495,896
Fidelity Natl Information SV 3,986,715 UNCH $484,944
     FIS3,986,715UNCH$484,944
Danaher Corporation 3,420,000 -116,350 $473,362
     DHR3,420,000-116,350$473,362
Comcast Corp New 11,694,457 +664,000 $402,055
     CMCSA11,694,457+664,000$402,055
Agilent Technologies Inc 4,500,000 UNCH $322,290
     A4,500,000UNCH$322,290
Alphabet Inc 248,939 -100,395 $289,469
     GOOG248,939-100,395$289,469
Waste Connections Inc 3,645,521 -129,286 $282,528
     WCN3,645,521-129,286$282,528
Unitedhealth Group Inc 975,000 +725,000 $243,146
     UNH975,000+725,000$243,146
Amazon Com Inc 121,412 +121,412 $236,719
     AMZN121,412+121,412$236,719
Marsh & Mclennan Cos Inc 2,717,050 +681,763 $234,916
     MMC2,717,050+681,763$234,916
Thermo Fisher Scientific Inc 756,273 UNCH $214,479
     TMO756,273UNCH$214,479
Nasdaq Inc 2,090,384 +215,384 $198,482
     NDAQ2,090,384+215,384$198,482
Schwab Charles Corp 5,795,969 +1,147,174 $194,860
     SCHW5,795,969+1,147,174$194,860
Deere & Co 1,394,572 UNCH $192,674
     DE1,394,572UNCH$192,674
Activison Blizzard Inc 3,146,398 +3,146,398 $187,148
     ATVI3,146,398+3,146,398$187,148
EOG Res Inc 4,823,542 UNCH $173,262
     EOG4,823,542UNCH$173,262
Mastercard Inc 700,000 +700,000 $169,092
     MA700,000+700,000$169,092
Alleghany Corp Del 301,582 +59,030 $166,579
     Y301,582+59,030$166,579
Intercontinental Exchange In (ICE) 1,857,081 +253,420 $149,959
     ICE1,857,081+253,420$149,959
Sherwin Williams Co 302,920 -161,268 $139,198
     SHW302,920-161,268$139,198
Coca Cola Co 3,139,670 UNCH $138,930
     KO3,139,670UNCH$138,930
Mcdonalds Corp 840,000 +455,000 $138,894
     MCD840,000+455,000$138,894
Jacobs Engr Group Inc 1,725,000 +850,000 $136,741
     JEC1,725,000+850,000$136,741
Alcon Inc 2,575,000 UNCH $130,862
     ALC2,575,000UNCH$130,862
Agnico Eagle Mines Ltd 2,726,424 -813,197 $108,484
     AEM2,726,424-813,197$108,484
Texas Instrs Inc 1,078,214 +298,128 $107,746
     TXN1,078,214+298,128$107,746
ICU Med Inc 450,000 UNCH $90,797
     ICUI450,000UNCH$90,797
Transunion 1,325,000 +450,000 $87,689
     TRU1,325,000+450,000$87,689
AON PLC 530,928 -8,316 $87,624
     AON530,928-8,316$87,624
TE Connectivity Ltd 1,328,015 -572,479 $83,638
     TEL1,328,015-572,479$83,638
Analog Devices Inc 888,294 -337,674 $79,636
     ADI888,294-337,674$79,636
Union Pac Corp 455,021 UNCH $64,176
     UNP455,021UNCH$64,176
Idex Corp 460,000 UNCH $63,531
     IEX460,000UNCH$63,531
Prosperity Bancshares Inc (PB) 1,276,415 -1,722,233 $61,587
     PB1,276,415-1,722,233$61,587
Cooper Cos Inc 222,748 -110,000 $61,405
     COO222,748-110,000$61,405
S&P Global Inc 239,102 +239,102 $58,592
     SPGI239,102+239,102$58,592
Anthem Inc 250,000 +175,000 $56,760
     ANTM250,000+175,000$56,760
Martin Marietta Matls Inc 273,141 UNCH $51,686
     MLM273,141UNCH$51,686
Cintas Corp 255,160 +114,160 $44,199
     CTAS255,160+114,160$44,199
Home Depot Inc 223,278 +223,278 $41,688
     HD223,278+223,278$41,688
Keysight Technologies Inc 334,847 +334,847 $28,020
     KEYS334,847+334,847$28,020

See Full List: All Stocks Held By Findlay Park Partners LLP
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Findlay Park Partners LLP

Size ($ in 1000's)
At 03/31/2020: $10,397,865
At 12/31/2019: $12,766,244

Findlay Park Partners LLP holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Findlay Park Partners LLP 13F filings. Link to 13F filings: SEC filings

Findlay Park Partners LLP Top Holdings 13F Filings | www.HoldingsChannel.com

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