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Latest Findlay Park Partners LLP Stock Portfolio

$10.90Billion

Equity Portfolio Value
Last Reported on: 30 Apr, 2024

About Findlay Park Partners LLP and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Findlay Park Partners LLP reported an equity portfolio of $10.9 Billions as of 31 Mar, 2024.

The top stock holdings of Findlay Park Partners LLP are MSFT, NVDA, MA. The fund has invested 6.5% of it's portfolio in MICROSOFT CORP and 4.4% of portfolio in NVIDIA CORPORATION.

The fund managers got completely rid off MICROCHIP TECHNOLOGY INC. (MCHP), JACOBS SOLUTIONS INC (J) and AIR PRODS & CHEMS INC (APD) stocks. They significantly reduced their stock positions in BERKSHIRE HATHAWAY INC DEL, TEXAS INSTRS INC (TXN) and SHERWIN WILLIAMS CO (SHW). Findlay Park Partners LLP opened new stock positions in CRH PLC (CRH), MSCI INC (MSCI) and ILLUMINA INC (ILMN). The fund showed a lot of confidence in some stocks as they added substantially to NVIDIA CORPORATION (NVDA), LIBERTY MEDIA CORP DEL (BATRA) and KLA CORP (KLAC).

New Buys

Ticker$ Bought
CRH PLC141,838,000
MSCI INC114,836,000
ILLUMINA INC100,120,000
MEDPACE HLDGS INC90,246,700
GFL ENVIRONMENTAL INC35,686,300

New stocks bought by Findlay Park Partners LLP

Additions

Ticker% Inc.
NVIDIA CORPORATION73.68
LIBERTY MEDIA CORP DEL61.76
KLA CORP56.17
API GROUP CORP39.07
CANADIAN NATL RY CO33.33
UNITEDHEALTH GROUP INC31.64
WEST PHARMACEUTICAL SVSC INC30.57
AECOM22.65

Additions to existing portfolio by Findlay Park Partners LLP

Reductions

Ticker% Reduced
BERKSHIRE HATHAWAY INC DEL-75.59
TEXAS INSTRS INC-51.77
SHERWIN WILLIAMS CO-46.59
FERGUSON PLC NEW-36.58
ALCON AG-26.72
MARTIN MARIETTA MATLS INC-26.09
WASTE CONNECTIONS INC-21.06
WATERS CORP-18.66

Findlay Park Partners LLP reduced stake in above stock

Sold off

Ticker$ Sold
MICROCHIP TECHNOLOGY INC.-126,943,000
JACOBS SOLUTIONS INC-101,680,000
FORTIVE CORP-47,536,600
ZOETIS INC-68,426,400
AIR PRODS & CHEMS INC-92,060,600
DANAHER CORPORATION-59,682,000
COSTCO WHSL CORP NEW-49,218,900

Findlay Park Partners LLP got rid off the above stocks

Current Stock Holdings of Findlay Park Partners LLP

Last Reported on: 30 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAGILENT TECHNOLOGIES INC1.31980,310142,645,000REDUCED-14.86
ABNBAIRBNB INC1.01665,914109,849,000REDUCED-1.71
ACMAECOM2.312,561,330251,215,000ADDED22.65
ACNACCENTURE PLC IRELAND2.06648,198224,672,000REDUCED-1.73
ADIANALOG DEVICES INC1.33733,018144,984,000REDUCED-1.72
ADSKAUTODESK INC1.34561,599146,252,000REDUCED-1.7
AJGGALLAGHER ARTHUR J & CO2.961,290,000322,552,000REDUCED-1.74
ALCALCON AG0.881,155,53096,244,400REDUCED-26.72
APDAIR PRODS & CHEMS INC0.000.000.00SOLD OFF-100
APGAPI GROUP CORP1.875,193,750203,958,000ADDED39.07
BATRALIBERTY MEDIA CORP DEL2.143,562,510233,701,000ADDED61.76
BATRALIBERTY MEDIA CORP DEL0.0138,2741,677,170REDUCED-1.54
BLDTOPBUILD CORP3.10766,307337,734,000REDUCED-14.25
CBRECBRE GROUP INC1.221,371,320133,347,000REDUCED-1.73
CDWCDW CORP1.14486,326124,392,000REDUCED-17.2
CNICANADIAN NATL RY CO1.661,370,070180,452,000ADDED33.33
COPCONOCOPHILLIPS2.522,153,670274,119,000ADDED9.43
COSTCOSTCO WHSL CORP NEW0.000.000.00SOLD OFF-100
CPCANADIAN PACIFIC KANSAS CITY2.112,609,400230,070,000ADDED12.16
CRHCRH PLC1.301,644,310141,838,000NEW
DHRDANAHER CORPORATION0.000.000.00SOLD OFF-100
ECLECOLAB INC0.96451,884104,340,000REDUCED-1.7
ELVELEVANCE HEALTH INC1.40294,351152,633,000REDUCED-1.67
EOGEOG RES INC2.512,137,510273,259,000REDUCED-1.74
FERGFERGUSON PLC NEW1.18589,010128,657,000REDUCED-36.58
FTVFORTIVE CORP0.000.000.00SOLD OFF-100
GFLGFL ENVIRONMENTAL INC0.331,034,38035,686,300NEW
GOOGALPHABET INC1.701,218,320185,501,000REDUCED-1.73
HLTHILTON WORLDWIDE HLDGS INC1.02522,074111,364,000REDUCED-1.71
ICEINTERCONTINENTAL EXCHANGE IN2.211,750,870240,622,000REDUCED-1.73
ILMNILLUMINA INC0.92729,100100,120,000NEW
INTUINTUIT2.38398,645259,119,000REDUCED-16.12
ITGARTNER INC2.97678,121323,240,000ADDED5.67
JJACOBS SOLUTIONS INC0.000.000.00SOLD OFF-100
KEYSKEYSIGHT TECHNOLOGIES INC1.28893,352139,702,000REDUCED-1.73
KLACKLA CORP1.94302,782211,514,000ADDED56.17
LYVLIVE NATION ENTERTAINMENT IN2.842,929,300309,832,000REDUCED-1.74
MAMASTERCARD INCORPORATED3.12706,290340,128,000REDUCED-1.73
MCHPMICROCHIP TECHNOLOGY INC.0.000.000.00SOLD OFF-100
MEDPMEDPACE HLDGS INC0.83223,30090,246,700NEW
MLMMARTIN MARIETTA MATLS INC2.20390,842239,954,000REDUCED-26.09
MMCMARSH & MCLENNAN COS INC2.201,164,170239,795,000REDUCED-1.73
MSCIMSCI INC1.05204,900114,836,000NEW
MSFTMICROSOFT CORP6.511,685,410709,086,000REDUCED-1.74
NVDANVIDIA CORPORATION4.45536,508484,767,000ADDED73.68
POOLPOOL CORP0.93251,975101,672,000REDUCED-1.68
RGLDROYAL GOLD INC1.391,246,030151,779,000REDUCED-1.73
SCHWSCHWAB CHARLES CORP1.902,868,490207,506,000REDUCED-1.74
SHWSHERWIN WILLIAMS CO1.12350,112121,604,000REDUCED-46.59
SPGIS&P GLOBAL INC2.39612,920260,767,000REDUCED-1.72
STESTERIS PLC1.23594,452133,645,000REDUCED-1.74
TDYTELEDYNE TECHNOLOGIES INC0.88223,03995,755,100REDUCED-1.63
TMOTHERMO FISHER SCIENTIFIC INC1.55290,120168,621,000REDUCED-17.91
TMUST-MOBILE US INC2.821,882,610307,279,000ADDED6.03
TSCOTRACTOR SUPPLY CO0.59245,34664,212,000REDUCED-1.64
TXNTEXAS INSTRS INC0.50311,63154,289,200REDUCED-51.77
UNHUNITEDHEALTH GROUP INC2.59570,026281,992,000ADDED31.64
URIUNITED RENTALS INC2.15324,536234,026,000REDUCED-1.7
WATWATERS CORP0.96303,369104,429,000REDUCED-18.66
WCNWASTE CONNECTIONS INC2.041,293,460222,488,000REDUCED-21.06
WSTWEST PHARMACEUTICAL SVSC INC2.17597,106236,281,000ADDED30.57
ZTSZOETIS INC0.000.000.00SOLD OFF-100
BERKSHIRE HATHAWAY INC DEL0.53137,63657,878,700REDUCED-75.59