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Latest Martin Investment Management, LLC Stock Portfolio

$407Million

Equity Portfolio Value
Last Reported on: 09 May, 2024

About Martin Investment Management, LLC and it’s 13F Hedge Fund Stock Holdings

Martin Investment Management, LLC is a hedge fund based in PALM BEACH GARDENS, FL. On 06-Sep-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $879.7 Millions. In it's latest 13F Holdings report, Martin Investment Management, LLC reported an equity portfolio of $407.1 Millions as of 31 Mar, 2024.

The top stock holdings of Martin Investment Management, LLC are NVO, HLN, TM. The fund has invested 9.4% of it's portfolio in NOVO-NORDISK A S and 9.3% of portfolio in HALEON PLC.

The fund managers got completely rid off BRISTOL-MYERS SQUIBB CO (BMY) stocks. They significantly reduced their stock positions in MEDTRONIC PLC (MDT), TAIWAN SEMICONDUCTOR MFG LTD (TSM) and COSTCO WHSL CORP NEW (COST). Martin Investment Management, LLC opened new stock positions in GARTNER INC (IT). The fund showed a lot of confidence in some stocks as they added substantially to HALEON PLC (HLN), SONY GROUP CORP (SONY) and TOYOTA MOTOR CORP (TM).

New Buys

Ticker$ Bought
GARTNER INC1,034,850

New stocks bought by Martin Investment Management, LLC

Additions

Ticker% Inc.
HALEON PLC12,018
SONY GROUP CORP5.67
TOYOTA MOTOR CORP4.73
NOVARTIS AG4.72
ALCON AG4.6
CHECK POINT SOFTWARE TECH LT4.5
NOVO-NORDISK A S3.24
ADOBE INC0.4

Additions to existing portfolio by Martin Investment Management, LLC

Reductions

Ticker% Reduced
MEDTRONIC PLC-65.94
TAIWAN SEMICONDUCTOR MFG LTD-2.1
COSTCO WHSL CORP NEW-1.91
ACCENTURE PLC IRELAND-1.37
AMERICAN EXPRESS CO-1.31
MASTERCARD INCORPORATED-1.31
STRYKER CORPORATION-1.31
BERKSHIRE HATHAWAY INC DEL-1.12

Martin Investment Management, LLC reduced stake in above stock

Sold off

Ticker$ Sold
BRISTOL-MYERS SQUIBB CO-517,051

Martin Investment Management, LLC got rid off the above stocks

Current Stock Holdings of Martin Investment Management, LLC

Last Reported on: 09 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC4.57108,41718,591,400REDUCED-0.88
ACNACCENTURE PLC IRELAND2.0023,5198,151,920REDUCED-1.37
ADBEADOBE INC1.3711,0285,564,730ADDED0.4
ALCALCON AG5.53270,35222,517,600ADDED4.6
AMEAMETEK INC1.9342,8907,844,580ADDED0.08
AMZNAMAZON COM INC0.153,409614,915UNCHANGED0.00
AONAON PLC0.141,692564,654UNCHANGED0.00
ASMLASML HOLDING N V0.271,1431,109,250REDUCED-0.87
AXPAMERICAN EXPRESS CO2.5445,43310,344,600REDUCED-1.31
BKNGBOOKING HOLDINGS INC2.612,92710,618,800REDUCED-0.98
BMYBRISTOL-MYERS SQUIBB CO0.000.000.00SOLD OFF-100
BPBP PLC0.2223,960902,813UNCHANGED0.00
CHKPCHECK POINT SOFTWARE TECH LT6.67165,58127,156,900ADDED4.5
COSTCOSTCO WHSL CORP NEW0.09513375,839REDUCED-1.91
FDSFACTSET RESH SYS INC0.06575261,274UNCHANGED0.00
GDGENERAL DYNAMICS CORP1.9628,1907,963,390REDUCED-0.72
GOOGALPHABET INC3.1284,10912,694,600REDUCED-1.03
GOOGALPHABET INC0.174,439675,889UNCHANGED0.00
HLNHALEON PLC9.314,463,20037,892,600ADDED12,018
HPHELMERICH & PAYNE INC1.13109,5714,608,560REDUCED-0.78
ICLRICON PLC0.06740248,603UNCHANGED0.00
ITGARTNER INC0.252,1711,034,850NEW
KMBKIMBERLY-CLARK CORP0.103,050394,518REDUCED-0.33
LHXL3HARRIS TECHNOLOGIES INC1.7132,6096,949,040REDUCED-0.48
LNGCHENIERE ENERGY INC0.164,020648,346UNCHANGED0.00
MAMASTERCARD INCORPORATED4.7640,28019,397,700REDUCED-1.31
MDTMEDTRONIC PLC0.104,713410,738REDUCED-65.94
MRKMERCK & CO INC1.5748,3386,378,200ADDED0.14
MROMARATHON OIL CORP1.56224,6926,367,770REDUCED-0.53
MSFTMICROSOFT CORP0.191,857781,277UNCHANGED0.00
NVDANVIDIA CORPORATION0.261,1601,048,130UNCHANGED0.00
NVONOVO-NORDISK A S9.36296,78138,106,700ADDED3.24
NVSNOVARTIS AG5.63236,80022,905,700ADDED4.72
NXPINXP SEMICONDUCTORS N V2.0133,0028,176,910ADDED0.1
PGPROCTER AND GAMBLE CO1.6741,9156,800,710REDUCED-0.67
PXDPIONEER NAT RES CO0.162,412633,150UNCHANGED0.00
RELXRELX PLC0.098,685375,974UNCHANGED0.00
ROPROPER TECHNOLOGIES INC1.7512,6987,121,550ADDED0.05
SONYSONY GROUP CORP4.50213,62018,315,800ADDED5.67
SYKSTRYKER CORPORATION1.9622,2377,957,960REDUCED-1.31
TMTOYOTA MOTOR CORP7.56122,23030,762,800ADDED4.73
TMOTHERMO FISHER SCIENTIFIC INC2.5017,47510,156,600REDUCED-0.55
TSMTAIWAN SEMICONDUCTOR MFG LTD0.103,031412,368REDUCED-2.1
TTETOTALENERGIES SE0.063,775259,833UNCHANGED0.00
VVISA INC0.101,400390,712UNCHANGED0.00
VRSKVERISK ANALYTICS INC1.8431,7657,487,960REDUCED-0.41
VRSNVERISIGN INC1.4631,4015,950,800REDUCED-0.48
WABWABTEC1.8852,5157,650,380REDUCED-0.32
BERKSHIRE HATHAWAY INC DEL2.8227,29311,477,300REDUCED-1.12