Findlay Park Partners

Findlay Park Partners as of Dec. 31, 2021

Portfolio Holdings for Findlay Park Partners

Findlay Park Partners holds 45 positions in its portfolio as reported in the December 2021 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Microsoft Corporation (MSFT) 7.5 $1.1B 3.3M 336.32
Autodesk (ADSK) 6.1 $918M 3.3M 281.19
Intuit (INTU) 5.1 $764M 1.2M 643.22
Amazon (AMZN) 4.9 $740M 222k 3334.34
Alphabet Cap Stk Cl C (GOOG) 4.6 $685M 237k 2893.59
Topbuild (BLD) 4.5 $679M 2.5M 275.91
Danaher Corporation (DHR) 4.2 $632M 1.9M 329.01
Sherwin-Williams Company (SHW) 3.5 $524M 1.5M 352.16
Arthur J. Gallagher & Co. (AJG) 3.1 $469M 2.8M 169.67
CoStar (CSGP) 2.9 $440M 5.6M 79.03
S&p Global (SPGI) 2.9 $439M 931k 471.93
CBRE Group Cl A (CBRE) 2.8 $416M 3.8M 108.51
Mastercard Incorporated Cl A (MA) 2.5 $376M 1.0M 359.32
UnitedHealth (UNH) 2.3 $343M 683k 502.14
Waste Connections (WCN) 2.3 $338M 2.5M 136.27
Metropcs Communications (TMUS) 2.2 $336M 2.9M 115.98
Adobe Systems Incorporated (ADBE) 2.2 $334M 589k 567.06
Marsh & McLennan Companies (MMC) 2.1 $319M 1.8M 173.82
Analog Devices (ADI) 2.0 $294M 1.7M 175.77
Fiserv (FI) 2.0 $292M 2.8M 103.79
Fortive (FTV) 1.9 $289M 3.8M 76.29
Installed Bldg Prods (IBP) 1.7 $260M 1.9M 139.72
Jacobs Engineering 1.7 $258M 1.9M 139.23
Pool Corporation (POOL) 1.7 $257M 454k 566.00
Thermo Fisher Scientific (TMO) 1.6 $240M 359k 667.24
Cooper Cos Com New 1.6 $237M 565k 418.94
Berkshire Hathaway Inc Del Cl B New (BRK.B) 1.5 $221M 738k 299.00
EOG Resources (EOG) 1.5 $217M 2.4M 88.83
Air Products & Chemicals (APD) 1.4 $208M 685k 304.26
Union Pacific Corporation (UNP) 1.3 $202M 801k 251.93
Home Depot (HD) 1.3 $200M 482k 415.01
Martin Marietta Materials (MLM) 1.3 $197M 448k 440.52
Intercontinental Exchange (ICE) 1.3 $190M 1.4M 136.77
Texas Instruments Incorporated (TXN) 1.2 $183M 971k 188.47
Ross Stores (ROST) 1.1 $170M 1.5M 114.28
Agnico (AEM) 1.1 $159M 3.0M 53.14
NVIDIA Corporation (NVDA) 1.1 $158M 537k 294.11
Alcon Ord Shs (ALC) 0.9 $141M 1.6M 87.12
Charter Communications Inc N Cl A (CHTR) 0.9 $131M 201k 651.97
Cintas Corporation (CTAS) 0.8 $126M 283k 443.17
Msci (MSCI) 0.8 $115M 188k 612.69
Comcast Corp Cl A (CMCSA) 0.7 $104M 2.1M 50.33
Keysight Technologies (KEYS) 0.6 $92M 445k 206.51
Nordson Corporation (NDSN) 0.6 $82M 323k 255.27
McDonald's Corporation (MCD) 0.5 $81M 303k 268.07