Findlay Park Partners as of June 30, 2020
Portfolio Holdings for Findlay Park Partners
Findlay Park Partners holds 48 positions in its portfolio as reported in the June 2020 quarterly 13F filing
| Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
|---|---|---|---|---|---|
| Microsoft Corporation (MSFT) | 7.4 | $941M | 4.6M | 203.51 | |
| Metropcs Communications (TMUS) | 5.8 | $743M | 7.1M | 104.15 | |
| Intuit (INTU) | 5.0 | $639M | 2.2M | 296.19 | |
| Air Products & Chemicals (APD) | 4.6 | $584M | 2.4M | 241.46 | |
| Fidelity National Information Services (FIS) | 4.5 | $570M | 4.3M | 134.09 | |
| Amazon (AMZN) | 4.3 | $552M | 200k | 2758.82 | |
| Fiserv (FI) | 4.1 | $525M | 5.4M | 97.62 | |
| Becton, Dickinson and (BDX) | 4.0 | $518M | 2.2M | 239.27 | |
| Berkshire Hathaway Inc Del Cl B New (BRK.B) | 4.0 | $511M | 2.9M | 178.51 | |
| Danaher Corporation (DHR) | 3.8 | $490M | 2.8M | 176.83 | |
| Autodesk (ADSK) | 3.7 | $468M | 2.0M | 239.19 | |
| Comcast Corp Cl A (CMCSA) | 3.0 | $390M | 10M | 38.98 | |
| McDonald's Corporation (MCD) | 2.9 | $374M | 2.0M | 184.47 | |
| Agilent Technologies Inc C ommon (A) | 2.8 | $365M | 4.1M | 88.37 | |
| Alphabet Cap Stk Cl C (GOOG) | 2.7 | $351M | 248k | 1413.61 | |
| Waste Connections (WCN) | 2.7 | $342M | 3.6M | 93.79 | |
| Marsh & McLennan Companies (MMC) | 2.3 | $292M | 2.7M | 107.37 | |
| Activision Blizzard | 2.2 | $281M | 3.7M | 75.90 | |
| Thermo Fisher Scientific (TMO) | 1.8 | $236M | 650k | 362.34 | |
| Cintas Corporation (CTAS) | 1.7 | $222M | 832k | 266.36 | |
| UnitedHealth (UNH) | 1.7 | $214M | 725k | 294.95 | |
| Sherwin-Williams Company (SHW) | 1.7 | $213M | 368k | 577.85 | |
| Nasdaq Omx (NDAQ) | 1.6 | $207M | 1.7M | 119.47 | |
| Charles Schwab Corporation (SCHW) | 1.5 | $196M | 5.8M | 33.74 | |
| Texas Instruments Incorporated (TXN) | 1.4 | $175M | 1.4M | 126.97 | |
| Agnico (AEM) | 1.4 | $175M | 2.7M | 64.06 | |
| EOG Resources (EOG) | 1.3 | $170M | 3.4M | 50.66 | |
| Intercontinental Exchange (ICE) | 1.3 | $170M | 1.9M | 91.60 | |
| Alcon Ord Shs (ALC) | 1.2 | $148M | 2.6M | 57.32 | |
| Alleghany Corporation | 1.2 | $148M | 302k | 489.14 | |
| Jacobs Engineering | 1.1 | $146M | 1.7M | 84.80 | |
| Starbucks Corporation (SBUX) | 1.1 | $142M | 1.9M | 73.59 | |
| Transunion (TRU) | 0.9 | $115M | 1.3M | 87.04 | |
| CoStar (CSGP) | 0.9 | $115M | 162k | 710.67 | |
| Home Depot (HD) | 0.9 | $112M | 448k | 250.51 | |
| Analog Devices (ADI) | 0.9 | $109M | 888k | 122.64 | |
| Deere & Company (DE) | 0.8 | $108M | 690k | 157.15 | |
| Aon Shs Cl A (AON) | 0.8 | $102M | 531k | 192.60 | |
| Martin Marietta Materials (MLM) | 0.8 | $99M | 481k | 206.57 | |
| Mastercard Incorporated Cl A (MA) | 0.8 | $97M | 329k | 295.70 | |
| ICU Medical, Incorporated (ICUI) | 0.6 | $83M | 450k | 184.31 | |
| S&p Global (SPGI) | 0.6 | $79M | 239k | 329.48 | |
| CBRE Group Cl A (CBRE) | 0.6 | $73M | 1.6M | 45.22 | |
| Cooper Cos Com New | 0.5 | $63M | 223k | 283.64 | |
| Union Pacific Corporation (UNP) | 0.3 | $39M | 228k | 169.07 | |
| IDEX Corporation (IEX) | 0.3 | $37M | 235k | 158.04 | |
| TE Connectivity Reg Shs | 0.3 | $37M | 453k | 81.55 | |
| Anthem (ELV) | 0.2 | $30M | 113k | 262.98 |