Findlay Park Partners

Findlay Park Partners as of Sept. 30, 2024

Portfolio Holdings for Findlay Park Partners

Findlay Park Partners holds 59 positions in its portfolio as reported in the September 2024 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
UnitedHealth (UNH) 4.2 $441M 754k 584.68
Accenture Plc Ireland Shs Class A (ACN) 3.7 $394M 1.1M 353.48
Mastercard Incorporated Cl A (MA) 3.2 $343M 694k 493.80
Microsoft Corporation (MSFT) 3.2 $340M 790k 430.30
Gartner (IT) 3.2 $338M 666k 506.76
S&p Global (SPGI) 2.9 $311M 602k 516.62
Liberty Media Corp Del Com Lbty One S C (FWONK) 2.9 $303M 3.9M 77.43
Canadian Pacific Kansas City (CP) 2.6 $277M 3.2M 85.54
EOG Resources (EOG) 2.4 $258M 2.1M 122.93
Cbre Group Cl A (CBRE) 2.4 $252M 2.0M 124.48
West Pharmaceutical Services (WST) 2.3 $248M 828k 300.16
Intuit (INTU) 2.3 $243M 392k 621.00
Arthur J. Gallagher & Co. (AJG) 2.3 $242M 861k 281.37
Live Nation Entertainment (LYV) 2.2 $231M 2.1M 109.49
Kla Corp Com New (KLAC) 2.2 $230M 297k 774.41
Topbuild (BLD) 2.2 $230M 564k 406.81
AECOM Technology Corporation (ACM) 2.1 $227M 2.2M 103.27
ConocoPhillips (COP) 2.1 $223M 2.1M 105.28
Intercontinental Exchange (ICE) 2.0 $212M 1.3M 160.64
Canadian Natl Ry (CNI) 2.0 $212M 1.8M 117.15
Martin Marietta Materials (MLM) 1.9 $207M 384k 538.25
Thermo Fisher Scientific (TMO) 1.9 $201M 325k 618.57
CRH Ord (CRH) 1.9 $201M 2.2M 92.74
Alphabet Cap Stk Cl C (GOOG) 1.9 $200M 1.2M 167.19
Marsh & McLennan Companies (MMC) 1.9 $198M 889k 223.09
Anthem (ELV) 1.8 $189M 363k 520.00
United Rentals (URI) 1.8 $188M 233k 809.73
Api Group Corp Com Stk (APG) 1.8 $188M 5.7M 33.02
Waters Corporation (WAT) 1.7 $184M 511k 359.89
Charles Schwab Corporation (SCHW) 1.7 $183M 2.8M 64.81
Waste Connections (WCN) 1.7 $179M 998k 178.82
Royal Gold (RGLD) 1.6 $172M 1.2M 140.30
Agilent Technologies Inc C ommon (A) 1.6 $168M 1.1M 148.48
MarketAxess Holdings (MKTX) 1.5 $162M 631k 256.20
Medpace Hldgs (MEDP) 1.5 $157M 471k 333.80
Xpo Logistics Inc equity (XPO) 1.4 $152M 1.4M 107.51
Berkshire Hathaway Inc Del Cl B New (BRK.B) 1.4 $144M 313k 460.26
Steris Shs Usd (STE) 1.3 $142M 584k 242.54
Sherwin-Williams Company (SHW) 1.2 $131M 344k 381.67
Teledyne Technologies Incorporated (TDY) 1.2 $128M 293k 437.66
Hilton Worldwide Holdings (HLT) 1.1 $118M 513k 230.50
Msci (MSCI) 1.1 $117M 201k 582.93
Danaher Corporation (DHR) 1.1 $115M 413k 278.02
Alcon Ord Shs (ALC) 1.1 $114M 1.1M 100.07
Ecolab (ECL) 1.1 $113M 444k 255.33
Keysight Technologies (KEYS) 1.0 $111M 700k 158.93
Analog Devices (ADI) 1.0 $110M 480k 230.17
Cdw (CDW) 1.0 $108M 478k 226.30
Ferguson Enterprises Common Stock New (FERG) 0.9 $99M 499k 198.57
Illumina (ILMN) 0.9 $93M 716k 130.41
Pool Corporation (POOL) 0.9 $93M 248k 376.80
Autodesk (ADSK) 0.9 $90M 328k 275.48
Airbnb Com Cl A (ABNB) 0.8 $83M 654k 126.81
Applied Materials (AMAT) 0.8 $83M 410k 202.05
Texas Instruments Incorporated (TXN) 0.6 $63M 306k 206.57
Globant S A (GLOB) 0.3 $31M 157k 198.14
IDEX Corporation (IEX) 0.2 $26M 121k 214.50
Itt (ITT) 0.1 $7.5M 50k 149.51
Liberty Media Corp Del Com Lbty Liv S C (LLYVK) 0.0 $1.9M 38k 51.33