Martin Investment Management as of Dec. 31, 2021
Portfolio Holdings for Martin Investment Management
Martin Investment Management holds 51 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 |
---|---|---|---|---|---|
Alcon Ord Shs (ALC) | 7.3 | $30M | 340k | 87.12 | |
Sony Group Corporation Sponsored Adr (SONY) | 6.9 | $28M | 221k | 126.40 | |
Novartis Sponsored Adr (NVS) | 6.8 | $28M | 316k | 87.47 | |
Apple (AAPL) | 6.5 | $26M | 147k | 177.57 | |
Sap Se Spon Adr (SAP) | 5.3 | $21M | 152k | 140.11 | |
Check Point Software Tech Lt Ord (CHKP) | 5.2 | $21M | 180k | 116.56 | |
Toyota Motor Corp Ads (TM) | 5.1 | $21M | 112k | 185.30 | |
Mastercard Incorporated Cl A (MA) | 4.2 | $17M | 47k | 359.31 | |
Thermo Fisher Scientific (TMO) | 3.3 | $14M | 20k | 667.24 | |
Accenture Plc Ireland Shs Class A (ACN) | 3.0 | $12M | 29k | 414.56 | |
Alphabet Cap Stk Cl A (GOOGL) | 3.0 | $12M | 4.1k | 2897.08 | |
Target Corporation (TGT) | 2.9 | $12M | 51k | 231.43 | |
Meta Platforms Cl A (META) | 2.7 | $11M | 32k | 336.35 | |
Msci (MSCI) | 2.6 | $10M | 17k | 612.67 | |
Berkshire Hathaway Inc Del Cl B New (BRK.B) | 2.3 | $9.4M | 31k | 298.99 | |
Verisk Analytics (VRSK) | 2.3 | $9.2M | 40k | 228.73 | |
American Express Company (AXP) | 2.1 | $8.6M | 53k | 163.59 | |
Procter & Gamble Company (PG) | 2.0 | $8.2M | 50k | 163.58 | |
S&p Global (SPGI) | 2.0 | $8.1M | 17k | 471.94 | |
Stryker Corporation (SYK) | 1.9 | $7.6M | 28k | 267.42 | |
L3harris Technologies (LHX) | 1.8 | $7.4M | 35k | 213.24 | |
Booking Holdings (BKNG) | 1.8 | $7.3M | 3.0k | 2399.21 | |
Johnson & Johnson (JNJ) | 1.7 | $7.0M | 41k | 171.06 | |
Bristol Myers Squibb (BMY) | 1.7 | $6.8M | 110k | 62.35 | |
Verisign (VRSN) | 1.6 | $6.7M | 26k | 253.83 | |
Carrier Global Corporation (CARR) | 1.6 | $6.4M | 118k | 54.24 | |
Iac Interactivecorp Com New (IAC) | 1.5 | $6.1M | 47k | 130.71 | |
Match Group (MTCH) | 1.5 | $5.9M | 45k | 132.26 | |
General Dynamics Corporation (GD) | 1.4 | $5.8M | 28k | 208.46 | |
Fidelity National Information Services (FIS) | 1.3 | $5.4M | 49k | 109.16 | |
Gilead Sciences (GILD) | 1.3 | $5.3M | 74k | 72.61 | |
Activision Blizzard | 1.3 | $5.2M | 79k | 66.53 | |
Raytheon Technologies Corp (RTX) | 1.2 | $4.8M | 56k | 86.07 | |
Taiwan Semiconductor Mfg Sponsored Ads (TSM) | 0.3 | $1.3M | 11k | 120.33 | |
Ihs Markit SHS | 0.2 | $986k | 7.4k | 132.88 | |
Asml Holding N V N Y Registry Shs (ASML) | 0.2 | $951k | 1.2k | 796.48 | |
Nxp Semiconductors N V (NXPI) | 0.2 | $810k | 3.6k | 227.85 | |
Microsoft Corporation (MSFT) | 0.2 | $801k | 2.4k | 336.41 | |
Alphabet Cap Stk Cl C (GOOG) | 0.2 | $796k | 275.00 | 2894.55 | |
Amazon (AMZN) | 0.2 | $684k | 205.00 | 3336.59 | |
Medtronic SHS (MDT) | 0.2 | $654k | 6.3k | 103.51 | |
Aon Shs Cl A (AON) | 0.1 | $476k | 1.6k | 300.51 | |
Kimberly-Clark Corporation (KMB) | 0.1 | $439k | 3.1k | 142.76 | |
Zebra Technologies Corporati Cl A (ZBRA) | 0.1 | $420k | 705.00 | 595.74 | |
NVIDIA Corporation (NVDA) | 0.1 | $388k | 1.3k | 293.94 | |
Costco Wholesale Corporation (COST) | 0.1 | $363k | 640.00 | 567.19 | |
Texas Instruments Incorporated (TXN) | 0.1 | $313k | 1.7k | 188.44 | |
Visa Com Cl A (V) | 0.1 | $312k | 1.4k | 216.52 | |
Relx Sponsored Adr (RELX) | 0.1 | $283k | 8.7k | 32.62 | |
Icon SHS (ICLR) | 0.1 | $282k | 909.00 | 310.23 | |
FactSet Research Systems (FDS) | 0.1 | $279k | 575.00 | 485.22 |