Martin Investment Management as of March 31, 2026
Portfolio Holdings for Martin Investment Management
Martin Investment Management holds 46 positions in its portfolio as reported in the March 2026 quarterly 13F filing
| Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
|---|---|---|---|---|---|
| Astrazeneca Ord (AZN) | 8.3 | $28M | 140k | 197.22 | |
| Novartis Sponsored Adr (NVS) | 7.4 | $25M | 162k | 152.75 | |
| Toyota Motor Corp Ads (TM) | 6.3 | $21M | 102k | 206.09 | |
| Apple (AAPL) | 5.9 | $20M | 77k | 253.79 | |
| Sony Group Corp Sponsored Adr (SONY) | 5.5 | $18M | 891k | 20.70 | |
| Alphabet Cap Stk Cl A (GOOGL) | 5.5 | $18M | 64k | 287.56 | |
| Check Point Software Tech Lt Ord (CHKP) | 4.9 | $16M | 115k | 142.85 | |
| Stantec (STN) | 4.8 | $16M | 184k | 86.40 | |
| Futu Hldgs Spon Ads Cl A (FUTU) | 4.6 | $15M | 112k | 136.76 | |
| Mastercard Incorporated Cl A (MA) | 4.5 | $15M | 30k | 499.66 | |
| Deutsche Bk Namen Akt (DB) | 4.2 | $14M | 476k | 29.78 | |
| Wabtec Corporation (WAB) | 3.1 | $10M | 42k | 249.91 | |
| L3harris Technologies (LHX) | 3.0 | $10M | 30k | 345.15 | |
| American Express Company (AXP) | 2.9 | $9.6M | 32k | 302.48 | |
| Berkshire Hathaway Inc Del Cl B New (BRK.B) | 2.8 | $9.2M | 19k | 479.20 | |
| CBOE Holdings (CBOE) | 2.7 | $9.1M | 32k | 281.07 | |
| Cheniere Energy Com New (LNG) | 2.3 | $7.6M | 27k | 283.76 | |
| Ametek (AME) | 2.2 | $7.4M | 34k | 214.36 | |
| Thermo Fisher Scientific (TMO) | 2.1 | $7.2M | 15k | 491.53 | |
| AutoZone (AZO) | 1.9 | $6.4M | 1.9k | 3377.78 | |
| Stryker Corporation (SYK) | 1.8 | $5.9M | 18k | 328.59 | |
| Merck & Co (MRK) | 1.7 | $5.7M | 47k | 120.29 | |
| Leidos Holdings (LDOS) | 1.6 | $5.5M | 35k | 155.52 | |
| Aptiv Com Shs (APTV) | 1.6 | $5.4M | 77k | 69.44 | |
| Nxp Semiconductors N V (NXPI) | 1.5 | $5.1M | 26k | 196.86 | |
| Roper Industries (ROP) | 1.2 | $4.1M | 12k | 353.86 | |
| Accenture Plc Ireland Shs Class A (ACN) | 1.1 | $3.8M | 19k | 198.29 | |
| Adobe Systems Incorporated (ADBE) | 1.0 | $3.3M | 14k | 243.08 | |
| NVIDIA Corporation (NVDA) | 0.7 | $2.3M | 13k | 174.40 | |
| J P Morgan Exchange Traded F Ultra Shrt Etf (JPST) | 0.6 | $2.0M | 40k | 50.61 | |
| Alphabet Cap Stk Cl C (GOOG) | 0.3 | $947k | 3.3k | 286.86 | |
| Asml Hldg Nv N Y Registry Shs (ASML) | 0.3 | $922k | 698.00 | 1320.83 | |
| Exxon Mobil Corporation (XOM) | 0.3 | $875k | 5.2k | 169.66 | |
| Taiwan Semiconductor Manufac Sponsored Ads (TSM) | 0.2 | $718k | 2.1k | 337.95 | |
| Microsoft Corporation (MSFT) | 0.2 | $599k | 1.6k | 370.17 | |
| Amazon (AMZN) | 0.1 | $488k | 2.3k | 208.27 | |
| Booking Holdings (BKNG) | 0.1 | $365k | 2.2k | 168.41 | |
| Aon Shs Cl A (AON) | 0.1 | $342k | 1.1k | 322.78 | |
| Haleon Spon Ads (HLN) | 0.1 | $332k | 33k | 10.01 | |
| J P Morgan Exchange Traded F Jpmorgam Ltd Dur (JPLD) | 0.1 | $318k | 6.1k | 52.19 | |
| Costco Wholesale Corporation (COST) | 0.1 | $295k | 296.00 | 996.43 | |
| J P Morgan Exchange Traded F Core Plus Bd Etf (JCPB) | 0.1 | $288k | 6.1k | 47.08 | |
| Relx Sponsored Adr (RELX) | 0.1 | $259k | 7.8k | 33.15 | |
| Medtronic SHS (MDT) | 0.1 | $249k | 2.9k | 86.65 | |
| Broadcom (AVGO) | 0.1 | $248k | 800.00 | 309.51 | |
| Kimberly-Clark Corporation (KMB) | 0.1 | $233k | 2.4k | 96.47 |