Universe · entity

Findlay Park Partners LLP

Institutional manager (13F) · CIK 1351950
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $7.0B
#IssuerValueShares
1ITT INC$269M1,412,228
2EOG RES INC$257M1,774,909
3API GROUP CORP$242M5,981,698
4TELEDYNE TECHNOLOGIES INC$239M394,339
5BERKSHIRE HATHAWAY INC DEL$232M484,636
6XPO INC$231M1,189,000
7CRH PLC$230M2,191,611
8TEXAS INSTRS INC$230M1,183,131
9CONOCOPHILLIPS$223M1,690,371
10KEYSIGHT TECHNOLOGIES INC$209M738,652
11CANADIAN NATL RY CO$194M1,887,968
12CANADIAN PACIFIC KANSAS CITY$182M2,309,096
13LIBERTY MEDIA CORP DEL$163M1,913,057
14WOODWARD INC$162M451,800
15LIVE NATION ENTERTAINMENT IN$156M1,025,500
16BECTON DICKINSON & CO$155M983,500
17AGILENT TECHNOLOGIES INC$155M1,356,563
18WEST PHARMACEUTICAL SVSC INC$155M616,766
19INTUIT$154M356,385
20DANAHER CORP DEL$152M802,200
21STERIS PLC$149M674,755
22MICROSOFT CORP$148M399,550
23ROYAL GOLD INC$147M576,930
24WATERS CORP$139M467,245
25S&P GLOBAL INC$137M323,240
26MASTERCARD INCORPORATED$136M271,410
27UNITED RENTALS INC$135M185,488
28WASTE CONNECTIONS INC$123M757,296
29INTERCONTINENTAL EXCHANGE IN$121M770,669
30SCHWAB CHARLES CORP$117M1,243,069
31FERGUSON ENTERPRISES INC$116M496,710
32MARTIN MARIETTA MATLS INC$114M194,302
33STANDARDAERO INC$106M4,084,441
34SLB LIMITED$104M2,014,200
35WYNDHAM HOTELS & RESORTS INC$100M1,235,600
36CORE & MAIN INC$99M1,996,728
37COOPER COS INC$95M1,327,500
38HILTON WORLDWIDE HLDGS INC$95M310,854
39MARKETAXESS HLDGS INC$79M480,600
40KLA CORP$79M53,662
41THERMO FISHER SCIENTIFIC INC$76M154,740
42ANALOG DEVICES INC$76M239,018
43ENTEGRIS INC$75M640,600
44AUTODESK INC$75M312,719
45EQUIFAX INC$71M394,660
46ECOLAB INC$68M255,584
47IDEX CORP$63M331,999
48APPLIED MATLS INC$54M156,800
49ACCENTURE PLC IRELAND$53M266,098
50SPOTIFY TECHNOLOGY S A$46M94,240
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.