Universe · entity

Select Equity Group, L.P.

Institutional manager (13F) · CIK 1592643
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $16.3B
#IssuerValueShares
1LIVE NATION ENTERTAINMENT IN$815M5,344,455
2VIKING HOLDINGS LTD$794M10,802,203
3ITT INC$746M3,913,486
4WABTEC$731M2,923,643
5MARKEL GROUP INC$723M377,643
6SOMNIGROUP INTERNATIONAL INC$686M9,273,908
7MARTIN MARIETTA MATLS INC$608M1,033,420
8TRACTOR SUPPLY CO$602M13,296,464
9LABCORP HOLDINGS INC$580M2,174,785
10BROWN & BROWN INC$523M8,022,123
11CRH PLC$511M4,857,488
12SERVICE CORP INTL$504M6,113,751
13STERIS PLC$474M2,143,379
14NASDAQ INC$472M5,563,126
15ALCON AG$419M5,676,304
16EMCOR GROUP INC$410M555,849
17CANADIAN PACIFIC KANSAS CITY$389M4,956,024
18TRIMBLE INC$366M5,605,868
19CORE & MAIN INC$358M7,254,207
20TAIWAN SEMICONDUCTOR MANUFAC$347M1,027,926
21PAYCHEX INC$338M3,670,073
22C H ROBINSON WORLDWIDE IN$326M1,962,544
23CLEAN HARBORS INC$324M1,131,602
24CORPAY INC$310M1,063,946
25SIGNET JEWELERS LIMITED$277M3,274,816
26ROLLINS INC$255M4,767,122
27VISA INC$231M763,640
28PACKAGING CORP AMER$217M1,023,041
29CAE INC$214M8,251,691
30MIDDLEBY CORP$199M1,500,467
31HUBBELL INC$184M374,337
32SPOTIFY TECHNOLOGY S A$177M365,876
33CLOUDFLARE INC$176M854,924
34NVIDIA CORPORATION$158M903,490
35AMPHENOL CORP$152M1,199,943
36BWX TECHNOLOGIES INC$149M726,424
37THERMO FISHER SCIENTIFIC INC$147M299,500
38QUANTA SVCS INC$145M263,823
39CDW CORP$145M1,195,763
40TELEDYNE TECHNOLOGIES INC$120M198,956
41ENTEGRIS INC$120M1,020,870
42DICKS SPORTING GOODS INC$110M556,913
43MORNINGSTAR INC$108M637,723
44LIBERTY MEDIA CORP DEL$107M1,262,695
45CRANE COMPANY$105M615,821
46FRANCO NEV CORP$103M415,524
47APOLLO GLOBAL MGMT INC$102M913,985
48FORTIVE CORP$95M1,712,853
49SALESFORCE INC$94M501,790
50WORKDAY INC$85M652,998
All filings on EDGAR ↗

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