MARATHON ASSET MANAGEMENT LLP - Q3 2020 holdings

$6.36 Billion is the total value of MARATHON ASSET MANAGEMENT LLP's 108 reported holdings in Q3 2020. The portfolio turnover from Q2 2020 to Q3 2020 was 1.3% .

 Value Shares↓ Weighting
ORCL SellOracle Corp$252,374,000
+0.0%
4,227,650
-7.4%
3.97%
+2.6%
JNJ SellJohnson and Johnson$243,802,000
-1.3%
1,637,877
-6.8%
3.83%
+1.2%
BKNG SellBooking Holdings Inc$177,819,000
-6.6%
103,965
-13.0%
2.80%
-4.2%
GOOGL SellAlphabet Inc - Class A$159,168,000
-20.3%
108,612
-22.8%
2.50%
-18.2%
FB SellFacebook Inc A$158,511,000
-1.4%
605,289
-14.5%
2.49%
+1.1%
ADM SellArcher-Daniels-Midland Co.$142,396,000
+3.5%
3,063,018
-11.2%
2.24%
+6.2%
BRKB SellBerkshire Hathaway Inc$137,140,000
-3.9%
644,049
-19.3%
2.16%
-1.5%
TXN SellTexas Instruments Inc$136,266,000
-2.9%
954,393
-13.6%
2.14%
-0.4%
MRK SellMerck & Co Inc$131,241,000
+0.5%
1,570,642
-6.3%
2.06%
+3.1%
BAM SellBrookfield Asset Management-CL A$125,984,000
-2.0%
3,818,333
-2.5%
1.98%
+0.5%
GOLD SellBarrick Gold Corp$125,148,000
-15.0%
4,451,408
-18.5%
1.97%
-12.8%
INTC SellIntel Corp$123,226,000
-23.3%
2,379,926
-11.4%
1.94%
-21.4%
GOOG SellAlphabet Inc - Class C$121,714,000
-9.3%
82,833
-12.8%
1.91%
-7.0%
YUMC SellYum China Holdings Inc$117,413,000
+6.6%
2,217,439
-3.2%
1.85%
+9.4%
CHRW SellC H Robinson Worldwide Inc$115,436,000
+12.6%
1,129,693
-12.9%
1.82%
+15.5%
WFC SellWells Fargo$106,159,000
-11.4%
4,515,985
-3.5%
1.67%
-9.1%
AMZN SellAmazon.com Inc$106,152,000
-26.6%
33,716
-35.6%
1.67%
-24.7%
TRV SellTravelers Companies Inc$100,387,000
-15.0%
927,914
-10.4%
1.58%
-12.9%
UPS SellUnited Parcel Services Cl B$98,409,000
+33.2%
590,573
-11.1%
1.55%
+36.7%
PG SellProcter & Gamble$98,362,000
+3.6%
707,781
-10.9%
1.55%
+6.3%
BG SellBunge Ltd$89,449,000
-1.4%
1,957,487
-11.3%
1.41%
+1.1%
AXP SellAmerican Express Co$83,172,000
-6.3%
829,682
-11.1%
1.31%
-4.0%
RBA SellRitchie Bros Auctioneers$81,176,000
+42.7%
1,373,182
-1.9%
1.28%
+46.3%
WAT SellWaters Corp$78,018,000
-3.8%
398,707
-11.3%
1.23%
-1.4%
PPG SellPPG Industries Inc$74,408,000
+2.4%
609,521
-11.1%
1.17%
+5.0%
KMX SellCarmax Inc$71,869,000
-21.0%
781,977
-23.0%
1.13%
-18.9%
EA SellElectronic Arts Inc$71,655,000
-8.5%
549,515
-7.3%
1.13%
-6.2%
HSY SellThe Hershey Company$70,799,000
+7.2%
493,938
-3.1%
1.11%
+10.0%
KO SellCoca Cola Co$65,164,000
-2.0%
1,308,889
-11.3%
1.02%
+0.5%
CCEP SellCoca-Cola European Partners$64,365,000
+0.6%
1,658,536
-2.1%
1.01%
+3.2%
TJX SellTJX Companies Inc$61,200,000
-2.0%
1,099,802
-10.9%
0.96%
+0.5%
FRC SellFirst Republic Bank$60,750,000
-8.3%
557,036
-10.9%
0.96%
-6.0%
PAYX SellPaychex Inc$58,786,000
-6.8%
736,974
-11.5%
0.92%
-4.4%
MXIM SellMaxim Integrated Products$58,487,000
-1.3%
865,100
-11.5%
0.92%
+1.2%
FAST SellFastenal Co$57,754,000
-6.2%
1,280,895
-10.9%
0.91%
-3.8%
USB SellUS Bancorp$57,366,000
-13.9%
1,582,650
-11.5%
0.90%
-11.7%
UNP SellUnion Pacific Corp$56,483,000
-0.9%
286,919
-14.9%
0.89%
+1.6%
PYPL SellPayPal Holdings Inc.$56,249,000
-15.3%
285,503
-25.1%
0.88%
-13.1%
MKL SellMarkel Corp$54,641,000
+3.2%
56,105
-2.1%
0.86%
+5.9%
ADI SellAnalog Devices Inc$51,905,000
-15.8%
444,653
-11.5%
0.82%
-13.7%
EXPD SellExpeditors Intl Wash Inc$51,888,000
+1.8%
573,283
-14.5%
0.82%
+4.5%
AMAT SellApplied Materials Inc$49,612,000
-12.6%
834,604
-11.1%
0.78%
-10.3%
COST SellCostco Wholesale Corp$49,345,000
+3.9%
139,007
-11.3%
0.78%
+6.6%
LIN SellLinde PLC$49,224,000
+0.0%
206,723
-10.9%
0.77%
+2.7%
CL SellColgate Palmolive Co$48,591,000
-6.8%
629,873
-11.5%
0.76%
-4.4%
KMB SellKimberly-Clark Corp$47,948,000
-6.7%
322,210
-10.9%
0.75%
-4.2%
DLB SellDolby Laboratories Inc-CL A$47,159,000
-10.4%
711,515
-10.9%
0.74%
-8.1%
BAX SellBaxter International Inc$46,930,000
-17.1%
581,673
-11.3%
0.74%
-15.0%
AZO SellAutozone Inc$44,618,000
-7.6%
37,888
-11.5%
0.70%
-5.3%
ATVI SellActivision Blizzard$44,411,000
-8.8%
548,667
-14.5%
0.70%
-6.6%
HIG SellHartford Financial SVCS Group Inc$44,219,000
-15.5%
1,188,243
-11.5%
0.70%
-13.3%
TEL SellTE Connectivity Ltd$43,732,000
+6.3%
447,447
-11.3%
0.69%
+9.0%
PEP SellPepsico Inc$43,474,000
-6.7%
313,773
-10.9%
0.68%
-4.3%
GIL SellGildan Activewear Inc$41,871,000
+18.2%
2,131,821
-7.0%
0.66%
+21.2%
BK SellBank of New York Mellon Corp$40,326,000
-21.4%
1,174,353
-11.5%
0.63%
-19.3%
MKTX SellMarketaxess Holdings$40,231,000
-26.0%
83,538
-23.0%
0.63%
-24.1%
ALB SellAlbemarle Corp$39,768,000
+3.1%
443,520
-10.9%
0.62%
+5.8%
GMED SellGlobus Medical Inc A$39,547,000
-7.5%
798,658
-10.9%
0.62%
-5.2%
L SellLoews Corp$36,319,000
-10.1%
1,045,204
-11.3%
0.57%
-7.8%
ACN SellAccenture Plc$35,384,000
-19.3%
156,583
-23.3%
0.56%
-17.3%
PCAR SellPaccar Inc$35,217,000
-6.3%
412,959
-17.8%
0.55%
-3.8%
MMM Sell3M Co$31,560,000
-13.7%
197,041
-16.0%
0.50%
-11.6%
AFL SellAflac Inc$31,061,000
-10.5%
854,534
-11.3%
0.49%
-8.3%
CB SellChubb Limited$30,835,000
-18.8%
263,721
-11.5%
0.48%
-16.7%
C SellCitigroup Inc$30,268,000
-25.9%
702,229
-12.2%
0.48%
-24.0%
ABMD SellAbiomed Inc$29,245,000
-18.7%
105,579
-29.1%
0.46%
-16.5%
LECO SellLincoln Electric Holdings$27,826,000
-2.7%
300,731
-10.9%
0.44%
-0.2%
VC SellVisteon Corp.$26,220,000
-10.3%
378,789
-11.3%
0.41%
-8.0%
OTIS SellOtis Worldwide Corp$24,801,000
-2.8%
397,393
-11.4%
0.39%
-0.3%
TCOM SellCtrip.com International ADR$23,956,000
+20.1%
769,311
-0.0%
0.38%
+23.2%
AXTA SellAxalta Coating Systems Ltd$23,650,000
-12.8%
1,066,817
-11.3%
0.37%
-10.4%
NOV SellNational Oilwell Varco$20,751,000
-34.4%
2,290,712
-11.3%
0.33%
-32.8%
EB SellEventbrite Inc - Class A$17,123,000
+12.8%
1,578,390
-10.9%
0.27%
+15.5%
AON SellAon Plc$15,597,000
-5.2%
75,611
-11.5%
0.24%
-2.8%
ULTA SellUlta Beauty Inc$15,071,000
-1.9%
67,296
-10.9%
0.24%
+0.4%
HOG SellHarley Davidson Inc$9,425,000
-8.4%
384,108
-11.3%
0.15%
-6.3%
OMC SellOmnicom Group$8,489,000
-21.5%
169,352
-11.5%
0.13%
-19.9%
WUBA Exit58.com Inc Spon ADR$0-1,848
-100.0%
-0.00%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2020-11-05
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Johnson and Johnson33Q2 20215.6%
Oracle Corp33Q2 20214.0%
Procter & Gamble Co33Q2 20213.8%
Colgate Palmolive Co33Q2 20213.8%
Intel Corporation33Q2 20212.9%
Wells Fargo Co33Q2 20213.6%
Omnicom Group Inc33Q2 20213.2%
3M Co33Q2 20214.4%
Rogers Communications Inc33Q2 20213.3%
Paychex Inc33Q2 20211.7%

View MARATHON ASSET MANAGEMENT LLP's complete holdings history.

Latest significant ownerships (13-D/G)
MARATHON ASSET MANAGEMENT LLP Q3 2020 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
BLUE NILE INCJanuary 25, 2013615,5314.9%
AMERICAN GREETINGS CORPJanuary 24, 20131,329,5074.6%
VIAD CORPJanuary 18, 2013995,8664.9%
CC Media Holdings IncDecember 18, 20121,009,8934.3%
ULTRAPETROL BAHAMAS LTDNovember 13, 20121,443,2074.8%
CABLEVISION SYSTEMS CORP /NYNovember 08, 201210,374,3355.0%
MBIA INCAugust 07, 20129,557,4634.9%
FORRESTER RESEARCH INCJuly 30, 20121,127,3275.0%
GARTNER INCJuly 25, 20114,858,1025.0%
PRIMEDIA INCJuly 15, 201175,0000.2%

View MARATHON ASSET MANAGEMENT LLP's complete significant-ownership history.

Latest filings
TypeFiled
13F-NT2021-11-05
13F-HR2021-07-21
13F-HR2021-04-26
13F-HR2021-02-02
13F-HR2020-11-05
13F-HR2020-07-20
13F-HR2020-04-22
13F-HR2020-01-22
13F-HR2019-10-25
13F-HR2019-07-15

View MARATHON ASSET MANAGEMENT LLP's complete filings history.

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