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Focused investors/Wallace Weitz

Wallace Weitz - Weitz Investment Management

As of Q1 2026, this manager reported 49 long-equity positions worth $1.43B in aggregate.

As of Q1 2026, Wallace Weitz's Weitz Investment Management held 49 long-equity positions with a reported value of $1.43B.

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Updated 2026-06-06 from SEC 13F data.

Live quotes available for 46 of 49 rows. Rows without a quote are marked unavailable.

1BRK-BBERKSHIRE HATHAWAY INC DEL7.84%-286,850$144.21M$502.7452w: $437.90 - $542.07; reported $502.74
2GOOGALPHABET INC5.83%Reduce -1.1%440,600$107.31M$243.5552w: $142.66 - $256.70; reported $243.55
3DHRDANAHER CORPORATION5.68%-526,950$104.47M$198.2652w: $171.00 - $279.41; reported $198.26
4VVISA INC5.02%Reduce -9.2%270,580$92.37M$341.3852w: $273.24 - $375.51; reported $341.38
5MAMASTERCARD INCORPORATED4.82%Reduce -5.6%155,900$88.68M$568.8152w: $465.59 - $601.77; reported $568.81
6METAMETA PLATFORMS INC4.34%Reduce -6.0%108,710$79.83M$734.3852w: $479.80 - $796.25; reported $734.38
7MSFTMICROSOFT CORP4.34%Add +18.9%153,975$79.75M$517.9552w: $344.79 - $555.45; reported $517.95
8AONAON PLC4.14%-213,450$76.11M$356.5852w: $323.73 - $412.97; reported $356.58
9TMOTHERMO FISHER SCIENTIFIC INC3.97%-150,450$72.97M$485.0252w: $385.46 - $620.00; reported $485.02
10IEXIDEX CORP3.60%Add +0.1%406,475$66.16M$162.7652w: $153.36 - $238.22; reported $162.76
11VMCVULCAN MATLS CO3.56%Add +0.4%212,700$65.43M$307.6252w: $215.08 - $308.18; reported $307.62
12CSGPCOSTAR GROUP INC3.30%Reduce -6.0%719,850$60.73M$84.3752w: $68.26 - $97.43; reported $84.37
13EFXEQUIFAX INC2.99%Add +2.0%214,600$55.05M$256.5352w: $199.98 - $295.49; reported $256.53
14AMZNAMAZON COM INC2.66%-222,500$48.85M$219.5752w: $161.38 - $242.52; reported $219.57
15GPNGLOBAL PMTS INC2.48%Reduce -1.8%550,000$45.69M$83.0852w: $65.93 - $120.00; reported $83.08
16TECHBIO-TECHNE CORP2.43%-802,150$44.62M$55.6352w: $46.01 - $80.80; reported $55.63
17HEI-AHEICO CORP NEW2.25%Reduce -0.1%162,779$41.36M$254.0952w: $174.82 - $264.71; reported $254.09
18LHLABCORP HOLDINGS INC2.18%Reduce -1.0%139,750$40.12M$287.0652w: $209.38 - $288.36; reported $287.06
19ACNACCENTURE PLC IRELAND2.15%Add +28.8%160,550$39.59M$246.6052w: $229.40 - $398.35; reported $246.60
20IDXXIDEXX LABS INC1.97%Reduce -5.8%56,800$36.29M$638.8952w: $356.14 - $688.12; reported $638.89
21ADIANALOG DEVICES INC1.86%Reduce -1.2%139,300$34.23M$245.7052w: $158.65 - $258.13; reported $245.70
22SIRISIRIUSXM HOLDINGS INC1.75%-1,384,000$32.21M$23.2752w: $18.69 - $29.18; reported $23.27
23LBRDKLIBERTY BROADBAND CORP1.73%Reduce -6.4%1.068:1 split500,500$31.8M$63.5452w: $57.75 - $97.38; reported $63.54
24TXNTEXAS INSTRS INC1.64%-164,575$30.24M$183.7352w: $139.95 - $221.69; reported $183.73
25ODFLOLD DOMINION FREIGHT LINE IN1.60%-208,500$29.35M$140.7852w: $133.69 - $233.26; reported $140.78
26KMXCARMAX INC1.58%-649,400$29.14M$44.8752w: $42.75 - $91.25; reported $44.87
27CHTRCHARTER COMMUNICATIONS INC1.53%Add +8.6%102,605$28.23M$275.1152w: $251.80 - $437.06; reported $275.11
28ITGARTNER INC1.53%Add +22.1%107,375$28.23M$262.8752w: $223.65 - $584.01; reported $262.87
29MLMMARTIN MARIETTA MATLS INC1.41%-41,275$26.01M$630.2852w: $441.95 - $633.23; reported $630.28
30CRMSALESFORCE COM INC1.13%-87,500$20.74M$237.0052w: $226.48 - $369.00; reported $237.00
31ORCLORACLE CORP1.07%Reduce -58.8%70,000$19.69M$281.2452w: $118.86 - $345.72; reported $281.24
32ACIWACI WORLDWIDE INC1.05%Add +19.9%366,800$19.36M$52.7752w: $40.45 - $59.71; reported $52.77
33PRMPERIMETER SOLUTIONS INC0.91%Reduce -62.0%744,972$16.68M$22.3952w: $8.76 - $23.79; reported $22.39
34LKQLKQ CORP0.89%Add +16.5%534,000$16.31M$30.5452w: $28.92 - $44.82; reported $30.54
35ROPROPER TECHNOLOGIES INC0.85%-31,425$15.67M$498.6952w: $492.25 - $595.17; reported $498.69
36CMCSACOMCAST CORP NEW0.77%-451,500$14.19M$31.4252w: $29.08 - $42.46; reported $31.42
37CCRDCORECARD CORPORATION0.75%-515,000$13.86MNo quoteNo quote
38LBRDALIBERTY BROADBAND CORP0.48%Reduce -6.3%1.067:1 split140,000$8.87M$63.3352w: $57.35 - $95.95; reported $63.33
39MELIMERCADOLIBRE INC0.47%New3,700$8.65M$2336.9452w: $1646.00 - $2645.22; reported $2336.94
40CDWCDW CORP0.31%New35,650$5.68M$159.2852w: $137.31 - $226.79; reported $159.28
41VLTOVERALTO CORP0.22%-37,500$4M$106.6152w: $83.86 - $115.00; reported $106.61
42GLIBKGCI LIBERTY INC0.20%New100,100$3.73M$37.2752w: $29.00 - $39.14; reported $37.27
43SPGIS&P GLOBAL INC0.19%-7,140$3.48M$486.7152w: $427.14 - $579.05; reported $486.71
44LINLINDE PLC0.18%-6,900$3.28M$475.0052w: $408.65 - $487.49; reported $475.00
45DEODIAGEO PLC0.15%-28,300$2.7M$95.4352w: $93.42 - $141.08; reported $95.43
46FTVFORTIVE CORP0.12%Add +2.1%46,400$2.27M$48.9952w: $45.50 - $62.79; reported $48.99
47GLIBAGCI LIBERTY INC0.06%New28,000$1.05M$37.5552w: $28.00 - $38.98; reported $37.55
48RALRALLIANT CORP-Sold0$0No quoteNo quote

Other instruments

Bonds, warrants, or non-share principal positions reported alongside the equity portfolio.

1-RWT HLDGS INCNOTE 5.750%10/0OTHER3,500,000$3.51M