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MAR - Marriott International

This page shows which of the focused investors we track hold MAR and how their positions changed, so you can see how much conviction the group has in the stock.

In Q1 2020 it was held by 7 managers with an aggregate reported value of $279.6M, which is 0.04% of the combined portfolio.

As of Q1 2020, 7 tracked institutional managers held MAR (Marriott International) with an aggregate reported value of $279.6M0.04% of the combined AlphaBaseline portfolio.

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Source
Curated SEC 13F filings
Period
Q1 2020
Ticker
MAR

13F data is delayed and excludes shorts/non-13F assets.

Holders

1Thomas Gayner - Markel Asset Management2.24%Add +0.5%1,592,769$119.16M
2AKO Capital - AKO Capital2.30%New1,458,967$109.15M
3First Pacific Advisors - First Pacific Advisors0.53%Add +18458.6%501,083$37.49M
4Terry Smith - Fundsmith0.07%Add +0.6%172,847$12.93M
5Chuck Akre - Akre Capital Management0.01%New7,500$561K
6Glenn Greenberg - Brave Warrior Advisors0.01%New2,897$217K
7Vulcan Value Partners - Vulcan Value Partners0.00%Reduce -100.0%1,344$101K
Loading holder history for MAR