Findlay Park Partners Llp Portfolio Stock Holdings

According to the SEC 13F filed on August 12, 2026, Findlay Park Partners Llp disclosed 48 stock positions valued at approximately $7.41B as of quarter-end June 30, 2026. The largest holdings include TELEDYNE TECHNOLOGIES INC, ITT INC, and API GROUP CORP.

Report Period
June 30, 2026
No. of Stocks
48
Portfolio Value
$7.41B
Holdings by Sector
Findlay Park Partners Llp Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
TELEDYNE TECHNOLOGIES INCTDYTechnology3.74%415,899+21,560+5.47%$277,363,043
ITT INCITTIndustrials3.73%1,397,628-14,600-1.03%$276,394,913
API GROUP CORPAPGIndustrials3.73%6,522,698+541,000+9.04%$276,236,260
CRH PLCCRHOther3.56%2,465,011+273,400+12.47%$263,756,177
XPO INCXPOIndustrials3.19%1,150,100-38,900-3.27%$236,104,029
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services3.17%468,716-15,920-3.28%$234,540,799
WOODWARD INCWWDIndustrials3.13%545,220+93,420+20.68%$231,958,397
CANADIAN NATL RY COCNIIndustrials2.94%1,826,068-61,900-3.28%$217,740,348
WASTE CONNECTIONS INCWCNIndustrials2.89%1,285,809+528,513+69.79%$214,331,502
WEST PHARMACEUTICAL SVSC INCWSTHealthcare2.89%596,646-20,120-3.26%$214,195,914
APPLIED MATLS INCAMATTechnology2.71%277,860+121,060+77.21%$200,892,780
KLA CORPKLACTechnology2.66%653,850+600,188+1118.46%$197,273,084
LIVE NATION ENTERTAINMENT INLYVCommunication Services2.64%1,069,200+43,700+4.26%$195,781,212
TEXAS INSTRS INCTXNTechnology2.61%649,431-533,700-45.11%$193,575,898
CANADIAN PACIFIC KANSAS CITYCPIndustrials2.61%2,233,296-75,800-3.28%$193,515,098
LIBERTY MEDIA CORP DELFWONKCommunication Services2.56%1,989,657+76,600+4.00%$189,295,967
UNITED RENTALS INCURIIndustrials2.43%158,948-26,540-14.31%$180,070,600
ENTEGRIS INCENTGTechnology2.35%969,700+329,100+51.37%$174,410,242
AGILENT TECHNOLOGIES INCAHealthcare2.35%1,312,063-44,500-3.28%$174,281,328
EOG RES INCEOGEnergy2.33%1,329,709-445,200-25.08%$172,503,149
WATERS CORPWATHealthcare2.29%451,925-15,320-3.28%$169,489,952
MASTERCARD INCORPORATEDMAFinancial Services2.13%307,650+36,240+13.35%$158,009,040
KEYSIGHT TECHNOLOGIES INCKEYSTechnology2.12%448,872-289,780-39.23%$157,136,621
STANDARDAERO INCSAROIndustrials2.03%5,032,523+948,082+23.21%$150,522,763
FERGUSON ENTERPRISES INCFERGIndustrials1.98%618,810+122,100+24.58%$146,862,177
MICROSOFT CORPMSFTTechnology1.95%386,430-13,120-3.28%$144,146,119
BECTON DICKINSON & COBDXHealthcare1.94%951,200-32,300-3.28%$143,945,096
CISCO SYS INCCSCOTechnology1.91%1,207,200+1,207,200+100.00%$141,797,712
STERIS PLCSTEHealthcare1.87%657,713-17,042-2.53%$138,494,626
S&P GLOBAL INCSPGIFinancial Services1.72%312,640-10,600-3.28%$127,325,766
Showing 30 of 48 holdings in the latest reporting period.