13F Portfolios

MARKEL GROUP INC. — VISA INC V: Quarterly 13F Position History

MARKEL GROUP INC. has reported VISA INC (V) on 41 13F-HR filings in Pactolio's tracked window, first appearing in Q1 2016. As of Q1 2026, the position is sized at 1,004,331 shares ($303.5M market value, 2.54% of the equity book). Quarter-over-quarter share count change: + 5,046 (+0.5%) .

Quarterly 13F-HR Disclosure History Source: SEC 13F-HR filings, 41 quarter s

Quarter Shares QoQ Share Change Share Change (%) Market Value Weight Implied Price
Q1 2026 1,004,331 +5,046 +0.5% $303.5M 2.54% $302.24
Q4 2025 999,285 0 $350.5M 2.79% $350.71
Q3 2025 999,285 0 $341.1M 2.77% $341.38
Q2 2025 999,285 0 $354.8M 3.00% $355.05
Q1 2025 999,285 0 $350.2M 3.11% $350.46
Q4 2024 999,285 0 $315.8M 2.78% $316.04
Q3 2024 999,285 0 $274.8M 2.47% $274.95
Q2 2024 999,285 0 $262.3M 2.58% $262.47
Q1 2024 999,285 0 $278.9M 2.75% $279.08
Q4 2023 999,285 0 $260.2M 2.83% $260.35
Q3 2023 999,285 +10,015 +1.0% $229.8M 2.77% $230.01
Q2 2023 989,270 +24,950 +2.6% $234.9M 2.80% $237.48
Q1 2023 964,320 +1,059 +0.1% $217.4M 2.77% $225.46
Q4 2022 963,261 +482 +0.1% $200.1M 2.68% $207.76
Q3 2022 962,779 0 $171.0M 2.52% $177.65
Q2 2022 962,779 +1,674 +0.2% $189.6M 2.71% $196.89
Q1 2022 961,105 +3,065 +0.3% $213.1M 2.54% $221.77
Q4 2021 958,040 0 $207.6M 2.39% $216.71
Q3 2021 958,040 0 $213.4M 2.70% $222.75
Q2 2021 958,040 +360 +0.0% $224.0M 2.84% $233.82
Q1 2021 957,680 +940 +0.1% $202.8M 2.81% $211.73
Q4 2020 956,740 +90 +0.0% $209.3M 3.12% $218.73
Q3 2020 956,650 0 $191.3M 3.24% $199.97
Q2 2020 956,650 0 $184.8M 3.44% $193.17
Q1 2020 956,650 +1,500 +0.2% $154.1M 2.90% $161.12
Q4 2019 955,150 +5,650 +0.6% $179.5M 2.49% $187.90
Q3 2019 949,500 +11,200 +1.2% $163.3M 2.47% $172.01
Q2 2019 938,300 +6,500 +0.7% $162.8M 2.50% $173.55
Q1 2019 931,800 +6,000 +0.6% $145.5M 2.44% $156.19
Q4 2018 925,800 +1,400 +0.2% $122.2M 2.33% $131.94
Q3 2018 924,400 +4,000 +0.4% $138.7M 2.34% $150.09
Q2 2018 920,400 0 $121.9M 2.24% $132.45
Q1 2018 920,400 +6,100 +0.7% $110.1M 2.09% $119.62
Q4 2017 914,300 0 $104.2M 1.97% $114.02
Q3 2017 914,300 +10,000 +1.1% $96.2M 1.92% $105.24
Q2 2017 904,300 +13,000 +1.5% $84.8M 1.81% $93.78
Q1 2017 891,300 +9,000 +1.0% $79.2M 1.78% $88.87
Q4 2016 882,300 +11,500 +1.3% $68.8M 1.66% $78.02
Q3 2016 870,800 +9,100 +1.1% $72.0M 1.86% $82.70
Q2 2016 861,700 +7,000 +0.8% $63.9M 1.68% $74.17
Q1 2016 854,700 $65.4M 1.75% $76.48

Methodology & FAQ

How This Position History Is Sourced

Each row is one SEC Form 13F-HR filing disclosing this position. Share count, market value, and reported quarter are taken verbatim from the filing; portfolio weight is recomputed against the same filing's total reported equity book. Implied price-per-share is market value divided by shares — a quarter-end mark, not the manager's cost basis. See the full methodology document for the normalization rules.

When did MARKEL GROUP INC. first disclose a V position in 13F-HR filings?

MARKEL GROUP INC. first reported VISA INC (V) on its 13F-HR filing for the period ending 2016-03-31 (Q1 2016). The position has appeared on 41 reported quarters within Pactolio's tracked window.

What was MARKEL GROUP INC.'s most recent quarter-over-quarter share-count change in V?

Between Q4 2025 and Q1 2026, MARKEL GROUP INC. added 5,046 shares of V (+0.5%), bringing the total reported position to 1,004,331 shares at a market value of $303.5M.

Does the implied price-per-share represent MARKEL GROUP INC.'s cost basis in V?

No. The implied price-per-share column is the 13F-HR reported market value divided by reported share count on the filing date (end of quarter). It is a quarter-end mark, not a cost basis or transaction price. Use it as a sanity check on the value column, not as an indicator of the manager's entry or exit price.