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Institutional Investment Manager
Martin Investment Management, LLC
Martin Investment Management, LLC (CIK: 0001511888) incorporated in Delaware, located at 2000 Pga Blvd, Palm Beach Gardens, FL. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Portfolio Summary: 50 holdings with a total value of $566,404,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 Allergan plc 1,205 215,000 0.04%
2 NOVO-NORDISK A S 5,545 264,000 0.05%
3 KIMBERLY CLARK CORP 4,230 455,000 0.08%
4 PRAXAIR INC 4,300 555,000 0.10%
5 Chubb Corporation 7,600 692,000 0.12%
6 CVS HEALTH CORP 9,850 784,000 0.14%
7 VERIZON COMMUNICATIONS INC 16,849 842,000 0.15%
8 SCRIPPS NETWORKS INTERACT IN 10,800 843,000 0.15%
9 ALLSTATE CORP 14,100 865,000 0.15%
10 EBAY INC 16,850 954,000 0.17%
11 COMCAST CORP NEW 19,400 1,043,000 0.18%
12 TRANSOCEAN LTD 52,784 1,688,000 0.30%
13 CHICAGO BRIDGE & IRON CO N V 30,194 1,747,000 0.31%
14 ACE LTD 22,378 2,347,000 0.41%
15 SENSATA TECHNOLOGIES HLDG NV 54,988 2,449,000 0.43%
16 NXP SEMICONDUCTORS N V 40,248 2,754,000 0.49%
17 COVIDIEN PLC 32,279 2,792,000 0.49%
18 NESTLE SA SPONSORED ADR REPSTG 73,378 5,403,000 0.95%
19 INTERNATIONAL BUSINESS MACHS 33,637 6,385,000 1.13%
20 SCHLUMBERGER LTD 71,715 7,293,000 1.29%
21 TRINITY INDS INC 156,321 7,303,000 1.29%
22 DEVON ENERGY CORP NEW 150,128 10,236,000 1.81%
23 GOOGLE INC 18,246 10,535,000 1.86%
24 ISHARES NASDAQ BIOTECHNOLOGY ETF 18,497 10,884,000 1.92%
25 ACCENTURE PLC IRELAND 135,061 10,983,000 1.94%
26 ABBOTT LABS 310,356 12,908,000 2.28%
27 VERISK ANALYTICS INC 229,778 13,991,000 2.47%
28 CHEVRON CORP NEW 121,351 14,480,000 2.56%
29 CSX CORP 472,295 15,142,000 2.67%
30 UNITED TECHNOLOGIES CORP 144,302 15,238,000 2.69%
31 EXXON MOBIL CORP 172,087 16,185,000 2.86%
32 NATIONAL OILWELL VARCO INC 214,146 16,297,000 2.88%
33 COLGATE PALMOLIVE CO 254,801 16,618,000 2.93%
34 AMERICAN EXPRESS CO 190,669 16,691,000 2.95%
35 VARIAN MED SYS INC 208,675 16,719,000 2.95%
36 PROCTER AND GAMBLE CO 206,273 17,273,000 3.05%
37 EATON VANCE CORP 458,588 17,303,000 3.05%
38 FISERV INC 272,023 17,582,000 3.10%
39 OMNICOM GROUP INC 256,688 17,676,000 3.12%
40 3M CO 124,903 17,696,000 3.12%
41 STRYKER CORP 221,828 17,913,000 3.16%
42 ORACLE CORP 474,654 18,170,000 3.21%
43 JOHNSON & JOHNSON 184,433 19,659,000 3.47%
44 HELMERICH & PAYNE INC 218,216 21,357,000 3.77%
45 THERMO FISHER SCIENTIFIC INC 179,949 21,900,000 3.87%
46 BERKSHIRE HATHAWAY INC DEL 162,968 22,512,000 3.97%
47 MASTERCARD INCORPORATED 331,351 24,493,000 4.32%
48 CELGENE CORP 274,089 25,978,000 4.59%
49 GILEAD SCIENCES INC 274,932 29,267,000 5.17%
50 APPLE INC 327,990 33,045,000 5.83%

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-14-011246, filed 2014.11.10).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.