Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
BECK MACK & OLIVER LLC 08-13-2019 06-30-2019 224 2,845,772,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
MICROSOFT CORP COM 1 $157,655,000 1,176,883 5.54 5.04 -18,807 -1.57
BLACKSTONE GROUP COM 2 $145,772,000 3,281,673 5.12 3,281,673 +Inf
CREDIT ACCEP CORP MICH COM COM 3 $143,089,000 295,742 5.03 4.59 11,692 4.12
ROPER TECHNOLOGIES INC COM COM 4 $129,143,000 352,599 4.54 4.37 -4,541 -1.27
ENSTAR GROUP LTD COM 5 $127,820,000 733,417 4.49 4.49 11,289 1.56
APOLLO GLOBAL MGMT LLC CL A SH COM 6 $121,083,000 3,530,125 4.25 3.62 -48,477 -1.35
BLACKSTONE GROUP L P COM UNIT COM Liquidated $0 0 4.20 4.12 -86,576 -2.52
CENTURYLINK INC COM COM 8 $93,114,000 7,917,835 3.27 2.94 1,052,428 15.33
ABBOTT LABS COM 9 $91,378,000 1,086,535 3.21 3.23 -41,918 -3.71
LAB.CP OF AMER HLDGS. COM 10 $88,826,000 513,743 3.12 2.80 1,133 0.22
WATERS CORPORATION COM 11 $81,988,000 380,916 2.88 3.49 -6,560 -1.69
MATADOR RES CO COM COM 12 $81,283,000 4,088,663 2.86 2.87 -67,613 -1.63
ALPHABET INC CAP STK CL C COM 13 $77,940,000 72,106 2.74 3.05 -634 -0.87
JPMORGAN CHASE & CO. COM 14 $70,066,000 626,710 2.46 2.28 -3,420 -0.54
ARMSTRONG WORLD INDS I COM COM 15 $65,955,000 678,547 2.32 2.00 -23,900 -3.40
WABTEC CORPORATION COM 16 $63,202,000 880,748 2.22 2.22 38,048 4.52
MARKEL CORP COM COM 17 $62,268,000 57,148 2.19 2.10 -1,778 -3.02
ENTERPRISE PRODS PARTNERS LP COM 18 $61,445,000 2,128,334 2.16 2.09 122,883 6.13
ANHEUSER BUSCH INBEV SPONSORED COM 19 $60,599,000 684,653 2.13 2.11 -18,149 -2.58
JOHNSON & JOHNSON COM 20 $50,898,000 365,437 1.79 1.85 -4,412 -1.19
BERKSHIRE HATHAW.CLB COM 21 $49,925,000 234,204 1.75 1.71 -4,394 -1.84
SHERWIN WILLIAMS CO COM COM 22 $47,985,000 104,705 1.69 1.62 -587 -0.56
ALPHABET INC CAP STK CL A COM 23 $44,609,000 41,198 1.57 1.77 -953 -2.26
QUALCOMM INC COM COM 24 $42,809,000 562,756 1.50 1.43 -137,109 -19.59
AMERICAN EXPRESS CO COM 25 $42,709,000 345,986 1.50 1.39 -9,210 -2.59
HOMEFED CORP COM 26 $42,070,000 1,095,854 1.48 1.79 -221,345 -16.80
BAXTER INTL INC COM 27 $41,015,000 500,799 1.44 1.52 -21,711 -4.16
DISCOVERY INC. SER C COM 28 $39,111,000 1,374,716 1.37 1.24 5,900 0.43
UNION PAC CORP COM 29 $38,959,000 230,374 1.37 1.40 -4,210 -1.79
BROOKFIELD ASSET MANAGEMENT-CL COM 30 $34,392,000 719,798 1.21 1.23 -15,063 -2.05
DOVER CORP COM 31 $28,490,000 284,332 1.00 1.17 -64,842 -18.57
BLACKBERRY LTD COM COM 32 $27,221,000 3,648,980 0.96 1.25 173,564 4.99
GRIFOLS S A SP ADR REP B NVT COM 33 $25,597,000 1,213,151 0.90 0.90 -33,034 -2.65
GILEAD SCIENCES INC COM 34 $24,659,000 364,990 0.87 0.86 -4,521 -1.22
ADVANCED DRAIN SYS INC COM COM 35 $24,459,000 745,942 0.86 0.67 15,517 2.12
LOWES COS INC COM COM 36 $24,192,000 239,740 0.85 0.98 -10,646 -4.25
VERIZON COMM. COM 37 $21,226,000 371,544 0.75 0.80 -8,272 -2.18
JEFFERIES FINANCIAL GROUP COM 38 $20,509,000 1,066,522 0.72 0.74 -34,288 -3.11
CRIMSON WINE GROUP LTD COM COM 39 $20,442,000 2,555,188 0.72 0.75 4,129 0.16
US BANCORP DEL COM COM 40 $19,039,000 363,341 0.67 0.63 -3,873 -1.05
MERCK & CO INC COM 41 $18,416,000 219,629 0.65 0.66 -3,350 -1.50
ENBRIDGE INC COM COM 42 $17,614,000 488,201 0.62 0.65 -10,210 -2.05
TEVA PHARMAC.IND.ADR COM 43 $16,317,000 1,767,777 0.57 2.34 -2,398,062 -57.56
SYSCO CORP COM COM 44 $16,223,000 229,398 0.57 0.57 -8,740 -3.67
WAL MART INC. COM 45 $15,922,000 144,102 0.56 0.52 -4,950 -3.32
WILLIAMS COS INC DEL COM 46 $15,308,000 545,918 0.54 0.57 -8,900 -1.60
RADNET INC COM COM 47 $14,688,000 1,065,134 0.52 0.30 376,981 54.78
DUKE ENERGY CORP NEW COM NEW COM 48 $14,605,000 165,509 0.51 0.55 -4,722 -2.77
FEDEX CORP COM 49 $14,562,000 88,691 0.51 0.59 -2,272 -2.50
EXXON MOBIL CORP COM 50 $13,136,000 171,419 0.46 0.54 -14,832 -7.96
NUTRIEN LTD COM COM 51 $11,707,000 218,994 0.41 0.42 -2,700 -1.22
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