FARMERS & MERCHANTS INVESTMENTS INC Q1 2017 Filing

Filed April 18, 2017

Portfolio Value

$1.1B

Holdings

741

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (741 positions)

StockValue
RHCRH Plc ADR
$9K
XLVHealth Care Select Sector SPDR Fund
$9K
INFOIHS Markit LTD
$9K
MXIMMaxim Integrated Products Inc.
$9K
PowerShares Insured National municipal Bond Portfolio
$9K
SCHDSchwab US Dividend Equity ETF
$9K
CSFLUSDCenterstate Bank of Florida
$9K
VACMarriott Vacations Worldwide Corp
$9K
STSensata Techologies Holding
$9K
LIESUN Life Financial Inc
$9K
MOSMosaic Co.
$9K
CRMSalesforce.com, Inc
$9K
FRMEFirst Merchants Corp
$9K
RMRRMR Group Inc
$9K
GGALGrupo Fin Santander
$9K
AEISAdvanced Energy Inds Inc Common
$8K
CPKChesapeake Utilities Corporation
$8K
Ferro Corporation
$8K
RIORio Tinto plc - Spons ADR
$8K
NOCNorthrop Grumman Corp
$8K
XLFICEF Select Sector SPDR Fund
$8K
SRCLStericycle Inc.
$8K
TEVATeva Pharmaceutical Industries Ltd.
$8K
WEAWestern Alliance Bancorp
$8K
MKSIMKS Instruments Inc
$8K
Neenah Paper Inc
$8K
WYNEURWyndham Worldwide Corp Common
$8K
Arris Intl Ltd
$8K
Gigamon Inc
$8K
AVBAvalonbay Communities Inc.
$8K
COHREURCoherent, Inc.
$8K
LBEURL Brands Inc
$8K
SFStifel Financial Corp
$8K
PolyOne Corp
$8K
IEPICAHN Enterprises LP
$8K
NTTYYNippon Teleg & Tel Corp Sponsored Adr
$8K
COR1EURCoresite Reality Corp
$7K
BioTelemetry Inc
$7K
CENTCentral Garden & Pet Co
$7K
LTCLTC Properties Inc
$7K
LDOSLeidos Holdings Inc.
$7K
MGAMagna International, Inc.
$7K
CIENCiena Corp
$7K
MNRUSDMonmouth Real Estate Investment Corp
$7K
Natus Medical Inc
$7K
PGRProgressive Corp,Ohio Common
$7K
HOLIHollysys Automation Technologies Ltd
$7K
LMEURLegg Mason Inc Common
$7K
ATSG*Air Transport Services Group
$7K
TNETTrinet Group Inc
$7K
2362120DSinclair Broadcast Group Inc
$7K
ADIAnalog Devices, Inc.
$7K
INTUIntuit Corp Common
$7K
INNSummit Hotel PPTYS Inc
$7K
Lydall Inc
$7K
APOGApogee Enterprises, Inc.
$7K
CXCemex S.A.B. DE C.V.
$7K
ASGNOn Assignment, Inc.
$7K
SPGIS&P Global Inc.
$7K
ETDEthan Allen Interiors Inc Common
$7K
ICEIntercontinental Exchange, Inc
$7K
VIABViacom Inc Cl B New
$7K
FNFabrinet
$7K
ORLYO'Reilly Automotive, Inc. New
$7K
SUPNSupernus Pharmaceuticals Inc
$7K
MUMicron Technology
$7K
COLMColumbia Sportswear Co
$7K
AHHArmada Hoffler Properties Inc
$7K
PATKPatrick Industries Inc
$7K
Oclaro Inc. New
$7K
ATVIEURActivision Blizzard, Inc.
$7K
MASMasco Corp
$7K
MTNVail Resorts Inc Common
$7K
MANHManhattan Associates Inc
$7K
HSTHost Hotels & Resorts
$6K
Sucampo Pharmaceuticals Cl A
$6K
IVZInvesco PLC New
$6K
LGNDLigand Pharmaceuticals Inc
$6K
VIPSVipshop Holdings Ltd ADR
$6K
HCQAMN Healthcare Services Inc
$6K
STNStantec Inc
$6K
CPE3EURCallon Pete Co Del Common
$6K
MFCManulife Financial Corp
$6K
Synchronoss Technologies Inc
$6K
3M4Masimo Corp
$6K
VRSNVeriSign, Inc.
$6K
CHKPCheck Point Software Technologies Lt d
$6K
HANHawaiian Holdings Inc
$6K
UGIUGI Corporation
$6K
JT5Mueller Water Products, Inc.
$6K
Halyard Health Inc
$6K
DYDycom Industries Inc.
$6K
WNSNWNS Holdings Ltd ADR
$6K
LQDiShares IBoxx Investment Grade Corp Bond Fund
$6K
FIXComfort Systems USA Inc
$6K
Blue Buffalo Pet Products Inc
$6K
EQREquity Residential
$6K
KIMKimco Realty Common
$6K
AVTAvnet Inc
$6K
BSFAANI Pharmaceuticals Inc
$6K
PreviousPage 6 of 8Next