FARMERS & MERCHANTS INVESTMENTS INC Q1 2018 Filing

Filed April 17, 2018

Portfolio Value

$1.3B

Holdings

840

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (840 positions)

StockValue
IFFInternational Flavors & Fragrances Inc
$5K
CBOECBOE Global Markets Inc
$5K
ZIONZions Bancorp Common
$5K
SJMSmucker J M Co com new
$5K
W3UWestern Union
$5K
LBEURL Brands Inc
$5K
HPTUSDHospitality Properties Trust Common Sh Ben Int
$5K
INCYIncyte Pharmaceuticals, Inc.
$5K
TLTiShares Barclays 20 Year Treasury Bond Fund
$5K
SNAPSnap Inc - A
$5K
MASMasco Corp
$5K
AKAMAkamai Technologies
$5K
IQVIQVIA Holdings Inc
$5K
VENVentas Inc
$5K
NBL2EURNoble Energy Inc
$5K
Powershares Preferred Portfolio
$5K
PKNPerkinElmer Inc
$4K
REEverest Re Group, Ltd.
$4K
ULTAUlta Beauty Inc
$4K
CTRACabot Oil & Gas Corp COMMON
$4K
KSSKohls Corp Kohl's COMMON
$4K
AWNAdvance Auto Parts Inc.
$4K
TIFEURTiffany & CO CORP COMMON
$4K
LKQ1LKQ Corporation
$4K
ALKAlaska Air Group, Inc.
$4K
NDAQNASDAQ, Inc.
$4K
CDNSCadence Design Systems INC CORP COMMON
$4K
WHRWhirlpool Corp COMMON
$4K
ITGartner Inc common
$4K
RJFRaymond James Financial Inc
$4K
CNPCenterpoint Energy Inc
$4K
EWZiShares MSCI Brazil Index Fund
$4K
CFCF Industries Holdings Inc
$4K
CMGChipotle Mexican Grill
$4K
CTRPUSDCtrip Common Intl Ltd Ads
$4K
ARNCCHFAronic Inc
$4K
BENFranklin Resources Inc
$4K
COHREURCoherent, Inc.
$4K
BKRBaker Hughes A GE Co
$4K
HRLHormel Foods Common
$4K
QRTEALiberty Interactive Corp Q-A
$4K
LENLennar Corp
$4K
AMGAffliated Managers
$4K
XL Group Ltd
$4K
PKGPackaging Corp of America
$4K
HOLXHologic, Inc.
$4K
IEIiShares Barclays 3-7 Year Treasury Bond Fund
$4K
BWABorgwarner INC CORP COMMON
$4K
BATRKUSDLiberty Media Corp-Braves C
$4K
AOSA.O. Smith Corp
$4K
CLSCA, Inc
$4K
PCYUSDPowerShares Emerging Markets Sovereign Debt Portfolio
$4K
HIIHuntington Ingalls Industries
$4K
Vonage Holdings Corp
$4K
CINFCincinnati Financial Corp
$4K
HASHasbro Inc
$4K
TEVATeva Pharmaceutical Industries Ltd.
$4K
FLIRFLIR Systems Inc
$4K
NINisource Inc
$3K
CPBCampbell Soup CO CORP COMMON
$3K
NCLHNorwegian Cruise Line Holdings Ltd
$3K
CMSCMS Energy Corp
$3K
SEESealed Air
$3K
FDO.FMacy's Inc
$3K
CSRA Inc
$3K
StoneMor Partners L.P.
$3K
RHIRobert Half Intl Common
$3K
GTGoodyear Tire Rubber Co
$3K
XRXCHFXerox Corp
$3K
EXRExtra Space Storage Inc
$3K
SLG2EURSL Green Realty Corp
$3K
KIESPDR S&P Insurance ETF
$3K
TRIPTripAdvisor Inc.
$3K
PNWPinnacle West Capital Common
$3K
CHKEURChesapeake Energy
$3K
UDRUDR Inc
$3K
GRMNGarmin Ltd
$3K
PHMPulteGroup Inc.
$3K
XECEURCimarex Energy Co.
$3K
ALLEAllegion Public Limited Company
$3K
EDIVSPDR S&P Emerging Markets Dividend
$3K
DREUSDDuke Realty Corporation
$3K
California Resources Corp
$3K
EQTEQT Corp
$3K
Leucadia Natl Corp
$3K
DISCKUSDDiscovery Communications Class C
$3K
PSECProspect Capital Corp
$3K
HOGHarley Davidson Inc
$3K
TMKTorchmark Corp
$3K
IPGThe Interpublic Group of Companies, Inc.
$3K
AVYAvery Dennison Corp
$3K
PWRQuanta Services Inc
$3K
GGP Inc
$3K
AMDAdvanced Micro Devices Inc
$3K
NLSNNielsen Holdings PLC
$3K
LEGLeggett & Platt
$3K
FLRFluor Corporation (New)
$3K
VNOVornado Realty Trust
$3K
HPHelmerich & Payne Inc
$3K
XLBMaterials Select Sector Index
$3K
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