FARMERS & MERCHANTS INVESTMENTS INC Q3 2020 Filing

Filed October 19, 2020

Portfolio Value

$1.7B

Holdings

832

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (832 positions)

StockValue
ANETEURArista Networks Inc
$6K
WF2Wintrust Financial Corp
$6K
THGHanover Insurance Group Inc
$6K
AWNAdvance Auto Parts Inc.
$6K
PRIPrimerica Inc
$6K
KEYKeycorp
$6K
Vonage Holdings Corp
$6K
BMOBank Montreal Que
$6K
NRANRG Energy Inc
$5K
WEAWestern Alliance Bancorp
$5K
XLVHealth Care Select Sector SPDR Fund
$5K
LVLNSPDR S&P Pharmaceuticals ETF
$5K
HASHasbro Inc
$5K
WHWyndham Hotels & Resorts Inc
$5K
MOMOUSDMomo Inc-Spon ADR
$5K
BUWABio-Rad Laboratories Inc
$5K
BKRBaker Hughes Company
$5K
CPBCampbell Soup Company
$5K
MTZMastec INC CORP COMMON
$5K
GLUUGlu Mobile Inc
$5K
SNASnap-On Inc
$5K
ITUBItau Unibanco Holding ADR
$5K
INGING Groep N.V. - Spons ADR
$5K
BUDAnheuser Busch Cos Inc, New
$5K
FOXAFox Corp Cl A
$5K
PKGPackaging Corp of America
$5K
ALLEAllegion Public Limited Company
$5K
CXOEURConcho Resources Inc
$5K
CBOECBOE Global Markets Inc
$5K
TXTTextron Inc
$5K
MUBiShares National Muni Bond Cl E
$5K
UDRUDR Inc
$5K
BKIEURBlack Night Inc
$5K
NTBBank of N.T. Butterfield & Son
$5K
NTAPNetApp Inc.
$5K
AVYAvery Dennison Corp
$5K
LYVLive Nation Entertainment, Inc.
$4K
UALUnited Airlines Holdings Inc
$4K
QUREuniQure NV
$4K
AM6Amicus Therapeutics Inc
$4K
XLFICEF Select Sector SPDR Fund
$4K
AIZAssurant Inc
$4K
KIMKimco Realty Common
$4K
PNWPinnacle West Capital Common
$4K
NOKNokia Corp ADR
$4K
UGIUGI Corporation
$4K
CLBCore Laboratories NV
$4K
FFIVF5 Networks, Inc.
$4K
BWABorgwarner INC CORP COMMON
$4K
WPX Energy Inc
$4K
AOSA.O. Smith Corp
$4K
PWRQuanta Services Inc
$4K
NINisource Inc
$4K
GRA1EURW. R. Grace & Co
$4K
ROLRollins, Inc.
$4K
IRMIron Mountain Inc
$4K
HWMHowmet Aerospace Inc-WI
$4K
GLGlobe Life
$4K
REEverest Re Group, Ltd.
$4K
LKQ1LKQ Corporation
$4K
MUFGMitsubishi UFJ Financial Group Inc Spon ADR
$4K
SUISun Communities Inc. REIT
$4K
MOSMosaic Co.
$4K
CFCF Industries Holdings Inc
$4K
DISCKUSDDiscovery Communications Ser C
$4K
LBEURL Brands Inc
$4K
CTRACabot Oil & Gas Corp COMMON
$4K
EPCEdgewell Personal Care Co
$3K
CPRICapri Holdings Ltd
$3K
CFFNCapitol Federal Financial Inc
$3K
FANGDiamondback Energy Inc.
$3K
SEESealed Air
$3K
BENFranklin Resources Inc
$3K
MLRMiller Industries Inc
$3K
FLIRFLIR Systems Inc
$3K
RHIRobert Half Intl Common
$3K
IPGPIPG Photonics Corp
$3K
LNCLincoln Natl Corp
$3K
TFISPDR Nuveen Bloomberg Barclays Municipal Bond ETF
$3K
CCLCarnival Corp new
$3K
LXLexinfintech L - ADR
$3K
WHDCactus Inc-A
$3K
CMAComerica INC CORP COMMON
$3K
TAPMolson Coors Beverage Co Class B
$3K
ZIONZions Bancorp NA
$3K
ALKAlaska Air Group, Inc.
$3K
VTWOVanguard Russell 2000 Index Fund
$3K
IPGThe Interpublic Group of Companies, Inc.
$3K
LEGLeggett & Platt
$3K
FRTEURFederal Realty Investment Trust
$3K
WYNEURWyndham Destinations Inc
$3K
WORKSlack Technologies, Inc.
$3K
CAHCardinal Health Inc
$3K
MMXMaverix Metals Inc
$3K
AALAmerican Airlines Group Inc
$3K
Apartment Investment & Management Company
$3K
9990302DApache Corp
$3K
VNOVornado Realty Trust
$3K
NBL2EURNoble Energy Inc
$2K
HRBBlock H & R Inc
$2K
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