FARMERS & MERCHANTS INVESTMENTS INC Q3 2021 Filing

Filed October 21, 2021

Portfolio Value

$2.4B

Holdings

1,005

Report Date

Q3 2021

Filing Type

13F-HR

All Holdings (1,005 positions)

StockValue
KEYKeycorp
$11K
NKLANikola Corp
$11K
WF2Wintrust Financial Corp
$11K
EXPEExpedia Group Inc.
$11K
ERICEricsson ADR
$11K
ENREnergizer Holdings Inc
$11K
FEFirstenergy Corp Common
$11K
OTXOpen Text Corp
$11K
BLMNBloomin' Brands Inc
$11K
NDAQNASDAQ, Inc.
$11K
GTESGates Industrial Corp PLC
$11K
RPDRapid7 Inc
$11K
EIXEdison Intl Common
$11K
WMSAdvanced Drainage Systems Inc
$11K
ONLNProshares Online Retail ETF
$11K
PKNPerkinElmer Inc
$11K
SMPLSimply Good Foods Co
$11K
VISNCommScope Holding Company Inc
$10K
MTZMastec INC CORP COMMON
$10K
ABCBAmeris Bancorp
$10K
LVLNSPDR S&P Pharmaceuticals ETF
$10K
HMCHonda Motor Co Ltd ADR
$10K
JEFJefferies Financial Group Inc
$10K
DREUSDDuke Realty Corporation
$10K
PWRQuanta Services Inc
$10K
W3UWestern Union
$10K
EXASExact Sciences Corp
$10K
TXTTextron Inc
$10K
MCKMcKesson Corp Common
$10K
INCYIncyte Pharmaceuticals, Inc.
$10K
HOLXHologic, Inc.
$10K
VALEVale S.A.
$10K
EQNREquinor ASA Spon - ADR
$10K
XNEAXNuveen Amt-free Quality Muni Income Fund Common
$10K
BRBroadridge Financial Solutions, Inc
$10K
MTBM&T Bank Corporation
$10K
HUBGHub Group Inc
$10K
MUBiShares National Muni Bond Cl E
$10K
KBIAKB Financial Group Inc- ADR
$10K
NEONeogenomics Inc
$10K
PRIPrimerica Inc
$10K
HOMBHome Bancshares Inc
$10K
ELFe.l.f. Beauty, Inc.
$10K
DXCDXC Technology Co
$10K
AVYAvery Dennison Corp
$10K
BKRBaker Hughes Company
$9K
RCLRoyal Caribbean Cruises Ltd Group
$9K
SNYSanofi ADR
$9K
VEUVanguard FTSE All-World Ex-US Index Fund
$9K
STLDSteel Dynamics Common
$9K
PAHUSDElement Solutions Inc
$9K
EMBiShares JP Morgan USD Emerging Markets Bond Fund
$9K
FANGDiamondback Energy Inc.
$9K
DOCHealthPeak Properties Inc
$9K
SAPSap Se ADR Rep 1 CORP COMMON
$9K
COWNEURCowen Inc
$9K
TYLTyler Technologies Inc
$9K
IDV*iShares Dow Jones EPAC Select Dividend Index Fund
$9K
CCLCarnival Corp new
$9K
NTBBank of N.T. Butterfield & Son
$9K
CINFCincinnati Financial Corp
$9K
AWGAsbury Automotive Group Inc
$9K
CMSCMS Energy Corp
$9K
STSensata Technologies Holding PLC
$9K
HRLHormel Foods Common
$9K
BANDBandwidth Inc Class A
$9K
LKQ1LKQ Corporation
$8K
AWNAdvance Auto Parts Inc.
$8K
UDRUDR Inc
$8K
DVADavita Inc
$8K
PNRPentair PLC
$8K
AESAES Corp
$8K
BF/BBrown Forman Corp Cl B
$8K
KIMKimco Realty Common
$8K
CONECyrusOne Inc
$8K
MKTXMarketAxess Holdings Inc
$8K
GENNorton Lifelock Inc
$8K
UALUnited Airlines Holdings Inc
$8K
ABMDEURABIOMED, Inc
$8K
7SUSummit Materials Inc Class A
$8K
CTXSEURCitrix Systems, Inc.
$8K
BKEBuckle Inc
$8K
ITUBItau Unibanco Holding ADR
$8K
BBWIBath & Body Works Inc
$8K
CLFCleveland-Cliffs Inc
$8K
AUPHAurinia Pharmaceuticals Inc
$8K
AVNTAvient Corp
$8K
NZFNuveen Municipal Credit Income Fund
$8K
WHWyndham Hotels & Resorts Inc
$8K
THGHanover Insurance Group Inc
$8K
ALLEAllegion Public Limited Company
$7K
HWMHowmet Aerospace Inc-WI
$7K
DRHDiamondRock Hospitality Company
$7K
PKGPackaging Corp of America
$7K
CITUSDCIT Group Inc.
$7K
MOSMosaic Co.
$7K
NBIXNeurocrine Biosciences Inc
$7K
CBOECBOE Global Markets Inc
$7K
VDCVanguard Consumer Staples ETF
$7K
SNNSmith & Nephew PLC-Spons ADR
$7K
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