FARMERS & MERCHANTS INVESTMENTS INC Q4 2016 Filing

Filed January 26, 2017

Portfolio Value

$1.1B

Holdings

798

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (798 positions)

StockValue
COHREURCoherent, Inc.
$7K
RMRRMR Group Inc
$7K
Rudolph Technology Inc
$7K
INFOIHS Markit LTD
$7K
ASIXAdvanSix Inc
$7K
Arris Intl Ltd
$7K
Halyard Health Inc
$7K
MTNVail Resorts Inc Common
$7K
MANHManhattan Associates Inc
$7K
Synchronoss Technologies Inc
$6K
VCA, Inc
$6K
LQDiShares IBoxx Investment Grade Corp Bond Fund
$6K
EQREquity Residential
$6K
SUPNSupernus Pharmaceuticals Inc
$6K
MFCManulife Financial Corp
$6K
Amplify Snack Brands Inc
$6K
HOLIHollysys Automation Technologies Ltd
$6K
AVTAvnet Inc
$6K
LMEURLegg Mason Inc Common
$6K
APOGApogee Enterprises, Inc.
$6K
MIDDMiddleby Corp
$6K
WABWabtec Corp
$6K
MTRXMatrix Service Company
$6K
MASMasco Corp
$6K
WNSNWNS Holdings Ltd ADR
$6K
SNNSmith & Nephew PLC-Spons ADR
$6K
Buffalo Wild Wings Inc.
$6K
ASGNOn Assignment, Inc.
$6K
The Finish Line Cl A
$6K
UGIUGI Corporation
$6K
3M4Masimo Corp
$6K
LGNDLigand Pharmaceuticals Inc
$6K
XLREReal Estate Select Sect SPDR
$6K
CHKPCheck Point Software Technologies Lt d
$6K
JT5Mueller Water Products, Inc.
$6K
FLT1EURFleetcor Technologies Inc
$6K
BSFAANI Pharmaceuticals Inc
$6K
CMGChipotle Mexican Grill
$5K
Sucampo Pharmaceuticals Cl A
$5K
SKAASkechers U.S.A. Inc.
$5K
TTMCHFTata Motors Limited - Spon ADR
$5K
VMCVulcan Materials
$5K
VRSNVeriSign, Inc.
$5K
DGDollar General Corp
$5K
Carrizo Oil & Gas, Inc.
$5K
Education Realty Trust Inc
$5K
CTSHCognizant Technology Solutions Corp
$5K
MUMicron Technology
$5K
VLRSControladora Vuela Compania de Aviacion SAB de CV ADR
$5K
TLTiShares Barclays 20 Year Treasury Bond Fund
$5K
CCThe Chemours Co
$5K
W3UWestern Union
$5K
SPGIS&P Global Inc.
$5K
LLTCLinear Technology Corp Common
$5K
EMNEastman Chemical Common
$5K
CPE3EURCallon Pete Co Del Common
$5K
KELKellogg Co
$5K
STSensata Techologies Holding
$5K
VIPSVipshop Holdings Ltd ADR
$5K
EFXEquifax Inc.
$5K
MLMMartin Marietta Materials
$5K
BXUSDThe Blackstone Group LP
$5K
ATVIEURActivision Blizzard, Inc.
$5K
EWAiShares MSCI Australia Index Fund
$4K
MCOMoodys Corp Common
$4K
IPIntl Paper Common
$4K
TAPMolson Coors Brewing Co Class B
$4K
ORANYOrange Spon ADR
$4K
ADIAnalog Devices Common
$4K
PSAPublic Storage Inc
$4K
Powershares Preferred Portfolio
$4K
PACWUSDPacwest Bancorp
$4K
CXCemex S.A.B. DE C.V.
$4K
FANGDiamondback Energy Inc.
$4K
FCPTFour Corners Property Trust
$4K
HRSEURHarris Corp Del Com
$4K
IEIiShares Barclays 3-7 Year Treasury Bond Fund
$4K
STXSeagate Technology Common, New
$4K
TXTTextron Inc
$4K
PCYUSDPowerShares Emerging Markets Sovereign Debt Portfolio
$4K
ENREnergizer Holdings Inc
$4K
FFIVF5 Networks, Inc.
$4K
FEFirstenergy Corp Common
$4K
EWHiShares MSCI Hong Kong Index Fund
$4K
CITCintas Corp
$4K
CTXSEURCitrix Systems Common
$4K
CCLCarnival Corp new
$4K
ADSKAutodesk, Inc.
$4K
ALKAlaska Air Group, Inc.
$4K
TELTE Connectivity Ltd.
$4K
KEYKeycorp
$4K
UNMUnum Group
$4K
ALXNAlexion Pharmaceuticals Inc
$4K
KMXCarmax Inc
$3K
EWUIShares MSCI United Kingdom ETF
$3K
Cabela's Inc
$3K
NEMNewmont Mining
$3K
PLDPrologis Inc
$3K
EXPEExpedia Inc.
$3K
NFLXNetflix Inc.
$3K
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