FARMERS & MERCHANTS INVESTMENTS INC Q1 2021 Filing
Filed April 14, 2021
Portfolio Value
$2.1B
Holdings
844
Report Date
Q1 2021
Filing Type
13F-HR
All Holdings (844 positions)
| Stock | Value |
|---|---|
NIJNelnet, Inc. | $108.7M |
IVViShares S&P 500 Index Fund | $102.7M |
VEAVanguard FTSE Developed Markets ETF | $98.4M |
MSFTMicrosoft Corp | $56.6M |
AAPLApple Inc | $55.6M |
IJRiShares S&P Small Cap 600 Index ETF | $50.8M |
VWOVanguard FTSE Emerging Markets ETF | $47.9M |
IJHiShares S&P Midcap 400 | $43.4M |
SLQDiShares 0-5 Yr Inv Grd Corp Bond ETF | $36.1M |
LOWLowe's Companies, Inc | $29.6M |
USBUS Bancorp | $26.5M |
BNDVanguard Total Bond Market ETF | $25.2M |
JNJJohnson & Johnson | $24.5M |
DISWalt Disney Company | $23.0M |
PYPLPaypal Holdings Inc | $22.3M |
TXNTexas Instruments Inc | $21.8M |
ABTAbbott Laboratories | $21.7M |
UNHUnitedHealth Group Inc | $21.6M |
WMTWalmart, Inc | $21.5M |
CMCSAComcast Corp Class A | $20.4M |
PEPPepsiCo Inc | $19.9M |
JPMJPMorgan Chase & Co. | $19.7M |
PGProcter & Gamble Co | $19.6M |
UNPUnion Pacific Corp | $19.1M |
CVSCVS Health Corporation | $18.1M |
MDTMedtronic PLC | $17.8M |
BRK-BBerkshire Hathaway Inc Del Cl A | $17.7M |
BRK/BBerkshire Hathaway Inc Del Cl B New | $17.6M |
BACVerizon Communications | $17.1M |
MCDMcDonald's Corp | $16.5M |
APDAir Products & Chemicals Inc | $16.4M |
EMREmerson Electric Co | $16.1M |
VVisa Inc. | $16.0M |
IWMiShares Russell 2000 Index Fund | $15.7M |
INTCIntel Corp | $15.7M |
BACBank of America Corp | $15.5M |
SBUXStarbucks Corp | $15.4M |
WCCWesco International Inc | $15.3M |
GOOGLAlphabet Inc Class A | $15.2M |
SYYSysco Corp | $15.0M |
VOOVanguard S&P 500 ETF | $14.6M |
ORCLOracle Corp | $14.6M |
HONHoneywell Intl Inc | $14.3M |
APHAmphenol Corp Cl A | $13.8M |
VTIPVanguard Short-Term Inflation -Protected Securities ETF | $13.5M |
CSCOCisco Systems Inc | $13.3M |
CVXChevron Corp | $12.6M |
DDominion Energy Inc | $12.1M |
GISGeneral Mills, Inc. | $11.7M |
DOVDover Corp | $11.7M |
ENBEnbridge Inc | $11.7M |
TFCTruist Financial Corp | $11.6M |
HDHome Depot Inc | $11.5M |
WFCWells Fargo | $11.5M |
ROSTRoss Stores Inc | $11.5M |
SYKStryker Corp | $11.4M |
FISVFiserv Inc | $10.9M |
COFCapital One Financial Common | $10.9M |
DHRDanaher Corp | $10.5M |
METMetlife Inc | $10.5M |
MDLZMondelez International Inc - A | $10.5M |
LLYLilly Eli & Co | $10.4M |
AVGOBroadcom Inc | $10.3M |
LINLinde Public Ltd Co | $10.3M |
GOOGAlphabet Inc Class C | $10.3M |
XLNXEURXilinx Inc | $10.3M |
ADPAutomatic Data Processing | $10.0M |
QCOMQualcomm Inc | $9.8M |
BKHBlack Hills Corp | $9.7M |
NKENike Inc Cl B | $9.6M |
WMWaste Management Inc | $9.5M |
GSGoldman Sachs Group Inc. | $9.5M |
PFEPfizer Inc | $9.5M |
ABBVAbbvie Inc | $9.5M |
ROPRoper Technologies Inc | $9.4M |
VCSHVanguard S/T Corp Bond ETF | $9.2M |
DUKDuke Energy Corporation | $9.2M |
ITWIllinois Tool Works Inc | $9.1M |
DELLDell Technologies Inc Cl C | $8.7M |
MRKMerck & Co., Inc | $8.6M |
MMM3M Company | $8.4M |
BSVVanguard Short-Term Bond ETF | $8.4M |
VFCVF Corp | $8.3M |
ICLRICON PLC | $8.1M |
BMYBristol Myers Squibb Co | $8.1M |
AFLAflac Inc common | $8.1M |
NUENucor Corp | $8.0M |
A4SAmeriprise Financial Inc | $7.9M |
BLKCHFBlackrock Inc | $7.9M |
ATVIEURActivision Blizzard, Inc. | $7.7M |
DYHTarget Corp | $7.7M |
ATRAptarGroup Inc | $7.6M |
XOMExxon Mobil Corp | $7.4M |
HYGiShares iBoxx H/Y Corp Bond Fund ETF | $7.3M |
AMGNAmgen Inc | $7.2M |
AEPAmerican Elec Pwr Inc | $7.1M |
BDXBecton Dickinson and Co | $7.0M |
SWKStanley Black & Decker Inc | $7.0M |
TROWT. Rowe Price Group Inc | $6.9M |
FDXFedEx Corp | $6.8M |
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