FARMERS & MERCHANTS INVESTMENTS INC Q2 2017 Filing

Filed July 21, 2017

Portfolio Value

$1.2B

Holdings

843

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (843 positions)

StockValue
SCLStepan Co
$7K
MUMicron Technology
$7K
JBLUJetblue Airways Corp
$7K
FNFabrinet
$7K
ICEIntercontinental Exchange, Inc
$7K
MFCManulife Financial Corp
$7K
AEISAdvanced Energy Inds Inc Common
$7K
BLDTopBuild Corp - W/I
$7K
MNRUSDMonmouth Real Estate Investment Corp
$7K
MBTGBPMobile Telesystems ADR
$7K
SPGIS&P Global Inc.
$7K
LQDiShares IBoxx Investment Grade Corp Bond Fund
$7K
PolyOne Corp
$7K
LGNDLigand Pharmaceuticals Inc
$7K
Blue Buffalo Pet Products Inc
$7K
MKSIMKS Instruments Inc
$7K
TNETTrinet Group Inc
$7K
REGNRegeneron Pharmaceuticals
$7K
FIXComfort Systems USA Inc
$7K
LM05Liberty Media Corp Media A
$7K
2362120DSinclair Broadcast Group Inc
$7K
TTEKTetra Tech Inc
$7K
HZN1USDHorizon Global Corp
$6K
3M4Masimo Corp
$6K
BSFAANI Pharmaceuticals Inc
$6K
Sucampo Pharmaceuticals Cl A
$6K
EAElectronic Arts Inc
$6K
LNCLincoln Natl Corp
$6K
Ferro Corporation
$6K
CENTCentral Garden & Pet Co
$6K
IVZInvesco PLC New
$6K
PBVPresitage Brands Holdings Inc
$6K
UGIUGI Corporation
$6K
HCQAMN Healthcare Services Inc
$6K
STNStantec Inc
$6K
ETNEaton Corp PLC
$6K
ADIAnalog Devices, Inc.
$6K
ITUBItau Unibanco Holding ADR
$6K
NLYEURAnnaly Mortgage Management Inc.
$6K
MUFGMitsubishi UFJ Financial Group ADR
$6K
IRIngersoll-Rand PLC
$6K
KLICKulicke & Soffa Industries
$6K
DYDycom Industries Inc.
$6K
HANHawaiian Holdings Inc
$6K
CHKPCheck Point Software Technologies Lt d
$6K
HSTHost Hotels & Resorts
$5K
TELTE Connectivity Ltd.
$5K
WDCWestern Digital Corp
$5K
SHWSherwin-Williams Co
$5K
TTMCHFTata Motors Limited - Spon ADR
$5K
HOLIHollysys Automation Technologies Ltd
$5K
KSSKohls Corp Common
$5K
DFSEURDiscover Financial Services
$5K
AVTAvnet Inc
$5K
CCLCarnival Corp new
$5K
KIMKimco Realty Common
$5K
VRTXVertex Pharmaceuticals Inc
$5K
Michael Kors Holdings Limited
$5K
EFXEquifax Inc.
$5K
DGDollar General Corp
$5K
MCOMoodys Corp Common
$5K
EIXEdison Intl Common
$5K
RTN1USDRaytheon Co, New
$5K
RESEnergy Equipment & Services
$5K
2L9Blueprint Medicines Corp
$5K
VMCVulcan Materials
$5K
SNAPSnap Inc - A
$5K
ALXNAlexion Pharmaceuticals Inc
$5K
CPE3EURCallon Pete Co Del Common
$5K
NBL2EURNoble Energy Inc
$5K
Powershares Preferred Portfolio
$5K
PCYUSDPowerShares Emerging Markets Sovereign Debt Portfolio
$5K
ADSKAutodesk, Inc.
$5K
Halyard Health Inc
$5K
CITCintas Corp
$4K
CTXSEURCitrix Systems, Inc.
$4K
VIPSVipshop Holdings Ltd ADR
$4K
ALKAlaska Air Group, Inc.
$4K
PLDPrologis Inc
$4K
QRTEALiberty Interactive Corp Q-A
$4K
ASIXAdvanSix Inc
$4K
BATRKUSDLiberty Media Corp-Braves C
$4K
CRTOCriteo SA - Spon ADR
$4K
STTState Street Corp
$4K
UNMUnum Group
$4K
HRSEURHarris Corp Del Com
$4K
MXIMMaxim Integrated Products Inc.
$4K
MNSTMonster Beverage Corp
$4K
EXPEExpedia Inc.
$4K
KELKellogg Co
$4K
INCYIncyte Pharmaceuticals, Inc.
$4K
VENVentas Inc
$4K
BKRBaker Hughes Inc
$4K
PSAPublic Storage Inc
$4K
STXSeagate Technology Common, New
$4K
TXTTextron Inc
$4K
LRCXEURLAM Research Corp common
$4K
W3UWestern Union
$4K
IEIiShares Barclays 3-7 Year Treasury Bond Fund
$4K
QRVOQorvo Inc
$4K
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