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
TEXTerex Corporation
$307K
STTState Street Corp
$307K
HTLDHeartland Express Inc
$300K
ACNAccenture PLC
$299K
ZBHZimmer Biomet Holdings Inc
$297K
VBRVanguard Small-Cap Value Index ETF
$289K
WELLWelltower Inc
$287K
XYLXylem Inc
$285K
IEMGiShares Core MSCI Emerging Markets ETF
$282K
MOAltria Group Inc
$277K
OKEOneok Inc
$272K
XRAYDentsply Sirona Inc
$267K
TTENTotal S E ADR
$266K
AMTAmerican Tower Corp
$261K
GILDGilead Sciences Inc
$251K
CRNCCerence Inc - WI
$241K
MGVVanguard Mega Cap 300 Value Index ETF
$239K
ZTSZoetis Inc
$238K
TDToronto - Dominion Bank
$231K
OTTROtter Tail Common
$228K
VYMVanguard High Dividend Yield ETF
$225K
FITBFifth Third Bancorp
$214K
SWXSouthwest Gas Holdings Inc
$211K
OMCOmnicom Group Inc
$208K
YUMCYum China Holdings Inc
$206K
ETEnergy Transfer L.P.
$199K
BKUBankUnited Inc
$196K
EDConsolidated Edison
$193K
JBHTHunt (JB) Transport Services Inc
$182K
PG4Principal Financial Grp Common
$176K
VOVanguard Mid-Cap Index ETF
$173K
PNRPentair PLC
$173K
HDSUSDHD Supply Holdings Inc
$172K
SCHXSchwab U.S. Large-Cap ETF
$168K
VTVVanguard Value ETF
$165K
VUGVanguard Growth ETF
$158K
BKBank of New York Mellon Corporation
$157K
RFRegions Financial Corp
$156K
NFLXNetflix Inc.
$154K
XLKTechnology Select Sector SPDR Fund
$153K
IMCBIShares Morningstar Mid Core Index Fund
$151K
MRSHMarsh & Mclennan
$147K
FDSFactSet Research Systems Inc
$146K
LWLamb Weston Holdings Inc
$146K
JECUSDJacobs Engineering Group Inc
$145K
4I1Philip Morris International Inc
$143K
ADBEAdobe Inc
$140K
ESEversource Energy
$135K
HBANHuntington Bancshares Incorporated
$130K
TMOThermo Fisher Scientific
$130K
EEMiShares MSCI Emerging Mkts Index Fd
$126K
SBACSBA Communications Corp
$124K
WRKUSDWestrock Co
$121K
PIPRPiper Sandler Companies
$119K
NDQInvesco QQQ Trust
$117K
AJGArthur J. Gallagher & Co.
$116K
HPEHewlett Packard Enterprise Co
$116K
ADIAnalog Devices, Inc.
$116K
CNSLEURConsolidated Communications Hldgs Inc
$114K
DRIDarden Restaurants Inc
$107K
ULUnilever Plc ADR
$106K
USIGiShares Broad USD Investment Grade Corporate Bond Fund
$103K
LHXL3 Harris Technologies Inc
$102K
LUVSouthwest Airlines Co common
$101K
ABXBarrick Gold Common
$101K
FBINFortune Brands Home & Security Inc
$101K
CRMSalesforce.com, Inc
$101K
ADSKAutodesk, Inc.
$99K
TSMTaiwan Semiconductor Manufacturing Company Ltd.
$99K
BABAAlibaba Group Holding Ltd
$96K
ISRGIntuitive Surgical, Inc.
$96K
VNQVanguard Real Estate Index ETF
$94K
STZConstellation Brands Inc.
$92K
FISFidelity National Information Services, Inc
$92K
GMGeneral Motors Co
$83K
BNSBank of Nova Scotia
$83K
DEODiageo Plc ADR
$82K
CNRCanadian National Railway Company
$81K
MBIMBIA Inc
$81K
PEGPublic Svc Enterprises Common
$80K
NTRNutrien Ltd
$78K
CTVACorteva, Inc.
$76K
RWTRedwood Trust INC Reit CORP COMMON
$75K
NYCBEURNew York Community Bancorp, Inc.
$75K
TSCOTractor Supply Co
$74K
SCHASchwab U.S. Small-Cap ETF
$73K
PNCPNC Finl Svcs Group Inc
$72K
SRESempra Energy
$71K
CHDChurch & Dwight Co.
$70K
EMNEastman Chemical Common
$68K
SUSuncor Energy, Inc
$68K
PRUPrudential Financial, Inc.
$68K
AMDAdvanced Micro Devices Inc
$67K
BIVVanguard Intermediate-Term Bond ETF
$66K
ITOTiShares Core S&P Total US Stock Market ETF
$66K
CASYCasey's Genl Stores Common
$65K
NVTNVENT Electric PLC
$65K
MCXMcCormick & Co Inc Non Vtg
$64K
AMATApplied Materials Common
$64K
RSGRepublic Services INC CORP COMMON
$64K
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