MOUNTAIN PACIFIC INVESTMENT ADVISERS LLC
CIK: 0001067324SEC EDGAR →
Portfolio Value
$617.1M
Holdings
144
As of
Q4 2025
New Positions
144
Closed Positions
0
Portfolio Value History
Top 10 Holdings
| Rank | Stock | Shares | Value | % of Portfolio |
|---|---|---|---|---|
| 1 | AMPHENOL CORP NEW | 412,730 | $55.8M | 9.04% |
| 2 | AMETEK INC | 187,596 | $38.5M | 6.24% |
| 3 | DANAHER CORPORATION | 129,008 | $29.5M | 4.79% |
| 4 | THERMO FISHER SCIENTIFIC INC | 39,327 | $22.8M | 3.69% |
| 5 | IDEX CORP | 120,375 | $21.4M | 3.47% |
| 6 | GALLAGHER ARTHUR J & CO | 73,731 | $19.1M | 3.09% |
| 7 | ROPER TECHNOLOGIES INC | 41,399 | $18.4M | 2.99% |
| 8 | XYLEM INC | 134,881 | $18.4M | 2.98% |
| 9 | FISERV INC | 251,817 | $16.9M | 2.74% |
| 10 | APTARGROUP INC | 134,345 | $16.4M | 2.65% |
Quarterly Changes
New Positions (144)
$55.8M · 413K shares
$38.5M · 188K shares
$29.5M · 129K shares
$22.8M · 39K shares
$21.4M · 120K shares
$19.1M · 74K shares
$18.4M · 41K shares
$18.4M · 135K shares
$16.9M · 252K shares
$16.4M · 134K shares
$16.3M · 184K shares
$15.1M · 93K shares
$14.0M · 62K shares
$12.7M · 155K shares
$12.3M · 157K shares
$10.2M · 153K shares
$9.8M · 41K shares
$9.4M · 90K shares
$8.7M · 86K shares
$8.7M · 33K shares
$8.6M · 10K shares
$8.4M · 58K shares
$8.3M · 18K shares
$7.8M · 195K shares
$7.3M · 91K shares
$7.3M · 30K shares
$7.2M · 8K shares
$7.0M · 13K shares
$7.0M · 22K shares
$6.9M · 83K shares
$5.8M · 12K shares
$5.8M · 105K shares
$5.5M · 24K shares
$5.5M · 55K shares
$5.3M · 18K shares
$4.6M · 29K shares
$4.5M · 37K shares
$4.4M · 23K shares
$4.0M · 15K shares
$3.8M · 17K shares
$3.7M · 69K shares
$3.6M · 35K shares
$3.6M · 21K shares
$3.6M · 16K shares
$3.4M · 12K shares
$3.3M · 13K shares
$3.3M · 11K shares
$3.2M · 13K shares
$3.2M · 8K shares
$3.1M · 25K shares
$3.1M · 15K shares
$3.0M · 41K shares
$2.6M · 78K shares
$2.5M · 42K shares
$2.4M · 21K shares
$2.3M · 9K shares
$2.2M · 6K shares
$2.1M · 42K shares
$2.0M · 6K shares
$1.9M · 13K shares
$1.8M · 13K shares
$1.8M · 4K shares
$1.7M · 8K shares
$1.7M · 12K shares
$1.7M · 9K shares
$1.6M · 44K shares
$1.6M · 31K shares
$1.6M · 38K shares
$1.5M · 2 shares
$1.4M · 2K shares
$1.4M · 15K shares
$1.4M · 11K shares
$1.3M · 7K shares
$1.2M · 14K shares
$1.2M · 2K shares
$1.1M · 5K shares
$1.1M · 14K shares
$1.1M · 4K shares
$1.0M · 3K shares
$1.0M · 4K shares
$1.0M · 4K shares
$987K · 3K shares
$903K · 3K shares
$884K · 6K shares
$857K · 2K shares
$851K · 18K shares
$833K · 2K shares
$809K · 5K shares
$743K · 6K shares
$743K · 2K shares
$742K · 4K shares
$700K · 2K shares
$682K · 11K shares
$679K · 5K shares
$645K · 1K shares
$634K · 8K shares
$600K · 2K shares
$599K · 15K shares
$589K · 3K shares
$587K · 12K shares
$570K · 3K shares
$557K · 3K shares
$556K · 2K shares
$550K · 8K shares
$535K · 871 shares
$521K · 6K shares
$518K · 5K shares
$509K · 3K shares
$503K · 3K shares
$497K · 1K shares
$484K · 2K shares
$479K · 2K shares
$437K · 3K shares
$426K · 10K shares
$418K · 5K shares
$398K · 6K shares
$395K · 2K shares
$383K · 4K shares
$375K · 4K shares
$350K · 1K shares
$349K · 2K shares
$344K · 604 shares
$340K · 5K shares
$338K · 315 shares
$334K · 6K shares
$321K · 6K shares
$318K · 9K shares
$317K · 3K shares
$298K · 3K shares
$298K · 4K shares
$298K · 2K shares
$292K · 6K shares
$277K · 1K shares
$272K · 3K shares
$264K · 5K shares
$260K · 741 shares
$250K · 800 shares
$247K · 2K shares
$239K · 366 shares
$220K · 1K shares
$214K · 2K shares
$214K · 573 shares
$205K · 5K shares
$203K · 7K shares
Sector Breakdown
| Sector | # Holdings | Value | % |
|---|---|---|---|
| Industrials | 44 | $261.2M | 42.3% |
| Technology | 16 | $112.1M | 18.2% |
| Healthcare | 19 | $93.5M | 15.1% |
| Financial Services | 36 | $92.3M | 15.0% |
| Consumer Defensive | 7 | $21.8M | 3.5% |
| Basic Materials | 2 | $18.1M | 2.9% |
| Consumer Cyclical | 7 | $6.8M | 1.1% |
| Energy | 4 | $5.6M | 0.9% |
| Unknown | 5 | $4.2M | 0.7% |
| Communication Services | 3 | $1.2M | 0.2% |
| Utilities | 1 | $239K | 0.0% |