MOUNTAIN PACIFIC INVESTMENT ADVISERS LLC

CIK: 0001067324SEC EDGAR →

Portfolio Value

$567K

Holdings

144

As of

Q4 2025

New Positions

144

Closed Positions

0

Top 10 Holdings

RankStockSharesValue% of Portfolio
1

AMPHENOL CORP NEW

412,730$56K
9.83%
2

AMETEK INC

187,596$39K
6.79%
3

DANAHER CORPORATION

129,008$30K
5.21%
4

IDEX CORP

120,375$21K
3.78%
5

GALLAGHER ARTHUR J & CO

73,731$19K
3.36%
6

ROPER TECHNOLOGIES INC

41,399$18K
3.25%
7

XYLEM INC

134,881$18K
3.24%
8

FISERV INC

251,817$17K
2.98%
9

APTARGROUP INC

134,345$16K
2.89%
10

DONALDSON INC

184,154$16K
2.88%

Quarterly Changes

Top Buys

APHNEW
$56K
AMENEW
$39K
DHRNEW
$30K
IEXNEW
$21K
AJGNEW
$19K

Top Sells

No sells this quarter

New Positions (144)

$56K · 413K shares
$39K · 188K shares
$30K · 129K shares
$21K · 120K shares
$19K · 74K shares
$18K · 41K shares
$18K · 135K shares
$17K · 252K shares
$16K · 134K shares
$16K · 184K shares
$15K · 93K shares
$14K · 62K shares
$13K · 155K shares
$12K · 157K shares
$10K · 153K shares
$10K · 41K shares
$9K · 90K shares
$9K · 86K shares
$9K · 33K shares
$8K · 58K shares
$8K · 18K shares
$8K · 195K shares
$7K · 91K shares
$7K · 30K shares
$7K · 22K shares
$7K · 83K shares
$6K · 12K shares
$6K · 105K shares
$6K · 24K shares
$5K · 55K shares
$5K · 18K shares
$5K · 29K shares
$4K · 37K shares
$4K · 23K shares
$4K · 15K shares
$4K · 17K shares
$4K · 69K shares
$4K · 35K shares
$4K · 21K shares
$4K · 16K shares
$3K · 12K shares
$3K · 13K shares
$3K · 11K shares
$3K · 13K shares
$3K · 8K shares
$3K · 25K shares
$3K · 15K shares
$3K · 41K shares
$3K · 78K shares
$2K · 42K shares
$2K · 21K shares
$2K · 9K shares
$2K · 6K shares
$2K · 42K shares
$2K · 6K shares
$2K · 13K shares
$2K · 13K shares
$2K · 4K shares
$2K · 8K shares
$2K · 12K shares
$2K · 9K shares
$2K · 44K shares
$2K · 31K shares
$2K · 38K shares
$1K · 15K shares
$1K · 11K shares
$1K · 7K shares
$1K · 14K shares
$1K · 5K shares
$1K · 14K shares
$1K · 4K shares
$1K · 3K shares
$1K · 4K shares
$1K · 4K shares
$987 · 3K shares
$903 · 3K shares
$884 · 6K shares
$857 · 2K shares
$851 · 18K shares
$833 · 2K shares
$809 · 5K shares
$743 · 2K shares
$743 · 6K shares
$742 · 4K shares
$700 · 2K shares
$682 · 11K shares
$679 · 5K shares
$645 · 1K shares
$634 · 8K shares
$600 · 2K shares
$599 · 15K shares
$589 · 3K shares
$587 · 12K shares
$570 · 3K shares
$557 · 3K shares
$556 · 2K shares
$550 · 8K shares
$535 · 871 shares
$521 · 6K shares
$518 · 5K shares
$509 · 3K shares
$503 · 3K shares
$497 · 1K shares
$484 · 2K shares
$479 · 2K shares
$437 · 3K shares
$426 · 10K shares
$418 · 5K shares
$398 · 6K shares
$395 · 2K shares
$383 · 4K shares
$375 · 4K shares
$350 · 1K shares
$349 · 2K shares
$344 · 604 shares
$340 · 5K shares
$338 · 315 shares
$334 · 6K shares
$321 · 6K shares
$318 · 9K shares
$317 · 3K shares
$298 · 3K shares
$298 · 2K shares
$298 · 4K shares
$292 · 6K shares
$277 · 1K shares
$272 · 3K shares
$264 · 5K shares
$260 · 741 shares
$250 · 800 shares
$247 · 2K shares
$239 · 366 shares
$220 · 1K shares
$214 · 573 shares
$214 · 2K shares
$205 · 5K shares
$203 · 7K shares
$22 · 39K shares
$8 · 10K shares
$7 · 13K shares
$7 · 8K shares
$1 · 2K shares
$1 · 2 shares
$1 · 2K shares

Sector Breakdown

Sector# HoldingsValue%
Industrials44$253K44.6%
Technology16$112K19.8%
Financial Services36$84K14.8%
Healthcare19$71K12.5%
Basic Materials2$18K3.2%
Consumer Defensive7$13K2.3%
Consumer Cyclical7$7K1.2%
Energy4$6K1.0%
Unknown5$3K0.5%
Communication Services3$1K0.2%
Utilities1$2390.0%