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Latest FENIMORE ASSET MANAGEMENT INC Stock Portfolio

$4.31Billion

Equity Portfolio Value
Last Reported on: 23 Jan, 2024

About FENIMORE ASSET MANAGEMENT INC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, FENIMORE ASSET MANAGEMENT INC reported an equity portfolio of $4.3 Billions as of 31 Dec, 2023.

The top stock holdings of FENIMORE ASSET MANAGEMENT INC are CDW, ROST, BRO. The fund has invested 6.7% of it's portfolio in CDW CORPORATION and 5.3% of portfolio in ROSS STORES, INC.

The fund managers got completely rid off CARRIAGE SERVICES INC. (CSV), MERCK & CO INC NEW (MRK) and HOSTESS BRANDS INC. (TWNK) stocks. They significantly reduced their stock positions in GENPACT (G), EXXON MOBIL CORPORATION (XOM) and THE HANOVER GROUP (THG). FENIMORE ASSET MANAGEMENT INC opened new stock positions in AGILENT TECHNOLOGIES INC (A), MARTIN MARIETTA MAT (MLM) and DUTCH BROTHERS INC CL A (BROS). The fund showed a lot of confidence in some stocks as they added substantially to VERISK ANALYTICS INC. (VRSK), MCCORMICK & COMPANY (MKC) and EXPONENT, INC. (EXPO).

New Buys

Ticker$ Bought
AGILENT TECHNOLOGIES INC23,666,400
MARTIN MARIETTA MAT23,468,200
DUTCH BROTHERS INC CL A13,610,400
AMERICAN EXPRESS COMPANY207,011

New stocks bought by FENIMORE ASSET MANAGEMENT INC

Additions

Ticker% Inc.
VERISK ANALYTICS INC.421
MCCORMICK & COMPANY369
EXPONENT, INC.62.77
WATERS CORPORATION22.43
BOSTON OMAHA CORPORATION17.85
SITEONE LANDSCAPE SUPPLY INC.13.94
STERIS PLC13.08
COLLIERS INTERNATIONAL GROUP I12.24

Additions to existing portfolio by FENIMORE ASSET MANAGEMENT INC

Reductions

Ticker% Reduced
GENPACT-92.09
EXXON MOBIL CORPORATION-80.95
THE HANOVER GROUP-79.58
AIR PRODUCTS & CHEMICALS, INC.-60.46
INTERNATIONAL BUSINESS MACHINE-38.59
MICROSOFT CORP-37.95
APPLE, INC.-16.51
T ROWE PRICE GROUP, INC.-13.87

FENIMORE ASSET MANAGEMENT INC reduced stake in above stock

FENIMORE ASSET MANAGEMENT INC got rid off the above stocks

Current Stock Holdings of FENIMORE ASSET MANAGEMENT INC

Last Reported on: 23 Jan, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAGILENT TECHNOLOGIES INC0.55170,22523,666,400NEW
AAPLAPPLE, INC.0.0613,4812,595,500REDUCED-16.51
ABBVABBVIE, INC.0.037,5101,163,820REDUCED-0.11
ADIANALOG DEVICES INC2.15467,49392,825,400REDUCED-0.09
AGGISHARES CORE S&P 500 ETF0.011,200573,156UNCHANGED0.00
AJGARTHUR J. GALLAGHER & CO.2.22424,83095,535,800REDUCED-2.28
AMGNAMGEN INCORPORATED0.000.000.00SOLD OFF-100
APDAIR PRODUCTS & CHEMICALS, INC.1.18185,53050,798,000REDUCED-60.46
APHAMPHENOL CORP.2.671,160,440115,035,000REDUCED-0.19
AVYAVERY DENNISON CORP0.88187,28537,861,500REDUCED-3.98
AXPAMERICAN EXPRESS COMPANY0.001,105207,011NEW
AZOAUTOZONE, INC.2.0434,02687,978,000REDUCED-0.61
BKNGBOOKING HOLDINGS INC.1.6620,19371,629,000REDUCED-0.51
BOCBOSTON OMAHA CORPORATION0.30812,79912,785,300ADDED17.85
BRBROADRIDGE FINANCIAL SOLUTIONS1.42298,06261,326,300REDUCED-0.48
BRKABERKSHIRE HATHAWAY INC. A1.3610858,603,500UNCHANGED0.00
BRKABERKSHIRE HATHAWAY INC. B0.2125,7489,183,280REDUCED-1.31
BROBROWN & BROWN, INC.3.992,418,210171,959,000REDUCED-0.5
BROSDUTCH BROTHERS INC CL A0.32429,75813,610,400NEW
CASSCASS INFORMATION SYSTEMS INC.0.35335,30715,105,600ADDED0.12
CBZCBIZ, INC.0.76525,83932,912,300REDUCED-1.36
CDWCDW CORPORATION6.661,262,120286,904,000REDUCED-0.9
CHECHEMED CORP0.3727,20215,906,400ADDED0.42
CHHCHOICE HOTELS INTERNATIONAL, I0.45172,30819,522,500ADDED3.35
CMICUMMINS INC0.000.000.00SOLD OFF-100
CNMDCONMED CORP0.029,1881,006,180UNCHANGED0.00
CSVCARRIAGE SERVICES INC.0.000.000.00SOLD OFF-100
CTASCINTAS CORP0.9668,95441,555,800ADDED0.39
DFHDREAM FINDERS HOMES INC.0.49592,12121,038,100REDUCED-0.36
DGDOLLAR GENERAL CORPORATION0.78245,73933,408,200REDUCED-2.45
DHILDIAMOND HILL INVESTMENT GROUP,0.001,336221,228UNCHANGED0.00
ENTGENTEGRIS, INC.1.23441,88152,946,200ADDED0.17
EOGEOG RESOURCES, INC.1.06376,52045,540,100REDUCED-0.64
EQWLPOWERSHARES DYNAMIC LARGE CAP0.0317,0001,320,900UNCHANGED0.00
ESIELEMENT SOLUTIONS INC0.33618,68614,316,400ADDED2.19
ETNEATON CORP PLC0.000.000.00SOLD OFF-100
EXLSEXLSERVICE HOLDINGS INC.1.922,686,20082,869,100ADDED0.67
EXPOEXPONENT, INC.0.35172,86815,219,300ADDED62.77
FASTFASTENAL CO2.721,809,260117,185,000REDUCED-0.37
FBHSFORTUNE BRANDS HOME & SEC INC1.12636,63248,473,200REDUCED-0.76
FELEFRANKLIN ELECTRIC CO., INC.0.32143,34513,854,300ADDED0.65
FNDFLOOR & DECOR HOLDINGS0.40152,33016,993,900REDUCED-0.76
FTDRFRONTDOOR, INC.0.28335,73211,824,500ADDED0.96
GGENPACT0.0562,8222,180,550REDUCED-92.09
GGGGRACO INC.2.131,057,51091,749,400REDUCED-0.86
HEIHEICO CORP. CLASS A1.13340,81948,546,300REDUCED-0.2
HGTYHAGERTY, INC.0.17945,2867,373,230ADDED0.81
HOMBHOME BANCSHARES, INC.0.30509,95612,917,200ADDED1.13
IBMINTERNATIONAL BUSINESS MACHINE0.012,573420,814REDUCED-38.59
IEXIDEX CORPORATION3.91775,060168,273,000ADDED0.21
ITWILLINOIS TOOL WORKS INC.2.32381,54099,940,500REDUCED-0.38
JKHYJACK HENRY & ASSOCIATES INC0.78205,09833,515,100REDUCED-0.46
KMXCARMAX, INC.1.08608,12246,667,300REDUCED-4.29
LSTRLANDSTAR SYSTEM, INC.0.4497,48118,877,200REDUCED-1.26
MCHPMICROCHIP TECHNOLOGY INCORPORA2.971,419,240127,987,000ADDED0.91
MCOMOODYS CORP0.01787307,371UNCHANGED0.00
MKCMCCORMICK & COMPANY1.10695,03147,554,000ADDED369
MKLMARKEL CORPORATION2.9188,203125,239,000REDUCED-0.6
MLMMARTIN MARIETTA MAT0.5447,03923,468,200NEW
MRKMERCK & CO INC NEW0.000.000.00SOLD OFF-100
MSCIMSCI, INC.0.01572323,552UNCHANGED0.00
MSFTMICROSOFT CORP0.011,367513,907REDUCED-37.95
NBTBNBT BANCORP INC0.0114,480606,857UNCHANGED0.00
OLLIOLLIE'S BARGAIN OUTLET HOLDING0.35201,19415,268,600ADDED0.7
PAYXPAYCHEX INC1.06382,37045,544,100ADDED3.04
PEGPUB SVC ENT GROUP INC0.000.000.00SOLD OFF-100
PFEPFIZER INCORPORATED0.000.000.00SOLD OFF-100
PGPROCTER & GAMBLE CO0.000.000.00SOLD OFF-100
PGRPROGRESSIVE CORP.2.13576,73691,862,500REDUCED-0.4
PNFPPINNACLE FINANCIAL PARTNERS, I2.171,072,55093,547,900REDUCED-1.52
POOLPOOL CORP0.9097,28838,789,700REDUCED-0.86
ROPROPER TECHNOLOGIES, INC.0.5543,25223,579,700ADDED2.68
ROSTROSS STORES, INC.5.291,646,920227,917,000REDUCED-1.48
RSGREPUBLIC SERVICES, INC.1.14298,04649,150,800REDUCED-0.45
SITESITEONE LANDSCAPE SUPPLY INC.0.43112,83118,335,000ADDED13.94
SPSCSPS COMMERCE INC.0.3986,16116,701,400ADDED0.41
SPYSPDR S&P 500 ETF TRUST0.021,477702,033UNCHANGED0.00
SSBSOUTHSTATE CORPORATION1.17597,12950,427,500REDUCED-0.88
STESTERIS PLC1.08210,74746,332,700ADDED13.08
SYKSTRYKER CORPORATION3.66526,926157,793,000REDUCED-0.15
THGTHE HANOVER GROUP0.001,700206,414REDUCED-79.58
TROWT ROWE PRICE GROUP, INC.1.14457,36649,253,700REDUCED-13.87
TTTRANE TECHNOLOGIES PLC2.93517,734126,275,000REDUCED-1.22
TWNKHOSTESS BRANDS INC.0.000.000.00SOLD OFF-100
UNPUNION PACIFIC CORP.0.011,584389,062UNCHANGED0.00
USBUS BANCORP0.0662,3692,699,330UNCHANGED0.00
VMCVULCAN MATERIALS3.50665,039150,970,000REDUCED-0.36
VOOVANGUARD GROWTH0.056,5812,045,900UNCHANGED0.00
VRSKVERISK ANALYTICS INC.0.4275,40418,011,000ADDED421
WATWATERS CORPORATION1.74227,25074,817,500ADDED22.43
WFCWELLS FARGO & CO NEW0.016,000295,320UNCHANGED0.00
WSOWATSCO, INC.0.4848,50820,784,200REDUCED-0.29
XLBSELECT SECTOR SPDR TR SBI CONS0.013,138561,106UNCHANGED0.00
XOMEXXON MOBIL CORPORATION0.013,878387,722REDUCED-80.95
ZBRAZEBRA TECHNOLOGIES A1.98312,39385,386,400REDUCED-0.73
ZTSZOETIS INC.0.012,240442,109UNCHANGED0.00
BROOKFIELD CORP2.422,599,670104,299,000REDUCED-0.22
BROOKFIELD ASSET MANAGEMENT LT0.81867,69734,855,400ADDED1.23
COLLIERS INTERNATIONAL GROUP I0.69234,83229,710,900ADDED12.24
TRISURA GROUP LTD.0.42702,26018,069,200ADDED7.31
BROOKFIELD INFRASTRUCTURE CORP0.41493,92217,425,600ADDED7.2
NOMAD FOODS LTD0.38952,35816,142,500ADDED7.14
FIRSTSERVICE CORPORATION0.3593,64115,178,300ADDED0.59
DESCARTES SYSTEMS GROUP INC.0.26135,44711,385,700ADDED0.59