Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
iShares S&P 500 Index Fund (IVV) | 376,072 | +5,892 | $197,712 |
IVV | 376,072 | +5,892 | $197,712 |
Vanguard FTSE Developed Markets ETF (VEA) | 2,883,042 | +59,002 | $144,642 |
VEA | 2,883,042 | +59,002 | $144,642 |
Nelnet Inc. | 1,206,546 | +16,820 | $114,200 |
NNI | 1,206,546 | +16,820 | $114,200 |
Microsoft Corp | 268,671 | +1,478 | $113,035 |
MSFT | 268,671 | +1,478 | $113,035 |
iShares S&P Small Cap 600 Index ETF (IJR) | 940,699 | +26,330 | $103,966 |
IJR | 940,699 | +26,330 | $103,966 |
iShares S&P Midcap 400 (IJH) | 1,481,599 | +1,191,961 | $89,992 |
IJH | 1,481,599 | +1,191,961 | $89,992 |
Apple Inc | 461,571 | -1,194 | $79,150 |
AAPL | 461,571 | -1,194 | $79,150 |
Berkshire Hathaway Inc Del Cl B New | $75,260 | ||
BRK.B | 99,009 | -2,944 | $41,635 |
BRK.A | 53 | -5 | $33,625 |
Vanguard FTSE Emerging Markets ETF (VWO) | 1,479,261 | +51,995 | $61,789 |
VWO | 1,479,261 | +51,995 | $61,789 |
iShares 0 5 Yr Inv Grd Corp Bond ETF (SLQD) | 1,011,062 | +1,747 | $49,764 |
SLQD | 1,011,062 | +1,747 | $49,764 |
Vanguard Total Bond Market ETF (BND) | 562,757 | +23,380 | $40,873 |
BND | 562,757 | +23,380 | $40,873 |
Eli Lilly & Co | 49,930 | +31 | $38,844 |
LLY | 49,930 | +31 | $38,844 |
Advanced Micro Devices Inc | 207,025 | -1,295 | $37,366 |
AMD | 207,025 | -1,295 | $37,366 |
Lowe s Companies Inc | 136,010 | -1,999 | $34,646 |
LOW | 136,010 | -1,999 | $34,646 |
JPMorgan Chase & Co. | 164,683 | -1,121 | $32,986 |
JPM | 164,683 | -1,121 | $32,986 |
Wesco International Inc | 190,199 | -560 | $32,577 |
WCC | 190,199 | -560 | $32,577 |
Broadcom Inc | 24,440 | -240 | $32,393 |
AVGO | 24,440 | -240 | $32,393 |
Exxon Mobil Corp | 270,736 | +484 | $31,470 |
XOM | 270,736 | +484 | $31,470 |
UnitedHealth Group Inc | 63,526 | -203 | $31,426 |
UNH | 63,526 | -203 | $31,426 |
PepsiCo Inc | 168,920 | +221 | $29,563 |
PEP | 168,920 | +221 | $29,563 |
Oracle Corp | 229,681 | -4,126 | $28,850 |
ORCL | 229,681 | -4,126 | $28,850 |
Walmart Inc | 473,783 | +316,259 | $28,508 |
WMT | 473,783 | +316,259 | $28,508 |
Johnson & Johnson | 161,544 | -2,252 | $25,555 |
JNJ | 161,544 | -2,252 | $25,555 |
ICON PLC | 75,620 | +2,283 | $25,405 |
ICLR | 75,620 | +2,283 | $25,405 |
CVS Health Corporation | 307,376 | -2,450 | $24,516 |
CVS | 307,376 | -2,450 | $24,516 |
Amphenol Corp Cl A | 210,814 | -2,158 | $24,317 |
APH | 210,814 | -2,158 | $24,317 |
Alphabet Inc Class A | 158,919 | -845 | $23,986 |
GOOGL | 158,919 | -845 | $23,986 |
Procter & Gamble Co | 145,396 | -417 | $23,591 |
PG | 145,396 | -417 | $23,591 |
Roper Technologies Inc | 39,874 | +1,066 | $22,363 |
ROP | 39,874 | +1,066 | $22,363 |
Alphabet Inc Class C | 144,843 | -1,747 | $22,054 |
GOOG | 144,843 | -1,747 | $22,054 |
Union Pacific Corp | 88,941 | -676 | $21,873 |
UNP | 88,941 | -676 | $21,873 |
Emerson Electric Co | 188,340 | +7,464 | $21,362 |
EMR | 188,340 | +7,464 | $21,362 |
Amazon.com Inc. | 115,934 | +5,553 | $20,912 |
AMZN | 115,934 | +5,553 | $20,912 |
Abbott Laboratories | 183,095 | -929 | $20,811 |
ABT | 183,095 | -929 | $20,811 |
McDonald s Corp | 72,232 | +86 | $20,366 |
MCD | 72,232 | +86 | $20,366 |
Texas Instruments Inc | 114,425 | -14,103 | $19,934 |
TXN | 114,425 | -14,103 | $19,934 |
Visa Inc. | 70,211 | +133 | $19,594 |
V | 70,211 | +133 | $19,594 |
Chevron Corp | 123,178 | -627 | $19,430 |
CVX | 123,178 | -627 | $19,430 |
Walt Disney Company | 154,146 | -818 | $18,861 |
DIS | 154,146 | -818 | $18,861 |
Merck & Co. Inc | 137,315 | +5,057 | $18,119 |
MRK | 137,315 | +5,057 | $18,119 |
Air Products & Chemicals Inc | 72,468 | -419 | $17,557 |
APD | 72,468 | -419 | $17,557 |
Vanguard S T Corp Bond ETF (VCSH) | 226,445 | -134 | $17,506 |
VCSH | 226,445 | -134 | $17,506 |
Vanguard Short Term Bond ETF (BSV) | 224,482 | -250 | $17,211 |
BSV | 224,482 | -250 | $17,211 |
Comcast Corp Class A | 394,551 | -1,084 | $17,104 |
CMCSA | 394,551 | -1,084 | $17,104 |
Vanguard S&P 500 ETF (VOO) | 35,579 | UNCH | $17,103 |
VOO | 35,579 | UNCH | $17,103 |
Vanguard Short Term Inflation Protected Securities ETF (VTIP) | 346,686 | -3,412 | $16,603 |
VTIP | 346,686 | -3,412 | $16,603 |
Nucor Corp | 82,314 | -500 | $16,290 |
NUE | 82,314 | -500 | $16,290 |
Stryker Corp | 45,258 | -350 | $16,196 |
SYK | 45,258 | -350 | $16,196 |
Abbvie Inc | 88,867 | +308 | $16,183 |
ABBV | 88,867 | +308 | $16,183 |
New Linde PLC | 34,590 | -416 | $16,061 |
LIN | 34,590 | -416 | $16,061 |
See Full List: All Stocks Held By Farmers & Merchants Investments Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Farmers & Merchants Investments Inc.
Size ($ in 1000's)
At 03/31/2024: $2,960,564 At 12/31/2023: $2,740,742 Combined Holding Report Includes:
Farmers & Merchants Investments Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Farmers & Merchants Investments Inc. 13F filings. Link to 13F filings: SEC filings |