HoldingsChannel.com
Fiduciary Management Inc. WI Top Holdings
As of  12/31/2023, below is a summary of the Fiduciary Management Inc. WI top holdings by largest position size, as per the latest 13f filing made by Fiduciary Management Inc. WI. In the Fiduciary Management Inc. WI-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Fiduciary Management Inc. WI in that top holding, then the share count change between reporting periods, and finally the Fiduciary Management Inc. WI top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Booking Holdings Inc 139,259 -2,860 $493,982
     BKNG139,259-2,860$493,982
Carlisle Cos. Inc. 1,315,016 -23,690 $410,850
     CSL1,315,016-23,690$410,850
Ferguson PLC 1,865,907 -135,060 $360,251
     FERG1,865,907-135,060$360,251
Charles Schwab Corp 5,156,267 +273,319 $354,751
     SCHW5,156,267+273,319$354,751
Alphabet Inc Cl A 2,440,153 -181,715 $340,865
     GOOGL2,440,153-181,715$340,865
Micron Technology Inc 3,591,078 -252,111 $306,463
     MU3,591,078-252,111$306,463
Berkshire Hath. Cl B      $301,630
     BRK.B845,708-59,108$301,630
Sony Group Corp. 3,100,958 -200,000 $293,630
     SONY3,100,958-200,000$293,630
UnitedHealth Group 547,400 -41,377 $288,190
     UNH547,400-41,377$288,190
Avery Dennison Corp. 1,419,385 -104,789 $286,943
     AVY1,419,385-104,789$286,943
Genpact Ltd. 7,971,692 +623,794 $276,697
     G7,971,692+623,794$276,697
Masco Corp 4,079,154 -288,846 $273,222
     MAS4,079,154-288,846$273,222
Carrier Global 3,960,710 -278,746 $227,543
     CARR3,960,710-278,746$227,543
Arch Capital Group 2,996,926 -47,954 $222,582
     ACGL2,996,926-47,954$222,582
SLB 4,108,370 -78,750 $213,800
     SLB4,108,370-78,750$213,800
CarMax Inc. 2,581,533 -205,734 $198,107
     KMX2,581,533-205,734$198,107
Dollar General Corp 1,440,669 -121,394 $195,859
     DG1,440,669-121,394$195,859
Sysco Corp. 2,619,940 +1,255,908 $191,596
     SYY2,619,940+1,255,908$191,596
Dollar Tree 1,346,605 -95,487 $191,285
     DLTR1,346,605-95,487$191,285
Omnicom Group 2,102,579 -154,765 $181,894
     OMC2,102,579-154,765$181,894
Northern Trust Corp 2,145,287 -182,228 $181,019
     NTRS2,145,287-182,228$181,019
Skechers USA 2,893,529 +98,068 $180,383
     SKX2,893,529+98,068$180,383
Simpson Mfg. Co. 908,771 +27,490 $179,918
     SSD908,771+27,490$179,918
Progressive Corp. 1,090,338 -81,434 $173,669
     PGR1,090,338-81,434$173,669
Henry Schein Inc. 2,284,337 +333,855 $172,947
     HSIC2,284,337+333,855$172,947
Robert Half Inc. 1,944,057 +64,114 $170,921
     RHI1,944,057+64,114$170,921
Koninklijke Philips NV 7,214,636 -501,534 $168,317
     PHG7,214,636-501,534$168,317
BJ&apos s Wholesale Club 2,514,630 +377,019 $167,625
     BJ2,514,630+377,019$167,625
SAP 1,077,713 -431,565 $166,604
     SAP1,077,713-431,565$166,604
Beacon Roofing 1,888,614 +72,472 $164,347
     BECN1,888,614+72,472$164,347
Unilever PLC ADR 3,330,717 -235,602 $161,473
     UL3,330,717-235,602$161,473
CDW Corp 678,623 -563,656 $154,265
     CDW678,623-563,656$154,265
Fortune Brands Innov. 1,986,070 +322,472 $151,219
     FBIN1,986,070+322,472$151,219
Houlihan Lokey Inc. 1,195,597 +39,705 $143,364
     HLI1,195,597+39,705$143,364
Ryanair Holdings 1,065,800 +394,300 $142,135
     RYAAY1,065,800+394,300$142,135
Blackrock Inc. 173,455 -13,318 $140,811
     BLK173,455-13,318$140,811
Insight Enterprises 791,752 +21,501 $140,291
     NSIT791,752+21,501$140,291
Smith & Nephew PLC 4,867,016 -379,077 $132,772
     SNN4,867,016-379,077$132,772
Plexus Corp 1,226,917 +44,398 $132,667
     PLXS1,226,917+44,398$132,667
Interpublic Group 3,797,972 +153,857 $123,966
     IPG3,797,972+153,857$123,966
Coca Cola Europacific 1,785,320 +365,820 $119,152
     CCEP1,785,320+365,820$119,152
Donaldson Co. Inc. 1,819,192 +61,584 $118,884
     DCI1,819,192+61,584$118,884
Fresenius Med. Care 5,673,413 -417,637 $118,177
     FMS5,673,413-417,637$118,177
Valvoline Inc. 3,055,520 +1,083,722 $114,826
     VVV3,055,520+1,083,722$114,826
Arrow Electronics Inc. 904,363 +164,706 $110,558
     ARW904,363+164,706$110,558
nVent Electric PLC 1,772,270 +31,621 $104,723
     NVT1,772,270+31,621$104,723
FirstCash Inc. 952,864 -294,044 $103,281
     FCFS952,864-294,044$103,281
Zions Bancorporation 2,247,805 +86,165 $98,611
     ZION2,247,805+86,165$98,611
Primerica Inc. 469,389 -99,722 $96,581
     PRI469,389-99,722$96,581
Gates Industrial 7,031,944 +1,689,991 $94,369
     GTES7,031,944+1,689,991$94,369

See Full List: All Stocks Held By Fiduciary Management Inc. WI
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Fiduciary Management Inc. WI

Size ($ in 1000's)
At 12/31/2023: $10,690,919
At 09/30/2023: $9,817,933

Fiduciary Management Inc. WI holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Fiduciary Management Inc. WI 13F filings. Link to 13F filings: SEC filings

Fiduciary Management Inc. WI Top Holdings 13F Filings | www.HoldingsChannel.com

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