Instuitional Investor - Fenimore Asset Management Inc

Fund Profile
Filing Period:
Fund Name: Fenimore Asset Management Inc
Portfolio Value $4,721,686,180
Filing Period:
No. Security Ticker Shares Value % Port
1. BRO 2,144,293 $266,749,995 5.65%
2. ROST 1,604,541 $205,044,299 4.34%
3. CDW 1,246,188 $199,714,035 4.23%
4. SYK 523,985 $195,053,318 4.13%
5. MKL 88,357 $165,193,131 3.5%