Fenimore Asset Management Inc - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 2, 2026, for the 2025 Q4 period, Fenimore Asset Management Inc held in its portfolio 92 assets valued at $4,802,006,722 (i.e. $4.80B).

The most valuable assets in the portfolio included: Ross Stores, Inc. ($275.97M), Amphenol Corp. ($225.12M), and Vulcan Materials ($190.15M).

The chart below shows the top 10 valuable assets, and the table below shows the top 92 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Fenimore Asset Management Inc Portfolio
Ross Stores, Inc.
Amphenol Corp.
Vulcan Materials
Markel Corporation
Stryker Corporation
Brookfield Corp
Brown & Brown, Inc.
CDW Corporation
Trane Technologies PLC
Fastenal Co
Fenimore Asset Management Inc - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Ross Stores, Inc. 1531966 275968306 COM
Amphenol Corp. 1665809 225117456 COM
Vulcan Materials 666670 190147498 COM
Markel Corporation 88266 189741007 COM
Stryker Corporation 525378 184654491 COM
Brookfield Corp 3842656 176339474 COM
Brown & Brown, Inc. 2183511 174025796 COM
CDW Corporation 1150567 156707205 COM
Trane Technologies PLC 395638 153982339 COM
Fastenal Co 3752643 150593564 COM
IDEX Corporation 819203 145769051 COM
Analog Devices Inc 494546 134120796 COM
Keysight Technologies Inc. 633773 128776336 COM
Progressive Corp. 559924 127505808 COM
Exlservice Holdings Inc. 2773142 117692146 COM
AutoZone, Inc. 32830 111342945 COM
HEICO Corp. Class A 436906 110288202 COM
Booking Holdings Inc. 19994 107074639 COM
Illinois Tool Works Inc. 395628 97443294 COM
Microchip Technology Incorpora 1444945 92071891 COM
Arthur J. Gallagher & Co. 354440 91725582 COM
Graco Inc. 1112750 91212118 COM
Zebra Technologies A 359257 87234785 COM
Steris PLC 328107 83181611 COM
Agilent Technologies Inc 594972 80957857 COM
Pinnacle Financial Partners, I 844455 80569445 COM
Ametek, Inc. 367870 75527290 COM
Broadridge Financial Solutions 323621 72222499 COM
Landstar System, Inc. 486165 69861941 COM
Republic Services, Inc. 290625 61592156 COM
Martin Marietta Mat 89928 55994568 COM
Cintas Corp 279651 52593964 COM
Brookfield Asset Management Lt 937887 49135911 COM
Paychex Inc 425591 47742798 COM
Entegris, Inc. 551246 46442476 COM
Verisk Analytics Inc. 188194 42097116 COM
EOG Resources, Inc. 387628 40704860 COM
Jack Henry & Associates Inc 220615 40257825 COM
Colliers International Group I 222258 32674149 COM
Berkshire Hathaway Inc. A 42 31701600 COM
Avery Dennison Corp 143826 26159073 COM
FirstService Corporation 149827 23302593 COM
Roper Technologies, Inc. 52195 23233560 COM
CBIZ, Inc. 452592 22833266 COM
Houlihan Lokey Inc. 123672 21542426 COM
Trisura Group Ltd. 684344 21248881 COM
Watsco, Inc. 60859 20506440 COM
Brookfield Infrastructure Corp 427910 19427114 COM
Dutch Brothers Inc Cl A 312111 19107435 COM
Siteone Landscape Supply Inc. 151994 18932373 COM
Exponent, Inc. 266892 18538318 COM
Choice Hotels International, I 193444 18427475 COM
Floor & Decor Holdings 300203 18279361 COM
One Spa World Holdings Ltd. 794612 16480253 COM
Chemed Corp 36987 15825258 COM
Altus Group Ltd 379464 15673761 COM
GE Healthcare Technologies Inc 187695 15394744 COM
Element Solutions Inc 613873 15340686 COM
SPS Commerce Inc. 164884 14696111 COM
Home BancShares, Inc. 510618 14184968 COM
Frontdoor, Inc. 245564 14166587 COM
Novanta Inc 118553 14106621 COM
The Baldwin Insurance Group In 582850 14005886 COM
Franklin Electric Co., Inc. 138823 13261761 COM
Esab Corporation 105713 11810256 COM
Dream Finders Homes Inc. 686041 11731301 COM
Casella Waste System Inc. 117493 11507264 COM
Boston Omaha Corporation 926624 11462339 COM
Descartes Systems Group Inc. 130384 11429461 COM
Berkshire Hathaway Inc. B 13022 6545508 COM
Apple, Inc. 13296 3614651 COM
Vanguard Growth ETF 6581 3210607 ETF
Invesco Large-Cap Growth 17000 2160870 ETF
Abbvie, Inc. 7448 1701794 COM
Ryan Specialty Holdings, Inc 27613 1425659 COM
Spdr S&P 500 ETF Trust 1477 1007196 ETF
iShares Core S&P 500 ETF 1150 787681 ETF
International Business Machine 2573 762148 COM
SPDR Fund Consumer 6276 749417 ETF
Microsoft Corp 1359 657060 COM
NBT Bancorp Inc 14480 601210 COM
Exxon Mobil Corporation 3378 406509 COM
US Bancorp 7331 391182 COM
Union Pacific Corp. 1584 366411 COM
Conmed Corp 8902 361421 COM
MSCI, Inc. 572 328174 COM
Moodys Corp 592 302423 COM
Akre Focus Etf 4027 263809 ETF
Zoetis Inc. 2040 256673 COM
Pool Corp 1080 247050 COM
Diamond Hill Investment Group, 1336 226452 COM
Bank Of Richmondville 1000 224450 COM