13F Filings for FIDUCIARY MANAGEMENT INC /WI/ (CIK: 764532)
View the most recent portfolio holdings disclosed by FIDUCIARY MANAGEMENT INC /WI/ in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
FERG - Ferguson Enterprises(Class: COM) | 2.72M | $591.42M | 5.68% | Decreased | 138.65K (4.0%, $134.01M) |
BKNG - Booking Holdings Inc(Class: COM) | 98.13K | $568.08M | 5.46% | Decreased | 10.90K (10.0%, $65.79M) |
ARMK - Aramark(Class: COM) | 12.66M | $530.04M | 5.09% | Decreased | 378.37K (2.0%, $79.98M) |
SCHW - Charles Schwab Corp(Class: COM) | 4.39M | $400.13M | 3.84% | Decreased | 246.38K (5.0%, $37.55M) |
CARR - Carrier Global(Class: COM) | 3.50M | $256.06M | 2.46% | Decreased | 174.61K (4.0%, $23.18M) |
BRK.B - Berkshire Hath. Cl B(Class: COM) | 449.29K | $218.25M | 2.10% | Decreased | 206.98K (31.0%, $131.26M) |
ARW - Arrow Electronics Inc.(Class: COM) | 1.70M | $216.79M | 2.08% | Increased | 164.89K (10.0%, $57.27M) |
SONY - Sony Group Corp.(Class: COM) | 8.33M | $216.74M | 2.08% | Decreased | 1.53M (15.0%, $33.43M) |
PGR - Progressive Corp.(Class: COM) | 810.30K | $216.24M | 2.08% | Decreased | 47.64K (5.0%, $26.57M) |
AVY - Avery Dennison Corp.(Class: COM) | 1.23M | $215.14M | 2.07% | Decreased | 66.38K (5.0%, $14.88M) |
DGX - Quest Diagnostics(Class: COM) | 1.19M | $212.92M | 2.04% | Decreased | 66.08K (5.0%, $1.18M) |
UL - Unilever PLC ADR(Class: COM) | 3.29M | $201.12M | 1.93% | Decreased | 179.01K (5.0%, $5.33M) |
CSX - CSX Corp(Class: COM) | 6.03M | $196.84M | 1.89% | Decreased | 240.92K (3.0%, $12.21M) |
CSL - Carlisle Cos. Inc.(Class: COM) | 522.34K | $195.04M | 1.87% | Decreased | 13.55K (2.0%, $12.57M) |
MAS - Masco Corp(Class: COM) | 3.02M | $194.11M | 1.86% | Decreased | 157.67K (4.0%, $26.59M) |
KMX - CarMax Inc.(Class: COM) | 2.87M | $193.13M | 1.85% | Increased | 221.84K (8.0%, $13.49M) |
G - Genpact Ltd.(Class: COM) | 4.24M | $186.47M | 1.79% | Decreased | 2.72M (39.0%, $164.05M) |
GOOGL - Alphabet Inc - Cl A(Class: COM) | 1.05M | $184.34M | 1.77% | Decreased | 316.73K (23.0%, $26.40M) |
SLB - SLB(Class: COM) | 5.41M | $182.77M | 1.76% | Decreased | 414.43K (7.0%, $60.58M) |
VVV - Valvoline Inc.(Class: COM) | 4.78M | $180.92M | 1.74% | Increased | 8.03K (0.0%, $14.90M) |
HSIC - Henry Schein Inc.(Class: COM) | 2.45M | $179.11M | 1.72% | Decreased | 9.64K (0.0%, $10.52M) |
SYY - Sysco Corp.(Class: COM) | 2.36M | $178.98M | 1.72% | Decreased | 117.52K (4.0%, $7.16M) |
PHG - Koninklijke Philips NV(Class: COM) | 7.46M | $178.97M | 1.72% | Decreased | 52.29K (0.0%, $11.93M) |
NVT - nVent Electric PLC(Class: COM) | 2.42M | $176.91M | 1.70% | Increased | 294.96K (13.0%, $65.77M) |
FCFS - FirstCash Inc.(Class: COM) | 1.29M | $174.35M | 1.67% | Decreased | 4.90K (0.0%, $18.53M) |