FENIMORE ASSET MANAGEMENT

Latest statistics and disclosures from FENIMORE ASSET MANAGEMENT's latest quarterly 13F-HR filing:

FENIMORE ASSET MANAGEMENT portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
BRO Brown & Brown 5.03 -4.00% 2322424 32.04 32.61
ROST Ross Stores 4.57 1117249 60.62 65.55
IEX IDEX Corporation 4.25 1179200 53.42 54.40
MKL Markel Corporation 3.85 113303 503.50 530.53
MD Mednax 3.73 -10.00% 615505 89.63 91.98
White Mountains Insurance Gp 3.33 86859 567.11 0.00
ZBRA Zebra Technologies 3.30 -17.00% 1036561 47.13 45.83
BAM.A Brookfield Asset Management 3.17 1284978 36.49 0.00
EOG EOG Resources 3.14 -3.00% 362918 128.07 129.81
BRK.A Berkshire Hathaway 3.08 292 156280.82 0.00
SYK Stryker Corporation 2.93 665923 65.24 66.99
BEN Franklin Resources 2.85 279807 150.81 161.11
DCI Donaldson Company 2.63 1075157 36.19 37.21
KMX CarMax 2.47 875377 41.70 46.79
WAT Waters Corporation 2.36 372500 93.91 97.67
YUM Yum! Brands 2.31 476387 71.94 68.70
ITW Illinois Tool Works 2.22 539981 60.94 69.81
BBBY Bed Bath & Beyond 2.16 +7.00% 496278 64.42 68.57
XLNX Xilinx 1.92 746244 38.17 39.21
MGRC McGrath Rent 1.89 901846 31.10 32.83
HTLD Heartland Express 1.87 2080066 13.34 14.25
PDCO Patterson Companies 1.87 727971 38.04 38.91
SCBT SCBT Financial Corporation 1.81 531115 50.40 49.75
L Loews Corporation 1.80 +12.00% 606050 44.07 45.68
FWRD Forward Air Corporation 1.72 681251 37.29 38.71
KNX Knight Transportation 1.57 1445730 16.10 17.33
WTR Aqua America 1.55 728608 31.44 32.23
IPG Interpublic Group of Companies 1.49 -2.00% 1696725 13.03 14.29
TCB TCF Financial Corporation 1.44 1423581 14.96 14.13
GGG Gra 1.39 355371 58.03 60.27
AZO AutoZone 1.26 +225.00% 47200 396.78 415.93
MCHP Microchip Technology 1.20 483725 36.77 36.06
MHK Mohawk Industries 1.20 -5.00% 156779 113.12 113.54
HOMB Home BancShares 1.06 417925 37.67 41.86
OZRK Bank of the Ozarks 1.04 347475 44.35 43.81
BRK.B Berkshire Hathaway 1.03 146209 104.20 0.00
Onebeacon Insurance Group Ltd Cl-a 0.92 1004568 13.52 0.00
MTB M&T; Bank Corporation 0.91 +5.00% 130280 103.16 103.53
AJG Arthur J. Gallagher & Co. 0.83 298355 41.31 44.22
MAT Mattel 0.81 273499 43.77 45.32
PL Protective Life 0.81 335400 35.80 37.39
ECOL US Ecology 0.81 -3.00% 449794 26.55 27.68
STR Questar Corporation 0.77 -19.00% 471300 24.33 24.48
PNFP Pinnacle Financial Partners 0.74 468050 23.36 25.35
FLO Flowers Foods 0.74 -34.00% 332894 32.94 34.66
SWN Southwestern Energy Company 0.60 237000 37.26 37.96
JW.A John Wiley & Sons 0.59 -71.00% 225350 38.96 0.00
JNJ Johnson & Johnson 0.58 105000 81.53 86.61
SIAL Sigma-Aldrich Corporation 0.58 110000 77.65 84.28
BH Biglari Holdings 0.54 21615 373.21 400.01
DLR Digital Realty Trust 0.44 98300 66.91 62.21
WOOF VCA Antech 0.44 +87.00% 278600 23.49 24.84
EPM Evolution Petroleum Corporation 0.35 505646 10.15 10.64
NATI National Instruments 0.27 122000 32.75 28.27
TUP Tupperware Brands Corporation 0.22 40000 81.75 82.17
Fabrinet shs 0.21 +48.00% 215800 14.61 0.00
AMSF Amerisafe 0.18 -7.00% 73600 35.54 32.96
DPS Dr Pepper Snapple 0.15 47000 46.96 47.63
ALTR Altera Corporation 0.15 61000 35.46 32.47
MKC McCormick & Company, Incorporated 0.15 -28.00% 30250 73.55 73.38
JBT John Bean Technologies Corporation 0.14 101500 20.75 21.27
CRMT America's Car-Mart 0.13 42750 46.74 45.76
FUR Winthrop Realty Trust 0.13 +539.00% 152018 12.58 12.86
RSTI Rofin-Sinar Technologies 0.13 70650 27.09 26.35
Rue21 0.13 NEW 64450 29.39 0.00
HWCC Houston Wire & Cable Company 0.12 +11.00% 139950 12.95 14.11
CASS Cass Information Systems 0.12 -6.00% 41567 42.03 44.30
WHG Westwood Holdings 0.12 +20.00% 40800 44.44 42.33
XOM Exxon Mobil Corporation 0.10 +8.00% 17114 90.10 91.44
PATR Patriot Transportation Holding 0.10 +14.00% 52085 27.82 28.72
CA CA 0.09 50000 25.18 26.94
USPH U.S. Physical Therapy 0.09 NEW 50700 26.84 28.04
LDR Landauer 0.08 20000 56.40 51.75
Garmin 0.08 NEW 34600 33.06 0.00
HTH Hilltop Holdings 0.06 60575 13.49 16.08
WBSN Websense 0.06 60050 15.00 24.80
EFSC Enterprise Financial Services 0.06 +14.00% 61625 14.34 15.35
SNAK Inventure Foods 0.06 107092 7.78 7.39
CAC Camden National Corporation 0.05 23735 33.07 36.29
METR Metro Ban 0.05 47000 16.53 18.98
GMAN Gordmans Stores 0.05 +76.00% 59500 11.71 12.64
SYBT S.Y. Ban 0.05 +61.00% 35060 22.50 24.15
CATC Cambridge Ban 0.05 +2.00% 17490 41.51 39.00
Actavis 0.05 NEW 8400 92.14 0.00
IBM International Business Machines 0.04 -7.00% 2960 213.18 205.69
WBCO Washington Banking Company 0.04 +2.00% 46575 13.93 13.88
BMRC Bank of Marin Ban 0.04 14925 40.07 39.37
Brick 0.04 101800 5.29 0.00
PCBK Pacific Continental Corporation 0.03 +3.00% 35526 11.17 11.51
STL Sterling Ban 0.03 42225 10.16 11.68
DEST Destination Maternity Corporation 0.03 NEW 20401 23.38 24.91
AMBZ American Business Bank 0.03 +4.00% 16589 29.18 29.00
Ledyard Financial 0.03 10950 34.89 0.00
USB U.S. Ban 0.02 7694 33.92 35.37
PFE Pfizer 0.02 9744 28.84 28.98
CVX Chevron Corporation 0.02 NEW 2443 118.71 124.56
GE General Electric Company 0.02 12208 23.10 23.55
T AT&T; 0.02 +31.00% 8565 36.66 36.62
UNP Union Pacific Corporation 0.02 NEW 2327 142.24 156.06
CLC CLARCOR 0.02 6424 52.30 53.74
CNMD CONMED Corporation 0.02 NEW 7087 34.01 33.33
HUVL Hudson Valley Holding 0.02 NEW 16000 14.94 0.00
MBVT Merchants Bancshares 0.02 +6.00% 11225 30.11 28.75
Stonegate Bk Ft Lauderdale 0.02 NEW 15325 17.75 0.00
DIMC Dime 0.02 8545 38.27 44.50
MDP Meredith Corporation 0.01 -98.00% 5300 38.30 40.96
TRST TrustCo Bank Corp NY 0.01 20533 5.60 5.65
PFNS Penseco Financial Services 0.01 5475 37.63 37.50
Glenville Bank Hldg 0.01 2756 78.01 0.00
Newlink Genetics Corporation 0.01 NEW 12321 12.26 0.00

Past 13F-HR SEC Filings for FENIMORE ASSET MANAGEMENT