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Latest statistics and disclosures from Provident Investment Management's latest quarterly 13F-HR filing:

Provident Investment Management portfolio companies for December 2015 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
V Visa 7.48 -2.00% 479538 77.55 266.74
GILD Gilead Sciences 6.78 332993 101.19 99.53
ROP Roper Industries 6.00 157104 189.79 166.10
TSCO Tractor Supply Company 5.86 341021 85.50 85.18
O'reilly Automotive 5.62 110366 253.42 0.00
SBNY Signature Bank 5.56 180177 153.37 124.56
SHPGY Shire 5.41 131218 205.00 0.00
PCLN priceline.com Incorporated 4.95 19309 1274.95 1190.00
CTSH Cognizant Technology Solutions 4.74 392490 60.02 60.57
FAST Fastenal Company 4.64 565308 40.82 40.46
KMX CarMax 4.36 +3.00% 401693 53.97 62.15
Air Lease 4.26 +12.00% 632713 33.48 0.00
PCP Precision Castparts 4.20 -10.00% 89925 232.00 210.13
FDS FactSet Research Systems 4.05 123938 162.57 150.33
IPGP IPG Photonics Corporation 3.94 +7.00% 220019 89.16 96.34
BIIB Biogen Idec 3.81 +20.00% 61895 306.36 415.20
SWKS Skyworks Solutions 3.03 +19.00% 195953 76.83 92.91
Ubiquiti Networks 2.63 412340 31.69 0.00
Blackhawk Network Hldgs Inc cl a 2.07 NEW 232389 44.21 0.00
Zeltiq Aesthetics 1.93 NEW 335650 28.53 0.00
TROW T. Rowe Price 1.59 -34.00% 110393 71.49 81.65
FFBC First Financial Ban 1.43 393069 18.07 17.01
IVV iShares S&P; 500 Index 0.68 -3.00% 16594 204.89 205.96
SPY SPDR S&P; 500 ETF 0.56 13675 203.88 205.25
PG Procter & Gamble Company 0.50 31232 79.41 81.31
WAT Waters Corporation 0.38 14100 134.61 119.56
BEN Franklin Resources 0.32 43575 36.81 51.68
MCD McDonald's Corporation 0.29 12000 118.17 96.21
Paypal Holdings 0.26 36000 36.19 0.00
AMGN Amgen 0.25 7650 162.35 153.92
EBAY eBay 0.20 36000 27.47 59.78
SUB iShrs S&P; ShtTrm Ntnl AMTFr MncplBnf ETF 0.19 NEW 8900 105.96 105.92
NTRS Northern Trust Corporation 0.17 12000 72.08 69.63
KO Coca-Cola Company 0.17 20000 42.95 40.22
VAR Varian Medical Systems 0.17 10600 80.75 93.09
CL Colgate-Palmolive Company 0.16 11858 66.62 68.17
O Realty Income 0.13 +7.00% 12675 51.60 49.45
XOM Exxon Mobil Corporation 0.11 7117 77.98 84.57
ABT Abbott Laboratories 0.11 11701 44.87 46.40
NEOG Neogen Corporation 0.10 8437 56.54 48.48
Ishares Tr core strm usbd 0.10 NEW 5150 99.22 0.00
JNJ Johnson & Johnson 0.09 4274 102.71 98.55
JPM JPMorgan Chase & Co. 0.08 5861 66.03 60.16
BRK.B Berkshire Hathaway 0.08 3115 131.94 0.00
AFL AFLAC Incorporated 0.07 +3.00% 5638 59.95 61.39
PM Philip Morris International 0.07 3950 87.85 77.69
Accenture 0.07 3300 104.55 0.00
NSC Norfolk Southern 0.06 3717 84.48 108.18
COP ConocoPhillips 0.06 6681 46.70 61.42
Walgreen Boots Alliance 0.06 3600 85.28 0.00
EMR Emerson Electric 0.05 4950 47.88 55.87
RMTI Rockwell Medical Technologies 0.05 25108 10.24 9.96
FISV Fiserv 0.04 2360 91.53 77.15
Central Fd Cda Ltd cl a 0.04 NEW 21400 10.00 0.00

Past 13F-HR SEC Filings for Provident Investment Management