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Portfolio (Quarterly) Guide ↗

FIDUCIARY MANAGEMENT INC /WI/

· CIK 0000764532
13F Portfolio $8.1B AUM 63 positions Filed May 14, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 4 New 17 Added 39 Reduced 9 Exited
Page 2 of 2  ·  39 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
21 CNM Core & Main Industrials 2,482,510.0 $122.6M 1.52% -130K -5.0% $49.40 -4.5%
22 DCI Donaldson Co. Inc. Industrials 1,426,427.0 $121.1M 1.50% -894K -38.5% $84.87 -2.7%
23 HAYW Hayward Holdings Industrials 8,738,960.0 $116.9M 1.45% -351K -3.9% $13.38 +2.2%
24 DLTR Dollar Tree Consumer Defensive 1,067,313.0 $116.9M 1.45% -116K -9.8% $109.51 -12.6%
25 MSA MSA Safety Industrials 678,986.0 $111.3M 1.38% -36K -5.1% $163.95 +2.8%
26 COF Capital One Financial Financial Services 585,777.0 $106.9M 1.33% -71K -10.8% $182.43 +2.3%
27 FMS Fresenius Med. Care Healthcare 4,462,106.0 $100.7M 1.25% -500K -10.1% $22.56 -0.3%
28 UNH UnitedHealth Group Healthcare 357,951.0 $96.9M 1.20% -35K -8.9% $270.59 +41.7%
29 GOOGL Alphabet Inc - Cl A Communication Services 327,682.0 $94.2M 1.17% -475K -59.2% $287.56 +34.8%
30 Ryanair Holdings 1,441,982.0 $83.3M 1.03% -93K -6.1% $57.80
31 FBIN Fortune Brands Innov. Industrials 2,072,259.0 $80.8M 1.00% -55K -2.6% $38.97 -6.8%
32 SSD Simpson Mfg. Co. Industrials 434,209.0 $74.5M 0.93% -21K -4.6% $171.62 +7.8%
33 CCEP Coca-Cola Europacific Consumer Defensive 802,103.0 $72.7M 0.90% -208K -20.6% $90.67 +3.8%
34 BJ BJ's Wholesale Club Consumer Defensive 689,400.0 $67.9M 0.84% -35K -4.8% $98.42 -4.1%
35 AIT Applied Ind. Tech. Industrials 205,928.0 $54.6M 0.68% -10K -4.7% $265.32 +15.2%
36 CTS CTS Corp Technology 1,042,452.0 $49.8M 0.62% -42K -3.9% $47.76 +25.4%
37 RHI Robert Half Inc. Industrials 1,708,488.0 $43.4M 0.54% -57K -3.2% $25.40 +3.3%
38 Weir Group PLC 34,009.0 $1.3M 0.02% -27K -44.1% $36.90
39 B&M European Value 12,165.0 $106K 0.00% -381.0 -3.0% $8.75
Page 2 of 2  ·  39 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Industrials 37.3%
Financial Services 24.7%
Healthcare 12.6%
Technology 9.0%
Consumer Cyclical 6.8%
Consumer Defensive 5.1%
Energy 2.1%
Communication Services 1.2%
Basic Materials 1.2%