Provident Investment Management Inc (1076964) Portfolio


Number of Companies: 47
Inflow: $37,409 K
Outflow: $-24,847 K
Net Flow: $12,562 K
2016-06-30: Recent SEC Filing
2016-03-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
242 6 Medivation Inc (MDVN) Biotech 302,557 New Holding 302,557 $60.30 $18,244 $18,244
36 1 Skechers Usa Inc-Cl A (SKX) Apparel Footwear And Acc Design 461,529 New Holding 461,529 $29.72 $13,716 $13,716
2891 65 Skyworks Solutions Inc (SWKS) Semiconductor Devices 272,455 Added More 50,731 $63.28 $3,210 $17,240
2605 14 Air Lease Corp (AL) Commercial Finance 690,906 Added More 21,791 $26.78 $583 $18,502
2978 41 Cognizant Tech Solutions-A (CTSH) It Services 418,843 Added More 7,478 $57.24 $428 $23,974
2719 59 Ipg Photonics Corp (IPGP) Semiconductor Devices 229,364 Added More 4,595 $80.00 $367 $18,349
3053 58 Biogen Inc (BIIB) Biotech 66,090 Added More 1,191 $241.82 $288 $15,981
157 8 Aspen Technology Inc (AZPN) Application Software 482,957 Added More 6,920 $40.24 $278 $19,434
1589 2 Wabtec Corp (WAB) Railroad Rolling Stock 286,728 Added More 2,720 $70.23 $191 $20,136
485 5 Factset Research Systems Inc (FDS) Information Services 130,798 Added More 455 $161.42 $73 $21,113
3065 7 Philip Morris International (PM) Tobacco 4,150 Added More 200 $101.72 $20 $422
1960 22 Rockwell Medical Inc (RMTI) Life Science Equipment 27,108 Added More 1,000 $7.57 $7 $205
3077 22 Procter And Gamble Cothe (PG) Household Products 31,232 No Change 0 $84.67 $0 $2,644
80 1 Accenture Plc-Cl A (ACN) It Services 3,300 No Change 0 $113.29 $0 $373
710 53 First Financial Bancorp (FFBC) Banks 393,069 No Change 0 $19.45 $0 $7,645
2985 20 Colgate-Palmolive Co (CL) Household Products 11,858 No Change 0 $73.20 $0 $868
1868 16 Neogen Corp (NEOG) Health Care Supplies 8,437 No Change 0 $56.25 $0 $474
2865 6 Norfolk Southern Corp (NSC) Rail Freight 3,717 No Change 0 $85.13 $0 $316
2886 77 Conocophillips (COP) Exploration And Production 6,681 No Change 0 $43.60 $0 $291
3029 24 Coca-Cola Cothe (KO) Beverages 20,000 No Change 0 $45.33 $0 $906
3040 9 Abbvie Inc (ABBV) Large Pharma 4,317 No Change 0 $61.91 $0 $267
3066 59 Amgen Inc (AMGN) Biotech 7,650 No Change 0 $152.15 $0 $1,163
3075 13 Exxon Mobil Corp (XOM) Integrated Oils 5,014 No Change 0 $93.74 $0 $470
2382 1 Northern Trust Corp (NTRS) Instl Trust Fiduciary And Custody 12,000 No Change 0 $66.26 $0 $795
3068 39 Mcdonalds Corp (MCD) Restaurants 12,000 No Change 0 $120.34 $0 $1,444
3076 10 Johnson And Johnson (JNJ) Large Pharma 4,274 No Change 0 $121.30 $0 $518
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 5,861 No Change 0 $62.14 $0 $364
2301 247 Signature Bank (SBNY) Banks 180,506 Sold Some -316 $124.92 $-39 $22,548
2651 112 Realty Income Corp (O) Reit 11,975 Sold Some -575 $69.36 $-39 $830
2849 29 Waters Corp (WAT) Life Science Equipment 12,500 Sold Some -500 $140.65 $-70 $1,758
2861 30 Abbott Laboratories (ABT) Life Science Equipment 9,801 Sold Some -1,900 $39.31 $-74 $385
2847 21 Aflac Inc (AFL) Life Insurance 3,451 Sold Some -1,492 $72.16 $-107 $249
3078 18 Priceline Group Incthe (PCLN) Internet Based Services 19,324 Sold Some -117 $1248.41 $-146 $24,124
2668 3 Fastenal Co (FAST) Home And Office Product Whslrs 562,223 Sold Some -5,430 $44.39 $-241 $24,957
2970 31 Fiserv Inc (FISV) Consumer Finance 0 Sold All -2,360 $108.73 $-256 $0
2106 61 Opko Health Inc (OPK) Specialty Pharma 10,000 Sold Some -29,850 $9.34 $-278 $93
2593 22 Varian Medical Systems Inc (VAR) Medical Equipment 0 Sold All -5,632 $82.23 $-463 $0
2136 13 Franklin Resources Inc (BEN) Investment Management 0 Sold All -22,500 $33.37 $-750 $0
2904 10 Ebay Inc (EBAY) Ecommerce Discretionary 0 Sold All -34,000 $23.41 $-795 $0
34 1 Carmax Inc (KMX) Automotive Retailers 398,053 Sold Some -16,505 $49.03 $-809 $19,516
278 5 Zeltiq Aesthetics Inc (ZLTQ) Medical Equipment 420,046 Sold Some -33,985 $27.33 $-928 $11,479
3051 57 Gilead Sciences Inc (GILD) Biotech 326,313 Sold Some -11,780 $83.42 $-982 $27,221
2953 2 Roper Technologies Inc (ROP) Industrial Automation Controls 142,203 Sold Some -11,143 $170.56 $-1,900 $24,254
2804 16 Tractor Supply Company (TSCO) Home Products Stores 290,325 Sold Some -33,935 $91.18 $-3,094 $26,471
3052 34 Visa Inc-Class A Shares (V) Consumer Finance 414,365 Sold Some -56,233 $74.17 $-4,170 $30,733
2819 20 T Rowe Price Group Inc (TROW) Investment Management 35,788 Sold Some -58,113 $72.97 $-4,240 $2,611
3026 18 Oreilly Automotive Inc (ORLY) Automotive Retailers 79,304 Sold Some -20,125 $271.10 $-5,455 $21,499