Universe · entity
HARVEY INVESTMENT CO LLC
Institutional manager (13F) · CIK 1162781
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $869k
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | OREILLY AUTOMOTIVE INCORPORATE | $87k | 946,288 |
| 2 | TJX COS INC NEW COM | $56k | 348,837 |
| 3 | JOHNSON & JOHNSON COM | $49k | 199,190 |
| 4 | BERKSHIRE HATHAWAY INCORPORATE | $47k | 97,801 |
| 5 | FASTENAL COMPANY | $46k | 998,616 |
| 6 | COSTCO WHSL CORP NEW COM | $32k | 31,747 |
| 7 | ALPHABET INC CAP STK CL C | $28k | 98,814 |
| 8 | AMPHENOL CORPORATION CLASS A | $28k | 222,899 |
| 9 | IDEXX LABS INC COM | $28k | 50,084 |
| 10 | AGILENT TECHNOLOGIES INC COM | $26k | 227,982 |
| 11 | ABBOTT LABS COM | $26k | 250,807 |
| 12 | NORDSON CORPORATION | $26k | 96,741 |
| 13 | WASTE CONNECTIONS INCORPORATED | $26k | 158,147 |
| 14 | ULTA BEAUTY INCORPORATED | $25k | 48,160 |
| 15 | VERISK ANALYTICS INCORPORATED | $25k | 129,610 |
| 16 | STERIS PLC SHS USD | $22k | 101,140 |
| 17 | MASTERCARD INC CL A | $22k | 43,706 |
| 18 | IDEX CORPORATION | $21k | 112,239 |
| 19 | BERKSHIRE HATHAWAY INC DELAWA | $21k | 29 |
| 20 | EXXON MOBIL CORPORATION | $20k | 114,969 |
| 21 | PAYCHEX INC COM | $17k | 189,318 |
| 22 | ABBVIE INC COM | $17k | 79,086 |
| 23 | PEPSICO INC COM | $14k | 87,652 |
| 24 | METTLER-TOLEDO INTL INC COM | $12k | 9,644 |
| 25 | KNIGHT-SWIFT TRANSN HLDGS INCO | $12k | 203,439 |
| 26 | COPART INC | $11k | 337,380 |
| 27 | WATERS CORPORATION | $10k | 33,074 |
| 28 | LILLY ELI & CO COM | $9k | 9,775 |
| 29 | ILLINOIS TOOL WKS INCORPORATED | $9k | 33,889 |
| 30 | AMETEK INCORPORATED | $9k | 39,972 |
| 31 | 3M COMPANY | $8k | 54,671 |
| 32 | PNC FINL SVCS GROUP INC COM | $8k | 37,342 |
| 33 | PROCTER & GAMBLE CO COM | $6k | 43,976 |
| 34 | DONALDSON INC COM | $6k | 67,984 |
| 35 | JPMORGAN CHASE & CO COM | $6k | 18,906 |
| 36 | COCA COLA COMPANY | $6k | 72,976 |
| 37 | MICROSOFT CORP COM | $5k | 14,615 |
| 38 | ADOBE INCORPORATED | $5k | 22,056 |
| 39 | ZOETIS INC COM | $5k | 41,684 |
| 40 | SMITH A O CORP COM | $5k | 73,650 |
| 41 | AIR PRODS & CHEMS INC COM | $4k | 12,586 |
| 42 | MERCK & CO INC NEW COM | $4k | 29,254 |
| 43 | VONTIER CORP COM | $3k | 95,550 |
| 44 | APPLE INC COM | $3k | 13,277 |
| 45 | CARLISLE COMPANIES INCORPORATE | $3k | 9,935 |
| 46 | GRACO INC COM | $3k | 36,955 |
| 47 | EAGLE MATLS INC COM | $3k | 13,945 |
| 48 | MCCORMICK & CO INC COM NON VTG | $3k | 51,896 |
| 49 | BROWN FORMAN CORP CL A | $2k | 85,524 |
| 50 | CHEVRON CORP NEW COM | $2k | 11,012 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.