Mairs & Power Growth Fund's Portfolio

Mairs & Power Growth Fund 13F holdings

What is Mairs & Power Growth Fund's portfolio?

Mairs & Power Growth Fund has disclosed a total of 56 security holdings in their (2021 Q3) SEC 13F filing(s) with portfolio value of $5,466,541,057.

What stocks does Mairs & Power Growth Fund own?

In Mairs & Power Growth Fund's portfolio as of 30 Sep 2021, the top 5 holdings are (MSFT) MICROSOFT CORP (7.43%), (GOOG) ALPHABET INC-CL C (6.80%), (AMZN) AMAZONCOM INC (5.37%), (UNH) UNITEDHEALTH GROUP INC (4.40%) and (USB) US BANCORP (4.08%).

To see the historical data of Mairs & Power Growth Fund's portfolio holdings please click on the "2021 Q3" dropdown menu and select the date.

To see Mairs & Power Growth Fund's original 13F reports (2021 Q3), please click on the "important" button.

Portfolio value: $5,466M+
Period: 2021 Q3
Number of stock: 56
Update: 24 Nov 2021
QCOM
1.59%
675,000
$128.98
23.59% $159.40
$87,061,500
RHHBY
2.68%
2,838,000
$45.47
9.37% $41.21
$129,043,860
ROK
0.67%
125,000
$294.04
15.16% $338.61
$36,755,000
SCHW
1.48%
1,112,300
$72.84
25.16% $91.17
$81,019,932
+32.21% (+271,000)
+0.36%
SHW
1.99%
335,620
$279.73
27.02% $355.30
$93,882,982
+2.65% (+8,650)
+0.05%
SNBR
0.35%
202,000
$93.48
92.47% $7.04
$18,882,960
buy
+0.35%
SYY
0.85%
595,000
$78.50
1.45% $77.36
$46,707,500
+88.89% (+280,000)
+0.40%
TGT
0.75%
153,000
$228.77
54.61% $103.85
$35,001,810
TNC
1.29%
949,966
$73.95
7.80% $79.72
$70,249,985
TTC
2.66%
1,248,325
$97.41
24.32% $73.72
$121,599,338
-2.61% (-33,400)
-0.07%
UNH
4.40%
615,000
$390.74
16.53% $326.14
$240,305,100
USB
4.08%
3,755,000
$59.44
21.79% $46.49
$223,197,200
+1.21% (+45,000)
+0.05%
V
2.75%
553,500
$222.75
59.58% $355.47
$123,292,125
DIS
1.58%
262,650
$169.17
27.00% $123.49
$44,432,500
WFC
1.83%
2,155,000
$46.41
75.59% $81.49
$100,013,550
-9.07% (-215,000)
-0.18%
WK
0.76%
296,600
$140.96
51.56% $68.28
$41,808,736
16 of 56

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.