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 55 security holdings in their (2022 Q3) SEC 13F filing(s) with portfolio value of $4,224,569,658.

What stocks does Mairs & Power Growth Fund own?

In Mairs & Power Growth Fund's portfolio as of 30 Sep 2022, the top 5 holdings are (MSFT) MICROSOFT CORP (7.62%), (GOOG) ALPHABET INC-CL C (6.21%), (UNH) UNITEDHEALTH GROUP INC (6.14%), (AMZN) AMAZONCOM INC (4.63%) and (USB) US BANCORP (3.75%).

To see the historical data of Mairs & Power Growth Fund's portfolio holdings please click on the "2022 Q3" dropdown menu and select the date.

To see Mairs & Power Growth Fund's original 13F reports (2022 Q3), please click on the "important" button.

Portfolio value: $4,224M+
Period: 2022 Q3
Number of stock: 55
Update: 29 Nov 2022
ROK
1.36%
268,000
$215.11
32.69% $285.42
$57,649,480
+8.94% (+22,000)
+0.11%
CRM
1.37%
402,000
$143.84
136.95% $340.83
$57,823,680
+8.06% (+30,000)
+0.10%
SCHW
1.97%
1,159,000
$71.87
3.76% $74.57
$83,297,330
-19.53% (-281,300)
-0.48%
SHW
1.96%
403,953
$204.75
68.97% $345.96
$82,709,376
SNBR
0.41%
510,000
$33.81
48.54% $17.40
$17,243,100
+63.46% (+198,000)
+0.16%
SYY
1.34%
802,000
$70.71
8.34% $76.61
$56,709,420
-15.31% (-145,000)
-0.24%
TGT
0.63%
180,000
$148.39
11.90% $130.73
$26,710,200
TNC
1.26%
942,966
$56.56
45.35% $82.21
$53,334,156
TTC
3.35%
1,636,000
$86.48
4.87% $82.27
$141,481,280
UNH
6.14%
514,000
$505.04
2.68% $491.50
$259,590,560
-4.99% (-27,000)
-0.32%
USB
3.75%
3,925,000
$40.32
18.43% $47.75
$158,256,000
V
1.22%
290,000
$177.65
77.20% $314.80
$51,518,500
DIS
0.94%
420,000
$94.33
19.25% $112.49
$39,618,600
-7.69% (-35,000)
-0.08%
WFC
1.97%
2,064,000
$40.22
72.65% $69.44
$83,014,080
WK
0.93%
503,857
$77.80
42.94% $111.21
$39,200,074
+4.13% (+20,000)
+0.04%
15 of 55

Completely sold out

MDT
1,488,000
-3.16%
NVT
2,176,066
-1.61%

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.