Holdings Channel
EntityShares/Amount
Change
Position Value
Change
FI +1,943,707+$258,202
KNF +84,705+$5,606
XLP +44,420+$3,200
XLV +19,483+$2,657
XLU +6,685+$423
ET +27,500+$380
BOH +4,000+$290
AVGO +240+$268
TJX +2,715+$255
AMD +1,552+$229
EntityShares/Amount
Change
Position Value
Change
FISV -1,952,581-$220,564
SNBR -149,958-$3,687
VRTX -755-$263
PLUG -10,000-$76
EntityShares/Amount
Change
Position Value
Change
VZ +756,223+$42,424
BBY +526,417+$41,259
AAPL +434,396+$86,843
HRL +108,944-$28,174
NEOG +85,424+$2,089
PIPR +83,495+$15,772
LNT +67,550+$12,317
ASB +48,432+$2,537
TXN +44,452+$9,181
JPM +41,810+$49,379
EntityShares/Amount
Change
Position Value
Change
DGII -756,687-$20,686
ONB -560,416-$4,380
NVT -387,935-$3,149
JAMF -365,547-$6,189
USB -243,718+$53,642
AMZN -211,476+$34,000
ECL -175,311+$5,810
GGG -161,580+$44,089
ENTG -139,606+$12,751
Size ($ in 1000's)
At 12/31/2023: $9,490,482
At 09/30/2023: $8,520,762

Mairs & Power Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Mairs & Power Inc. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Mairs & Power Inc.
As of  12/31/2023, we find all stocks held by Mairs & Power Inc. to be as follows, presented in the table below with each row detailing each Mairs & Power Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Mairs & Power Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Mairs & Power Inc. as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 1,975,744 -71,642 $742,959
     MSFT1,975,744-71,642$742,959
ALPHABET INC 3,343,819 -34,071 $471,244
     GOOG3,343,819-34,071$471,244
UNITEDHEALTH GROUP INC 811,055 +2,268 $426,996
     UNH811,055+2,268$426,996
AMAZON COM INC 2,452,975 -211,476 $372,705
     AMZN2,452,975-211,476$372,705
NVIDIA CORPORATION 746,438 -63,050 $369,651
     NVDA746,438-63,050$369,651
GRACO INC 4,024,787 -161,580 $349,191
     GGG4,024,787-161,580$349,191
TORO CO 3,225,547 +18,899 $309,620
     TTC3,225,547+18,899$309,620
JPMORGAN CHASE & CO 1,727,101 +41,810 $293,780
     JPM1,727,101+41,810$293,780
US BANCORP DEL 6,037,103 -243,718 $261,286
     USB6,037,103-243,718$261,286
FISERV INC 1,943,707 +1,943,707 $258,202
     FI1,943,707+1,943,707$258,202
ECOLAB INC 1,226,530 -175,311 $243,282
     ECL1,226,530-175,311$243,282
MEDTRONIC PLC 2,937,957 -19,516 $242,029
     MDT2,937,957-19,516$242,029
BIO TECHNE CORP 3,079,483 +25,903 $237,613
     TECH3,079,483+25,903$237,613
LITTELFUSE INC 859,245 -18,774 $229,900
     LFUS859,245-18,774$229,900
ELI LILLY & CO 392,689 -33,619 $228,906
     LLY392,689-33,619$228,906
FASTENAL CO 3,190,597 -43,296 $206,655
     FAST3,190,597-43,296$206,655
QUALCOMM INC 1,399,244 -63,737 $202,373
     QCOM1,399,244-63,737$202,373
JOHNSON & JOHNSON 1,264,667 -80,484 $198,224
     JNJ1,264,667-80,484$198,224
FULLER H B CO 2,276,800 -88,511 $185,354
     FUL2,276,800-88,511$185,354
HORMEL FOODS CORP 5,459,039 +108,944 $175,290
     HRL5,459,039+108,944$175,290
NVENT ELECTRIC PLC 2,853,642 -387,935 $168,622
     NVT2,853,642-387,935$168,622
VISA INC 627,753 +1,264 $163,435
     V627,753+1,264$163,435
ALLIANT ENERGY CORP 3,173,484 +67,550 $162,800
     LNT3,173,484+67,550$162,800
MOTOROLA SOLUTIONS INC 502,457 -29,454 $157,314
     MSI502,457-29,454$157,314
SHERWIN WILLIAMS CO 473,053 -91,029 $147,545
     SHW473,053-91,029$147,545
HONEYWELL INTL INC 677,823 +2,389 $142,146
     HON677,823+2,389$142,146
ABBOTT LABS 1,285,461 -13,538 $141,491
     ABT1,285,461-13,538$141,491
WELLS FARGO CO NEW 2,783,702 -98,134 $137,014
     WFC2,783,702-98,134$137,014
VERIZON COMMUNICATIONS INC 3,386,406 +756,223 $127,668
     VZ3,386,406+756,223$127,668
DONALDSON INC 1,888,681 -56,279 $123,425
     DCI1,888,681-56,279$123,425
ENTEGRIS INC 998,159 -139,606 $119,599
     ENTG998,159-139,606$119,599
ROCKWELL AUTOMATION INC 384,684 +9,132 $119,437
     ROK384,684+9,132$119,437
TENNANT CO 1,224,709 -107,105 $113,518
     TNC1,224,709-107,105$113,518
APPLE INC 584,900 +434,396 $112,611
     AAPL584,900+434,396$112,611
SYSCO CORP 1,412,120 +17,381 $103,268
     SYY1,412,120+17,381$103,268
SCHWAB CHARLES CORP 1,469,537 -8,002 $101,104
     SCHW1,469,537-8,002$101,104
PRINCIPAL FINANCIAL GROUP IN 1,191,691 -1,587 $93,750
     PFG1,191,691-1,587$93,750
WORKIVA INC 768,573 -24,692 $78,033
     WK768,573-24,692$78,033
SALESFORCE INC 279,155 -5,974 $73,457
     CRM279,155-5,974$73,457
TARGET CORP 458,228 -1,450 $65,261
     TGT458,228-1,450$65,261
HOME DEPOT INC 178,942 -7,644 $62,012
     HD178,942-7,644$62,012
C H ROBINSON WORLDWIDE INC 576,746 +6,075 $49,825
     CHRW576,746+6,075$49,825
AMERICAN EXPRESS CO 241,580 -7,146 $45,258
     AXP241,580-7,146$45,258
BEST BUY INC 532,167 +526,417 $41,658
     BBY532,167+526,417$41,658
POLARIS INC 369,884 -9,240 $35,054
     PII369,884-9,240$35,054
DISNEY WALT CO 383,004 +15,722 $34,581
     DIS383,004+15,722$34,581
TEXAS INSTRS INC 184,568 +44,452 $31,461
     TXN184,568+44,452$31,461
UNITED PARCEL SERVICE INC 191,829 -9,263 $30,161
     UPS191,829-9,263$30,161
3M CO 256,353 -12,744 $28,025
     MMM256,353-12,744$28,025
OLD NATL BANCORP IND 1,603,286 -560,416 $27,080
     ONB1,603,286-560,416$27,080
GENERAC HLDGS INC 204,682 -11,300 $26,453
     GNRC204,682-11,300$26,453
XCEL ENERGY INC 353,276 +18,413 $21,871
     XEL353,276+18,413$21,871
BADGER METER INC 141,376 -4,314 $21,824
     BMI141,376-4,314$21,824
PIPER SANDLER COMPANIES 123,095 +83,495 $21,526
     PIPR123,095+83,495$21,526
GENTHERM INC 395,006 +33,570 $20,683
     THRM395,006+33,570$20,683
AUTOMATIC DATA PROCESSING IN 86,231 +2,670 $20,089
     ADP86,231+2,670$20,089
PROCTER AND GAMBLE CO 132,336 -2,168 $19,392
     PG132,336-2,168$19,392
HERSHEY CO 97,220 +19,050 $18,126
     HSY97,220+19,050$18,126
TRAVELERS COMPANIES INC 77,836 -2,365 $14,827
     TRV77,836-2,365$14,827
AZEK CO INC 383,353 -20,560 $14,663
     AZEK383,353-20,560$14,663
WINTRUST FINL CORP 151,765 -13,592 $14,076
     WTFC151,765-13,592$14,076
ALTAIR ENGR INC 160,198 -21,730 $13,481
     ALTR160,198-21,730$13,481
INSPIRE MED SYS INC 64,609 +2,098 $13,143
     INSP64,609+2,098$13,143
NORTHERN TR CORP 151,532 -75,350 $12,786
     NTRS151,532-75,350$12,786
JAMF HLDG CORP 666,246 -365,547 $12,032
     JAMF666,246-365,547$12,032
BERKSHIRE HATHAWAY INC DEL      $11,926
     BRK.B24,308-2,632$8,670
     BRK.A6UNCH$3,256
CASEYS GEN STORES INC 43,327 -8,941 $11,904
     CASY43,327-8,941$11,904
HUB GROUP INC 129,052 +30,327 $11,865
     HUBG129,052+30,327$11,865
AAR CORP 184,126 -26,039 $11,489
     AIR184,126-26,039$11,489
CULLEN FROST BANKERS INC 103,607 -2,729 $11,240
     CFR103,607-2,729$11,240
PLEXUS CORP 95,492 -9,510 $10,326
     PLXS95,492-9,510$10,326
SPDR S&P 500 ETF TR (SPY) 20,518 +10,265 $9,752
     SPY20,518+10,265$9,752
GENERAL MLS INC 148,896 -6,836 $9,699
     GIS148,896-6,836$9,699
JOHN BEAN TECHNOLOGIES CORP 96,927 -3,027 $9,639
     JBT96,927-3,027$9,639
MEDPACE HLDGS INC 31,189 -5,902 $9,560
     MEDP31,189-5,902$9,560
GLACIER BANCORP INC NEW 214,730 -14,495 $8,873
     GBCI214,730-14,495$8,873
QCR HOLDINGS INC 151,155 -6,315 $8,826
     QCRH151,155-6,315$8,826
ASSOCIATED BANC CORP 399,310 +48,432 $8,541
     ASB399,310+48,432$8,541
MGP INGREDIENTS INC NEW 80,693 +3,745 $7,950
     MGPI80,693+3,745$7,950
EMERSON ELEC CO 77,481 -2,847 $7,541
     EMR77,481-2,847$7,541
ABBVIE INC 47,284 -698 $7,328
     ABBV47,284-698$7,328
BLACK HILLS CORP 129,190 -2,435 $6,970
     BKH129,190-2,435$6,970
PENTAIR PLC 94,081 -3,090 $6,841
     PNR94,081-3,090$6,841
MERCK & CO INC 61,984 +2,639 $6,757
     MRK61,984+2,639$6,757
CLEARFIELD INC 229,181 +11,755 $6,665
     CLFD229,181+11,755$6,665
DIGI INTL INC 255,527 -756,687 $6,644
     DGII255,527-756,687$6,644
NEOGEN CORP 321,804 +85,424 $6,471
     NEOG321,804+85,424$6,471
NORTHWESTERN ENERGY GROUP IN 124,530 -2,610 $6,337
     NWE124,530-2,610$6,337
CATALENT INC 137,182 -66,485 $6,164
     CTLT137,182-66,485$6,164
OSHKOSH CORP 53,125 -6,791 $5,759
     OSK53,125-6,791$5,759
PHYSICIANS RLTY TR 422,188 -8,901 $5,619
     DOC422,188-8,901$5,619
KNIFE RIVER CORP 84,705 +84,705 $5,606
     KNF84,705+84,705$5,606
CATERPILLAR INC 17,580 UNCH $5,198
     CAT17,580UNCH$5,198
PFIZER INC 174,976 -82,576 $5,038
     PFE174,976-82,576$5,038
CORNING INC 164,196 -27,315 $5,000
     GLW164,196-27,315$5,000
ALPHABET INC 35,721 +7,320 $4,990
     GOOGL35,721+7,320$4,990
BAXTER INTL INC 120,953 -56,235 $4,676
     BAX120,953-56,235$4,676
SCHWAB STRATEGIC TR 84,000 -720 $4,676
     SCHB84,000-720$4,676
PALO ALTO NETWORKS INC 15,044 +4,534 $4,436
     PANW15,044+4,534$4,436
MCDONALDS CORP 13,894 -216 $4,120
     MCD13,894-216$4,120
CHEVRON CORP NEW 24,578 -756 $3,666
     CVX24,578-756$3,666
ISHARES TR (IVV) 7,031 -612 $3,358
     IVV7,031-612$3,358
COSTCO WHSL CORP NEW 4,936 +1,486 $3,258
     COST4,936+1,486$3,258
SELECT SECTOR SPDR TR (XLP) 44,420 +44,420 $3,200
     XLP44,420+44,420$3,200
EXXON MOBIL CORP 31,387 -100 $3,138
     XOM31,387-100$3,138
CONOCOPHILLIPS 25,019 +319 $2,904
     COP25,019+319$2,904
CVRX INC 91,903 -74,670 $2,889
     CVRX91,903-74,670$2,889
MARCUS CORP DEL 192,346 -15,685 $2,804
     MCS192,346-15,685$2,804
ALERUS FINL CORP 124,294 -17,025 $2,783
     ALRS124,294-17,025$2,783
ORACLE CORP 25,960 -149 $2,737
     ORCL25,960-149$2,737
BRISTOL MYERS SQUIBB CO 53,302 +3,200 $2,735
     BMY53,302+3,200$2,735
SELECT SECTOR SPDR TR (XLV) 19,483 +19,483 $2,657
     XLV19,483+19,483$2,657
INTEL CORP 49,087 -20,015 $2,467
     INTC49,087-20,015$2,467
CINTAS CORP 3,809 UNCH $2,296
     CTAS3,809UNCH$2,296
ZIMMER BIOMET HOLDINGS INC 18,295 -2,490 $2,227
     ZBH18,295-2,490$2,227
SNAP ON INC 7,655 -205 $2,211
     SNA7,655-205$2,211
SKYWATER TECHNOLOGY INC 224,540 UNCH $2,160
     SKYT224,540UNCH$2,160
AMGEN INC 7,465 -10 $2,150
     AMGN7,465-10$2,150
INVESCO QQQ TR 4,704 +2,332 $1,926
     QQQ4,704+2,332$1,926
BECTON DICKINSON & CO 7,884 -23 $1,922
     BDX7,884-23$1,922
WOODWARD INC 14,000 UNCH $1,906
     WWD14,000UNCH$1,906
AMCOR PLC 184,010 -5,210 $1,774
     AMCR184,010-5,210$1,774
EXACT SCIENCES CORP 23,800 UNCH $1,761
     EXAS23,800UNCH$1,761
KIMBERLY CLARK CORP 14,089 -677 $1,712
     KMB14,089-677$1,712
WEYERHAEUSER CO MTN BE 45,993 -5,788 $1,599
     WY45,993-5,788$1,599
PEPSICO INC 9,220 +8 $1,566
     PEP9,220+8$1,566
SELECT SECTOR SPDR TR (XLK) 8,089 +377 $1,557
     XLK8,089+377$1,557
LOWES COS INC 6,972 -105 $1,552
     LOW6,972-105$1,552
IDEXX LABS INC 2,777 -51 $1,541
     IDXX2,777-51$1,541
UNION PAC CORP 5,910 -1,004 $1,452
     UNP5,910-1,004$1,452
COCA COLA CO 24,306 +259 $1,432
     KO24,306+259$1,432
MOSAIC CO NEW 39,000 UNCH $1,393
     MOS39,000UNCH$1,393
PATTERSON COS INC 42,730 -100 $1,216
     PDCO42,730-100$1,216
APPLIED MATLS INC 7,477 UNCH $1,212
     AMAT7,477UNCH$1,212
STRYKER CORPORATION 4,012 -38 $1,201
     SYK4,012-38$1,201
ADOBE INC 1,860 +10 $1,110
     ADBE1,860+10$1,110
WALMART INC 6,883 -25 $1,085
     WMT6,883-25$1,085
PHILLIPS 66 7,680 +1 $1,023
     PSX7,680+1$1,023
CISCO SYS INC 20,001 -480 $1,010
     CSCO20,001-480$1,010
ISHARES TR (DVY) 8,350 +900 $979
     DVY8,350+900$979
HAWKINS INC 13,320 UNCH $938
     HWKN13,320UNCH$938
VERICEL CORP 25,915 UNCH $923
     VCEL25,915UNCH$923
SHELL PLC 13,920 UNCH $916
     SHEL13,920UNCH$916
BANK MONTREAL QUE 9,000 UNCH $890
     BMO9,000UNCH$890
NORFOLK SOUTHN CORP 3,722 UNCH $880
     NSC3,722UNCH$880
GENERAL ELECTRIC CO 6,866 -580 $876
     GE6,866-580$876
IDEX CORP 4,000 UNCH $868
     IEX4,000UNCH$868
THERMO FISHER SCIENTIFIC INC 1,631 +67 $866
     TMO1,631+67$866
BANK AMERICA CORP 25,117 -400 $846
     BAC25,117-400$846
SCHLUMBERGER LTD 14,625 UNCH $761
     SLB14,625UNCH$761
ALLETE INC 12,188 -1,420 $745
     ALE12,188-1,420$745
META PLATFORMS INC 2,080 +10 $736
     META2,080+10$736
RTX CORPORATION 8,621 -384 $725
     RTX8,621-384$725
AMERIPRISE FINL INC 1,895 -267 $720
     AMP1,895-267$720
CHUBB LIMITED 3,002 +17 $678
     CB3,002+17$678
VANGUARD SPECIALIZED FUNDS (VIG) 3,882 -575 $661
     VIG3,882-575$661
AMERICAN WTR WKS CO INC NEW 5,000 UNCH $660
     AWK5,000UNCH$660
BOEING CO 2,501 -170 $652
     BA2,501-170$652
BOSTON SCIENTIFIC CORP 10,335 +39 $597
     BSX10,335+39$597
NVE CORP 7,300 -100 $573
     NVEC7,300-100$573
SCHWAB STRATEGIC TR 15,000 UNCH $554
     SCHF15,000UNCH$554
STURM RUGER & CO INC 12,000 UNCH $545
     RGR12,000UNCH$545
MASTERCARD INCORPORATED 1,255 +354 $535
     MA1,255+354$535
CLEVELAND CLIFFS INC NEW 26,000 UNCH $531
     CLF26,000UNCH$531
BP PLC 14,850 -750 $526
     BP14,850-750$526
STARBUCKS CORP 5,417 -598 $520
     SBUX5,417-598$520
HUNTINGTON BANCSHARES INC (HBAN) 40,546 -2,075 $516
     HBAN40,546-2,075$516
NIKE INC 4,646 +88 $504
     NKE4,646+88$504
CANADIAN IMPERIAL BK COMM TO 10,176 UNCH $490
     CM10,176UNCH$490
UNITED FIRE GROUP INC 24,000 -2,000 $483
     UFCS24,000-2,000$483
VANGUARD INDEX FDS (VUG) 1,543 UNCH $480
     VUG1,543UNCH$480
AMERICAN TOWER CORP NEW 2,211 -188 $477
     AMT2,211-188$477
HARLEY DAVIDSON INC 12,200 -2,150 $449
     HOG12,200-2,150$449
PHILIP MORRIS INTL INC 4,740 -5 $446
     PM4,740-5$446
LOCKHEED MARTIN CORP 958 -70 $434
     LMT958-70$434
ILLINOIS TOOL WKS INC 1,639 +15 $429
     ITW1,639+15$429
SELECT SECTOR SPDR TR (XLU) 6,685 +6,685 $423
     XLU6,685+6,685$423
BRADY CORP 7,000 UNCH $411
     BRC7,000UNCH$411
PAYCHEX INC 3,445 -692 $410
     PAYX3,445-692$410
MARSH & MCLENNAN COS INC 2,159 -13 $409
     MMC2,159-13$409
ISHARES TR (IWO) 1,547 -426 $390
     IWO1,547-426$390
TESLA INC 1,554 UNCH $386
     TSLA1,554UNCH$386
ENERGY TRANSFER L P 27,500 +27,500 $380
     ET27,500+27,500$380
ZOETIS INC 1,923 UNCH $380
     ZTS1,923UNCH$380
SURMODICS INC 10,000 UNCH $364
     SRDX10,000UNCH$364
WEC ENERGY GROUP INC 4,209 -143 $354
     WEC4,209-143$354
DEERE & CO 857 -2 $343
     DE857-2$343
NUVEEN MINN QUALITY MUN INM 31,200 UNCH $343
     NMS31,200UNCH$343
UNITED RENTALS INC 595 +45 $341
     URI595+45$341
NEWMONT CORP 8,000 UNCH $331
     NEM8,000UNCH$331
AT&T INC 17,884 -5,300 $300
     T17,884-5,300$300
REGIONS FINANCIAL CORP NEW 15,000 UNCH $291
     RF15,000UNCH$291
BANK HAWAII CORP 4,000 +4,000 $290
     BOH4,000+4,000$290
DANAHER CORPORATION 1,226 +7 $284
     DHR1,226+7$284
SONOCO PRODS CO 5,035 +35 $281
     SON5,035+35$281
TRANE TECHNOLOGIES PLC 1,144 -35 $279
     TT1,144-35$279
MONDELEZ INTL INC 3,745 +336 $271
     MDLZ3,745+336$271
BROADCOM INC 240 +240 $268
     AVGO240+240$268
ACCENTURE PLC IRELAND 736 +10 $258
     ACN736+10$258
TJX COS INC NEW 2,715 +2,715 $255
     TJX2,715+2,715$255
MSA SAFETY INC 1,490 +20 $252
     MSA1,490+20$252
NEXTERA ENERGY INC 4,114 -400 $250
     NEE4,114-400$250
BIOGEN INC 950 UNCH $246
     BIIB950UNCH$246
AMETEK INC 1,471 UNCH $243
     AME1,471UNCH$243
COLGATE PALMOLIVE CO 3,001 UNCH $239
     CL3,001UNCH$239
GENUINE PARTS CO 1,700 -250 $235
     GPC1,700-250$235
ADVANCED MICRO DEVICES INC 1,552 +1,552 $229
     AMD1,552+1,552$229
CHIPOTLE MEXICAN GRILL INC 100 +100 $229
     CMG100+100$229
CARRIER GLOBAL CORPORATION 3,960 UNCH $228
     CARR3,960UNCH$228
CARDINAL HEALTH INC 2,238 +2,238 $226
     CAH2,238+2,238$226
COMCAST CORP NEW 4,961 -326 $218
     CMCSA4,961-326$218
ISHARES TR (IXN) 3,150 +3,150 $215
     IXN3,150+3,150$215
LINDE PLC 523 +523 $215
     LIN523+523$215
INTERNATIONAL BUSINESS MACHS 1,302 +1,302 $213
     IBM1,302+1,302$213
MURPHY OIL CORP 5,000 UNCH $213
     MUR5,000UNCH$213
ISHARES TR (IJR) 1,946 -384 $211
     IJR1,946-384$211
ISHARES TR (EFA) 2,792 +2,792 $210
     EFA2,792+2,792$210
SEI INVTS CO 3,300 +3,300 $210
     SEIC3,300+3,300$210
NOVARTIS AG 2,024 +2,024 $204
     NVS2,024+2,024$204
ALTRIA GROUP INC 5,040 +3 $203
     MO5,040+3$203
VANGUARD WORLD FDS (VGT) 420 +420 $203
     VGT420+420$203
AUTODESK INC 825 +825 $201
     ADSK825+825$201
ELANCO ANIMAL HEALTH INC 13,442 -65,352 $200
     ELAN13,442-65,352$200
FORD MTR CO DEL 15,600 UNCH $190
     F15,600UNCH$190
NUVEEN PFD & INCOME OPPORTUN 26,999 +26,999 $183
     JPC26,999+26,999$183
SNAP INC 10,000 UNCH $169
     SNAP10,000UNCH$169
DAKTRONICS INC 19,000 UNCH $161
     DAKT19,000UNCH$161
SMITH & WESSON BRANDS INC 10,000 UNCH $136
     SWBI10,000UNCH$136
SHYFT GROUP INC 10,000 UNCH $122
     SHYF10,000UNCH$122
AXOGEN INC 17,000 -5,000 $116
     AXGN17,000-5,000$116
FISERV INC $0 (exited)
     FISV0-1,952,581$0
PLUG POWER INC $0 (exited)
     PLUG0-10,000$0
SLEEP NUMBER CORP $0 (exited)
     SNBR0-149,958$0
VERTEX PHARMACEUTICALS INC 0 -755 $0 (exited)
     VRTX0-755$0

See Summary: Mairs & Power Inc. Top Holdings
See Details: Top 10 Stocks Held By Mairs & Power Inc.

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