Mairs & Power Growth Fund

History Stock Activity Share change % change to portfolio
Q2  2021
DCI - Donaldson Co. Reduce 1.18% 20,000 0.02
TTC - Toro Co. Reduce 2.23% 35,000 0.07
MDT - Medtronic plc Reduce 3.82% 65,000 0.15
MMM - 3M Co. Reduce 4.21% 20,000 0.07
USB - U.S. Bancorp Reduce 5.12% 200,000 0.21
NVT - nVent Electric plc Reduce 5.64% 130,000 0.07
TECH - Bio-Techne Corp. Reduce 5.75% 100,000 0.21
COR-OLD - CoreSite Realty Corp. Reduce 6.32% 55,000 0.13
WFC - Wells Fargo Reduce 7.42% 190,000 0.16
NVDA - NVIDIA Corp. Reduce 8.00% 96,000 0.35
GOOG - Alphabet Inc. CL C Reduce 9.17% 304,000 0.69
FUL - H.B. Fuller Co. Reduce 11.99% 205,000 0.24
ELAN - Elanco Animal Health Inc. Reduce 14.84% 75,000 0.05
PFG - Principal Financial Group Reduce 22.69% 245,000 0.28
AXP - American Express Reduce 25.53% 60,000 0.18
GWB - Great Western Bancorp Reduce 42.86% 315,000 0.19
ZBH - Zimmer Biomet Holdings Sell 100.00% 65,000 0.20
NVEC - NVE Corp. Sell 100.00% 95,592 0.13
Q1  2021
JAMF - Jamf Holding Corp. Reduce 0.61% 5,000 0.00
MDT - Medtronic plc Reduce 1.73% 30,000 0.07
JNJ - Johnson & Johnson Reduce 2.52% 20,000 0.06
DCI - Donaldson Co. Reduce 3.43% 60,000 0.07
TECH - Bio-Techne Corp. Reduce 7.94% 150,000 0.28
DIS - Walt Disney Co. Reduce 9.73% 55,000 0.20
GOOG - Alphabet Inc. CL C Reduce 9.80% 360,000 0.73
WFC - Wells Fargo Reduce 10.18% 290,000 0.22
USB - U.S. Bancorp Reduce 16.45% 770,000 0.84
PRLB - Proto Labs Inc. Reduce 16.67% 18,000 0.04
NVT - nVent Electric plc Reduce 17.08% 475,000 0.26
MMM - 3M Co. Reduce 22.76% 140,000 0.53
AXP - American Express Reduce 38.96% 150,000 0.41
GWB - Great Western Bancorp Reduce 42.58% 545,000 0.33
PFG - Principal Financial Group Reduce 42.86% 810,000 0.95
NVEC - NVE Corp. Reduce 51.10% 99,908 0.14
ZBH - Zimmer Biomet Holdings Reduce 72.34% 170,000 0.52
Q4  2020
GGG - Graco Inc. Reduce 0.88% 20,000 0.03
DCI - Donaldson Co. Reduce 1.69% 30,000 0.03
USB - U.S. Bancorp Reduce 2.09% 100,000 0.10
QCOM - QUALCOMM Inc. Reduce 2.75% 17,100 0.05
PFE - Pfizer Inc. Reduce 9.01% 100,000 0.08
MMM - 3M Co. Reduce 9.56% 65,000 0.23
WK - Workiva Inc. Reduce 11.13% 33,400 0.06
NVEC - NVE Corp. Reduce 11.14% 24,500 0.03
NVDA - NVIDIA Corp. Reduce 13.43% 180,000 0.49
PFG - Principal Financial Group Reduce 15.63% 350,000 0.36
GLW - Corning Inc. Reduce 20.66% 250,000 0.19
DIS - Walt Disney Co. Reduce 41.75% 405,000 1.52
AXP - American Express Reduce 42.54% 285,000 0.71
HON - Honeywell Int'l Inc. Reduce 44.44% 180,000 0.79
SYY - Sysco Corp. Reduce 49.60% 310,000 0.47
ZBH - Zimmer Biomet Holdings Reduce 54.68% 283,500 0.90
GIS - General Mills Sell 100.00% 180,000 0.26
Q3  2020
HRL - Hormel Foods Corp. Reduce 1.10% 25,000 0.03
DCI - Donaldson Co. Reduce 1.11% 20,000 0.02
GGG - Graco Inc. Reduce 3.62% 85,000 0.12
SYY - Sysco Corp. Reduce 3.85% 25,000 0.04
ECL - Ecolab Inc. Reduce 3.91% 35,000 0.16
GLW - Corning Inc. Reduce 3.97% 50,000 0.04
NVDA - NVIDIA Corp. Reduce 4.29% 60,000 0.19
TECH - Bio-Techne Corp. Reduce 5.97% 120,000 0.17
MMM - 3M Co. Reduce 7.09% 51,900 0.19
ABT - Abbott Labs Reduce 8.04% 45,000 0.11
DIS - Walt Disney Co. Reduce 10.07% 108,600 0.31
AXP - American Express Reduce 14.10% 110,000 0.25
PFE - Pfizer Inc. Reduce 14.62% 190,000 0.16
ZBH - Zimmer Biomet Holdings Reduce 19.43% 125,000 0.39
FAST - Fastenal Reduce 20.43% 470,000 0.49
HON - Honeywell Int'l Inc. Reduce 22.37% 116,700 0.44
CHRW - C.H. Robinson Worldwide Reduce 40.85% 435,000 1.02
Q2  2020
GOOG - Alphabet Inc. CL C Reduce 1.83% 68,000 0.12
ZBH - Zimmer Biomet Holdings Reduce 2.28% 15,000 0.04
UNH - United Health Group Inc. Reduce 2.50% 12,900 0.09
RHHBY - Roche Holding AG ADR Reduce 2.75% 90,000 0.09
ECL - Ecolab Inc. Reduce 4.47% 41,900 0.20
NVDA - NVIDIA Corp. Reduce 5.41% 80,000 0.18
GLW - Corning Inc. Reduce 9.35% 130,000 0.08
PFE - Pfizer Inc. Reduce 10.96% 160,000 0.13
JNJ - Johnson & Johnson Reduce 11.67% 105,000 0.36
ABT - Abbott Labs Reduce 13.26% 85,600 0.19
CHRW - C.H. Robinson Worldwide Reduce 13.41% 165,000 0.31
TECH - Bio-Techne Corp. Reduce 14.84% 350,000 0.56
FAST - Fastenal Reduce 16.97% 470,000 0.49
MMM - 3M Co. Reduce 18.76% 169,000 0.64
DCI - Donaldson Co. Reduce 22.58% 525,000 0.59
LLY - Eli Lilly & Co. Reduce 23.66% 79,031 0.31
GIS - General Mills Reduce 58.14% 250,000 0.37
CLB - Core Laboratories Inc. Sell 100.00% 695,000 0.20
Q1  2020
DCI - Donaldson Co. Reduce 1.69% 40,000 0.04
UNH - United Health Group Inc. Reduce 1.90% 10,000 0.07
TTC - Toro Co. Reduce 2.58% 40,000 0.07
FI - Fiserv Inc. Reduce 2.99% 30,000 0.08
HON - Honeywell Int'l Inc. Reduce 3.08% 16,600 0.06
LLY - Eli Lilly & Co. Reduce 4.30% 15,000 0.06
MDT - Medtronic plc Reduce 5.10% 88,200 0.22
GOOG - Alphabet Inc. CL C Reduce 5.21% 204,000 0.33
QCOM - QUALCOMM Inc. Reduce 5.44% 35,800 0.07
CHRW - C.H. Robinson Worldwide Reduce 5.75% 75,000 0.14
GGG - Graco Inc. Reduce 10.98% 290,000 0.39
RHHBY - Roche Holding AG ADR Reduce 11.49% 425,000 0.48
FAST - Fastenal Reduce 13.98% 450,000 0.39