Universe · entity

MAIRS & POWER INC

Institutional manager (13F) · CIK 1070134
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $8.9B
#IssuerValueShares
1NVIDIA CORPORATION$830M4,761,351
2MICROSOFT CORP$719M1,942,391
3AMAZON COM INC$542M2,602,912
4ALPHABET INC$462M1,611,610
5GRACO INC$323M3,815,684
6JPMORGAN CHASE & CO$310M1,054,197
7APPLE INC$307M1,208,398
8ELI LILLY & CO$300M326,306
9VISA INC$254M840,917
10TORO CO$254M2,718,983
11LITTELFUSE INC$246M724,710
12NVENT ELEC PLC$244M2,066,420
13MOTOROLA SOLUTIONS INC$235M540,732
14WEC ENERGY GROUP INC$221M1,910,685
15ALLIANT ENERGY CORP$207M2,889,060
16ECOLAB INC$203M761,818
17UNITEDHEALTH GROUP INC$201M741,083
18META PLATFORMS INC$186M324,625
19FASTENAL CO$182M3,922,442
20VERIZON COMMUNICATIONS INC$166M3,315,436
21TAIWAN SEMICONDUCTOR MANUFAC$164M486,253
22ENTEGRIS INC$157M1,343,104
23FULLER H B CO$146M2,361,617
24BIO-TECHNE CORP$144M2,750,282
25JOHNSON & JOHNSON$141M577,590
26C H ROBINSON WORLDWIDE IN$141M848,203
27SHERWIN WILLIAMS CO$140M437,760
28FISERV INC$120M2,152,853
29WELLS FARGO & CO$109M1,365,876
30ROCKWELL AUTOMATION INC$102M283,553
31WASTE MGMT INC DEL$92M398,240
32AMERIPRISE FINL INC$88M197,047
33PALO ALTO NETWORKS INC$85M532,679
34HORMEL FOODS CORP$77M3,417,959
35ABBOTT LABORATORIES$74M721,778
36CASEYS GEN STORES INC$70M95,937
37QUALCOMM INC$62M478,055
38COGNEX CORP$60M1,223,875
39TENNANT CO$53M803,464
403M CO$51M351,848
41HOME DEPOT INC$50M153,398
42HONEYWELL INTL INC$47M208,448
43INTUITIVE SURGICAL INC$46M99,885
44AMERICAN EXPRESS CO$45M148,821
45TEXAS INSTRS INC$45M231,151
46IDACORP INC$43M301,377
47WORKIVA INC$43M715,640
48DONALDSON INC$42M499,374
49PIPER SANDLER COMPANIES$42M546,090
50TRAVELERS COMPANIES INC$42M142,414
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.