Mairs and Power
Mairs and Power
13F
Mairs & Power Inc
Last update 2022-08-15 202 Stocks (2 new)
Value $8.34 Bil Turnover 3 %
Portfolio Report

Mairs and Power Profile

Minnesota-based Mairs and Power manages three mutual funds, the Growth Fund, the Balanced Fund and the Small-Cap Fund. Each is managed according to the same focused long-term investing process that has been the hallmark of the firm since 1931.

Mairs and Power Investing Philosophy

The firm believes the best way to make money for its clients is to consistently utilize a disciplined long-term investment approach. Mairs and Power focuses on companies with consistent, above-average growth, strong returns on invested capital and durable competitive advantages. Low turnover approach allows for fewer, better thought-out investment decisions; following companies for years allows for broad understanding of business strategy, competitive environment and end market business cycle impacts. Maris and Power also focuses on a less efficient area of the market to potentially benefit investors who can take a long-term approach, unlike many active managers and hedge fund managers who focus on short-term catalysts.
Mairs and Power's Top Stock Picks View Full List
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Mairs and Power Total Holding History ($B)

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Mairs and Power's Asset Allocation

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Mairs and Power Past Portfolios

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Mairs and Power's Hypothetical Growth since 2022-06-30

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Mairs and Power's Yearly Returns

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Mairs and Power's Holdings Heat Map

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Mairs and Power's Holdings Bubble Chart

Mairs and Power News

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