Brown Capital Management’s Bio-Techne TECH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$16.2M Sell
309,561
-126,080
-29% -$7.57M 2.3% 18
2025
Q4
$25.6M Sell
435,641
-600,289
-58% -$36.5M 2.1% 20
2025
Q3
$57.6M Sell
1,035,930
-537,673
-34% -$28.8M 2.38% 19
2025
Q2
$81M Sell
1,573,603
-94,825
-6% -$4.76M 2.35% 17
2025
Q1
$97.8M Sell
1,668,428
-179,294
-10% -$12.2M 2.95% 15
2024
Q4
$133M Sell
1,847,722
-262,492
-12% -$19.3M 3.08% 14
2024
Q3
$169M Sell
2,110,214
-319,334
-13% -$24M 3.63% 10
2024
Q2
$174M Sell
2,429,548
-137,632
-5% -$10.1M 3.52% 13
2024
Q1
$181M Sell
2,567,180
-983,810
-28% -$70.4M 3.2% 14
2023
Q4
$274M Buy
3,550,990
+392,986
+12% +$25.9M 4.11% 10
2023
Q3
$215M Sell
3,158,004
-2,888
-0.1% -$228K 3.29% 14
2023
Q2
$258M Sell
3,160,892
-101,485
-3% -$8.16M 3.66% 10
2023
Q1
$242M Sell
3,262,377
-39,115
-1% -$3.01M 3.62% 13
2022
Q4
$274M Buy
3,301,492
+8,280
+0.3% +$658K 4.53% 6
2022
Q3
$234M Sell
3,293,212
-65,136
-2% -$5.63M 3.28% 12
2022
Q2
$291M Sell
3,358,348
-314,964
-9% -$29.5M 3.9% 10
2022
Q1
$398M Sell
3,673,312
-273,900
-7% -$28.3M 3.96% 8
2021
Q4
$511M Sell
3,947,212
-59,228
-1% -$7.26M 4.22% 9
2021
Q3
$485M Sell
4,006,440
-329,048
-8% -$40M 3.97% 9
2021
Q2
$488M Sell
4,335,488
-1,029,100
-19% -$108M 3.7% 12
2021
Q1
$512M Sell
5,364,588
-628,344
-10% -$57.3M 3.81% 8
2020
Q4
$476M Sell
5,992,932
-122,484
-2% -$8.87M 3.29% 15
2020
Q3
$379M Sell
6,115,416
-9,584
-0.2% -$623K 3.14% 15
2020
Q2
$404M Sell
6,125,000
-100,932
-2% -$6.04M 3.48% 12
2020
Q1
$295M Sell
6,225,932
-339,656
-5% -$17M 3.42% 11
2019
Q4
$360M Buy
6,565,588
+11,400
+0.2% +$598K 3.45% 12
2019
Q3
$321M Sell
6,554,188
-1,600
-0% -$80.2K 3.11% 16
2019
Q2
$342M Sell
6,555,788
-127,008
-2% -$6.4M 3.24% 16
2019
Q1
$332M Sell
6,682,796
-126,900
-2% -$5.71M 3.35% 14
2018
Q4
$246M Sell
6,809,696
-1,462,736
-18% -$61.1M 2.96% 18
2018
Q3
$422M Buy
8,272,432
+349,304
+4% +$15.5M 3.83% 13
2018
Q2
$293M Sell
7,923,128
-35,116
-0.4% -$1.34M 3.01% 18
2018
Q1
$301M Sell
7,958,244
-144,556
-2% -$5.11M 3.41% 14
2017
Q4
$262M Sell
8,102,800
-373,628
-4% -$11.9M 3.19% 15
2017
Q3
$256M Sell
8,476,428
-112,884
-1% -$3.35M 3.12% 14
2017
Q2
$252M Sell
8,589,312
-1,448
-0% -$39.6K 3.09% 15
2017
Q1
$218M Sell
8,590,760
-573,304
-6% -$14.8M 2.91% 15
2016
Q4
$236M Buy
9,164,064
+123,852
+1% +$3.25M 3.44% 13
2016
Q3
$247M Buy
9,040,212
+2,184
+0% +$60K 3.64% 13
2016
Q2
$255M Sell
9,038,028
-915,084
-9% -$23.5M 4.03% 10
2016
Q1
$235M Buy
9,953,112
+143,800
+1% +$3.17M 3.89% 11
2015
Q4
$221M Buy
9,809,312
+56,680
+0.6% +$1.29M 3.46% 11
2015
Q3
$225M Buy
9,752,632
+483,568
+5% +$12.1M 3.86% 8
2015
Q2
$228M Sell
9,269,064
-96
-0% -$2.4K 3.76% 11
2015
Q1
$232M Sell
9,269,160
-59,000
-0.6% -$1.4M 3.83% 10
2014
Q4
$215M Buy
9,328,160
+388,128
+4% +$8.88M 3.72% 11
2014
Q3
$209M Buy
8,940,032
+620,524
+7% +$14.5M 3.7% 6
2014
Q2
$193M Sell
8,319,508
-356,600
-4% -$7.88M 3.21% 12
2014
Q1
$185M Buy
8,676,108
+777,192
+10% +$17.5M 3.05% 12
2013
Q4
$187M Buy
7,898,916
+664,276
+9% +$14.4M 3.06% 12
2013
Q3
$145M Sell
7,234,640
-55,296
-0.8% -$1.05M 2.55% 21
2013
Q2
$126M Buy
+7,289,936
New +$121M 2.7% 18

Other funds holding TECH