MPI
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Mairs & Power Inc’s Deluxe DLX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-29,719
Closed -$899K 208
2022
Q1
$899K Sell
29,719
-317
-1% -$9.59K 0.01% 136
2021
Q4
$964K Sell
30,036
-59
-0.2% -$1.89K 0.01% 138
2021
Q3
$1.08M Buy
30,095
+1,262
+4% +$45.3K 0.01% 131
2021
Q2
$1.38M Sell
28,833
-200
-0.7% -$9.55K 0.01% 129
2021
Q1
$1.22M Sell
29,033
-1,000
-3% -$42K 0.01% 130
2020
Q4
$877K Sell
30,033
-3,426
-10% -$100K 0.01% 145
2020
Q3
$861K Sell
33,459
-2,250
-6% -$57.9K 0.01% 139
2020
Q2
$841K Sell
35,709
-1,500
-4% -$35.3K 0.01% 135
2020
Q1
$965K Buy
37,209
+420
+1% +$10.9K 0.01% 130
2019
Q4
$1.84M Sell
36,789
-2,733
-7% -$136K 0.02% 121
2019
Q3
$1.94M Sell
39,522
-7,628
-16% -$375K 0.02% 117
2019
Q2
$1.92M Sell
47,150
-2,526
-5% -$103K 0.02% 118
2019
Q1
$2.17M Sell
49,676
-80
-0.2% -$3.5K 0.03% 115
2018
Q4
$1.91M Sell
49,756
-6,437
-11% -$247K 0.03% 114
2018
Q3
$3.2M Sell
56,193
-6,200
-10% -$353K 0.04% 107
2018
Q2
$4.13M Sell
62,393
-1,487
-2% -$98.5K 0.05% 101
2018
Q1
$4.73M Sell
63,880
-6,738
-10% -$499K 0.06% 97
2017
Q4
$5.43M Sell
70,618
-2,807
-4% -$216K 0.06% 92
2017
Q3
$5.36M Sell
73,425
-2,575
-3% -$188K 0.06% 93
2017
Q2
$5.26M Sell
76,000
-7,194
-9% -$498K 0.06% 93
2017
Q1
$6M Sell
83,194
-27,904
-25% -$2.01M 0.07% 90
2016
Q4
$7.96M Sell
111,098
-31,127
-22% -$2.23M 0.1% 86
2016
Q3
$9.5M Sell
142,225
-19,835
-12% -$1.33M 0.13% 72
2016
Q2
$10.8M Sell
162,060
-24,537
-13% -$1.63M 0.15% 67
2016
Q1
$11.7M Sell
186,597
-473,297
-72% -$29.6M 0.17% 67
2015
Q4
$36M Sell
659,894
-122,198
-16% -$6.66M 0.54% 45
2015
Q3
$43.6M Sell
782,092
-9,410
-1% -$525K 0.68% 45
2015
Q2
$49.1M Sell
791,502
-17,878
-2% -$1.11M 0.69% 45
2015
Q1
$56.1M Buy
809,380
+10,503
+1% +$728K 0.77% 43
2014
Q4
$49.7M Buy
798,877
+2,513
+0.3% +$156K 0.69% 44
2014
Q3
$43.9M Buy
796,364
+1,037
+0.1% +$57.2K 0.64% 45
2014
Q2
$46.6M Sell
795,327
-13,970
-2% -$818K 0.66% 45
2014
Q1
$42.5M Buy
809,297
+323,419
+67% +$17M 0.63% 45
2013
Q4
$25.4M Buy
485,878
+6,731
+1% +$351K 0.39% 49
2013
Q3
$20M Buy
479,147
+6,498
+1% +$271K 0.34% 51
2013
Q2
$16.4M Buy
+472,649
New +$16.4M 0.31% 52