Advisor Partners’s Emerson Electric EMR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
$1.51M Sell
18,924
-481
-2% -$38.3K 0.11% 207
2022
Q1
$1.9M Buy
19,405
+1,333
+7% +$131K 0.12% 168
2021
Q4
$1.68M Sell
18,072
-964
-5% -$89.7K 0.1% 197
2021
Q3
$1.79M Sell
19,036
-390
-2% -$36.7K 0.12% 166
2021
Q2
$1.87M Buy
19,426
+483
+3% +$46.5K 0.12% 168
2021
Q1
$1.71M Sell
18,943
-3,253
-15% -$293K 0.12% 164
2020
Q4
$1.78M Sell
22,196
-450
-2% -$36.2K 0.13% 150
2020
Q3
$1.49M Sell
22,646
-4
-0% -$262 0.13% 154
2020
Q2
$1.41M Buy
22,650
+5,737
+34% +$356K 0.13% 160
2020
Q1
$805K Sell
16,913
-4,853
-22% -$231K 0.1% 193
2019
Q4
$1.67M Buy
21,766
+3,603
+20% +$276K 0.17% 129
2019
Q3
$1.21M Buy
18,163
+1,933
+12% +$129K 0.15% 151
2019
Q2
$1.08M Sell
16,230
-1,062
-6% -$70.9K 0.13% 152
2019
Q1
$1.18M Buy
17,292
+1,134
+7% +$77.6K 0.15% 137
2018
Q4
$965K Sell
16,158
-1,548
-9% -$92.5K 0.15% 144
2018
Q3
$1.36M Buy
17,706
+976
+6% +$74.7K 0.18% 101
2018
Q2
$1.16M Buy
16,730
+578
+4% +$40K 0.2% 112
2018
Q1
$1.1M Buy
16,152
+455
+3% +$31.1K 0.2% 114
2017
Q4
$1.15M Buy
15,697
+1,037
+7% +$75.8K 0.21% 112
2017
Q3
$921K Buy
14,660
+390
+3% +$24.5K 0.18% 121
2017
Q2
$851K Buy
14,270
+987
+7% +$58.9K 0.2% 122
2017
Q1
$795K Sell
13,283
-216
-2% -$12.9K 0.21% 117
2016
Q4
$753K Sell
13,499
-173
-1% -$9.65K 0.23% 114
2016
Q3
$745K Buy
13,672
+1,290
+10% +$70.3K 0.25% 101
2016
Q2
$646K Buy
12,382
+1,131
+10% +$59K 0.23% 112
2016
Q1
$612K Sell
11,251
-1,946
-15% -$106K 0.23% 117
2015
Q4
$631K Buy
13,197
+4,063
+44% +$194K 0.22% 125
2015
Q3
$403K Sell
9,134
-914
-9% -$40.3K 0.17% 157
2015
Q2
$566K Buy
10,048
+1,833
+22% +$103K 0.22% 137
2015
Q1
$465K Sell
8,215
-424
-5% -$24K 0.2% 154
2014
Q4
$534K Sell
8,639
-253
-3% -$15.6K 0.24% 123
2014
Q3
$556K Sell
8,892
-276
-3% -$17.3K 0.32% 95
2014
Q2
$608K Buy
9,168
+179
+2% +$11.9K 0.3% 107
2014
Q1
$600K Sell
8,989
-366
-4% -$24.4K 0.33% 97
2013
Q4
$657K Buy
9,355
+390
+4% +$27.4K 0.38% 84
2013
Q3
$580K Buy
8,965
+469
+6% +$30.3K 0.41% 81
2013
Q2
$463K Buy
+8,496
New +$463K 0.38% 91