Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.42M Sell
9,752
-129
-1% -$20.5K 0.02% 266
2025
Q4
$1.58M Sell
9,881
-447
-4% -$73.1K 0.03% 234
2025
Q3
$1.6M Buy
10,328
+1,126
+12% +$174K 0.03% 234
2025
Q2
$1.4M Buy
9,202
+36
+0.4% +$5.14K 0.03% 242
2025
Q1
$1.35M Sell
9,166
-658
-7% -$96.7K 0.03% 245
2024
Q4
$1.27M Buy
9,824
+3,846
+64% +$504K 0.02% 227
2024
Q3
$817K Sell
5,978
-907
-13% -$111K 0.02% 247
2024
Q2
$704K Sell
6,885
-2,254
-25% -$220K 0.01% 252
2024
Q1
$810K Buy
9,139
+890
+11% +$73.8K 0.02% 232
2023
Q4
$754K Sell
8,249
-1,032
-11% -$82.8K 0.02% 236
2023
Q3
$726K Buy
9,281
+5,555
+149% +$477K 0.02% 219
2023
Q2
$312K Sell
3,726
-376
-9% -$31.9K 0.01% 211
2023
Q1
$361K Buy
4,102
+435
+12% +$41K 0.01% 206
2022
Q4
$368K Buy
3,667
+388
+12% +$39.6K 0.01% 213
2022
Q3
$303K Hold
3,279
0.01% 219
2022
Q2
$355K Hold
3,279
0.01% 210
2022
Q1
$408K Sell
3,279
-260
-7% -$34.6K 0.01% 214
2021
Q4
$526K Sell
3,539
-509
-13% -$75.8K 0.01% 200
2021
Q3
$594K Buy
4,048
+227
+6% +$36.8K 0.02% 184
2021
Q2
$635K Sell
3,821
-180
-4% -$30K 0.02% 184
2021
Q1
$645K Buy
4,001
+203
+5% +$30.4K 0.02% 176
2020
Q4
$555K Sell
3,798
-517
-12% -$73.4K 0.02% 184
2020
Q3
$578K Buy
4,315
+354
+9% +$47.6K 0.02% 158
2020
Q2
$517K Sell
3,961
-660
-14% -$83.2K 0.02% 161
2020
Q1
$527K Sell
4,621
-8
-0.2% -$1.05K 0.03% 149
2019
Q4
$683K Sell
4,629
-227
-5% -$31.8K 0.03% 157
2019
Q3
$667K Sell
4,856
-2,095
-30% -$293K 0.03% 152
2019
Q2
$1.01M Sell
6,951
-102,160
-94% -$15.7M 0.05% 131
2019
Q1
$19M Buy
109,111
+2,978
+3% +$501K 1.36% 32
2018
Q4
$16.9M Buy
106,133
+1,935
+2% +$321K 1.35% 30
2018
Q3
$18.4M Buy
104,198
+1,768
+2% +$305K 1.29% 35
2018
Q2
$17.1M Buy
102,430
+15,277
+18% +$2.61M 1.25% 37
2018
Q1
$16M Sell
87,153
-1,007
-1% -$200K 1.25% 35
2017
Q4
$17.4M Sell
88,160
-820
-0.9% -$158K 1.38% 27
2017
Q3
$15.6M Buy
88,980
+697
+0.8% +$121K 1.34% 34
2017
Q2
$14.7M Buy
88,283
+1,024
+1% +$171K 1.26% 38
2017
Q1
$14.3M Sell
87,259
-45,407
-34% -$6.96M 1.26% 37
2016
Q4
$19.8M Buy
132,666
+86
+0.1% +$12.4K 1.92% 16
2016
Q3
$19.5M Sell
132,580
-553
-0.4% -$82.6K 2.34% 15
2016
Q2
$19.5M Buy
133,133
+736
+0.6% +$104K 2.41% 15
2016
Q1
$18.4M Buy
132,397
+3,473
+3% +$446K 2.18% 16
2015
Q4
$16.2M Buy
128,924
+30,486
+31% +$3.92M 1.96% 18
2015
Q3
$11.7M Buy
98,438
+8,215
+9% +$1.01M 1.52% 30
2015
Q2
$11.6M Buy
90,223
+7,430
+9% +$996K 1.55% 32
2015
Q1
$11.4M Buy
82,793
+7,730
+10% +$1.07M 1.63% 31
2014
Q4
$10.3M Buy
75,063
+2,341
+3% +$300K 1.55% 33
2014
Q3
$8.62M Sell
72,722
-450
-0.6% -$54.1K 1.35% 40
2014
Q2
$8.76M Buy
73,172
+1,199
+2% +$141K 1.4% 38
2014
Q1
$8.16M Buy
71,973
+8,799
+14% +$977K 1.33% 37
2013
Q4
$7.41M Buy
63,174
+1,495
+2% +$159K 1.18% 40
2013
Q3
$6.16M Buy
61,679
+109
+0.2% +$10.6K 1.08% 41
2013
Q2
$5.63M Buy
+61,570
New +$5.59M 1.04% 42

Other funds holding MMM

Crestwood Advisors Group's MMM Position: Q1 2026 in Review

Crestwood Advisors Group reduced its 3M (MMM) stake by 1.3% in Q1 2026, selling an estimated $20.5K and leaving 9,752 shares worth $1.42M. The position accounts for 0.02% of the portfolio, ranked #266.

Crestwood Advisors Group first reported a position in MMM in Q2 2013 and has held it in 52 quarters since. The position peaked at $19.8M in Q4 2016. 2,156 funds tracked by Wall St. Rank hold MMM as of Q1 2026.

  • Crestwood Advisors Group held 9,752 shares of 3M worth $1.42M as of Q1 2026.
  • Crestwood Advisors Group sold 129 3M shares in Q1 2026, an estimated $20.5K.
  • 3M made up 0.02% of Crestwood Advisors Group's portfolio in Q1 2026, its #266 holding.
  • Crestwood Advisors Group first reported a position in 3M in Q2 2013 and has held it in 52 quarters since.
  • Crestwood Advisors Group's 3M position peaked at $19.8M in Q4 2016.
  • 2,156 funds tracked by Wall St. Rank held 3M as of Q1 2026.

Based on Crestwood Advisors Group's 13F filing for Q1 2026, filed 5 May 2026.