First Foundation Advisors’s Emerson Electric EMR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$657K Hold
4,928
0.02% 222
2025
Q1
$540K Sell
4,928
-792
-14% -$86.8K 0.02% 218
2024
Q4
$709K Hold
5,720
0.03% 195
2024
Q3
$626K Sell
5,720
-399
-7% -$43.6K 0.02% 215
2024
Q2
$674K Buy
6,119
+1,044
+21% +$115K 0.03% 200
2024
Q1
$576K Buy
5,075
+521
+11% +$59.1K 0.02% 210
2023
Q4
$443K Sell
4,554
-1,240
-21% -$121K 0.02% 243
2023
Q3
$560K Buy
5,794
+253
+5% +$24.4K 0.03% 240
2023
Q2
$501K Buy
5,541
+467
+9% +$42.2K 0.02% 248
2023
Q1
$442K Sell
5,074
-657
-11% -$57.3K 0.02% 249
2022
Q4
$551K Sell
5,731
-515
-8% -$49.5K 0.03% 234
2022
Q3
$457K Sell
6,246
-941
-13% -$68.9K 0.02% 244
2022
Q2
$572K Buy
7,187
+3
+0% +$239 0.03% 234
2022
Q1
$704K Buy
7,184
+21
+0.3% +$2.06K 0.03% 222
2021
Q4
$666K Sell
7,163
-205
-3% -$19.1K 0.02% 237
2021
Q3
$694K Buy
7,368
+345
+5% +$32.5K 0.03% 236
2021
Q2
$676K Sell
7,023
-223
-3% -$21.5K 0.03% 247
2021
Q1
$654K Buy
7,246
+29
+0.4% +$2.62K 0.03% 239
2020
Q4
$580K Sell
7,217
-61
-0.8% -$4.9K 0.03% 247
2020
Q3
$477K Buy
7,278
+8
+0.1% +$524 0.02% 244
2020
Q2
$451K Sell
7,270
-810
-10% -$50.2K 0.02% 243
2020
Q1
$385K Sell
8,080
-998
-11% -$47.6K 0.02% 253
2019
Q4
$692K Sell
9,078
-877
-9% -$66.9K 0.03% 208
2019
Q3
$666K Buy
9,955
+532
+6% +$35.6K 0.04% 201
2019
Q2
$629K Buy
9,423
+576
+7% +$38.4K 0.04% 202
2019
Q1
$606K Sell
8,847
-67
-0.8% -$4.59K 0.04% 195
2018
Q4
$533K Buy
8,914
+36
+0.4% +$2.15K 0.03% 246
2018
Q3
$680K Buy
8,878
+55
+0.6% +$4.21K 0.04% 207
2018
Q2
$610K Sell
8,823
-10
-0.1% -$691 0.04% 199
2018
Q1
$603K Buy
8,833
+10
+0.1% +$683 0.03% 198
2017
Q4
$615K Sell
8,823
-996
-10% -$69.4K 0.03% 211
2017
Q3
$617K Buy
9,819
+1,900
+24% +$119K 0.04% 184
2017
Q2
$472K Buy
7,919
+6
+0.1% +$358 0.03% 210
2017
Q1
$474K Sell
7,913
-3,264
-29% -$196K 0.03% 214
2016
Q4
$623K Buy
11,177
+381
+4% +$21.2K 0.04% 176
2016
Q3
$588K Buy
10,796
+2,900
+37% +$158K 0.04% 178
2016
Q2
$412K Sell
7,896
-3,752
-32% -$196K 0.03% 209
2016
Q1
$633K Hold
11,648
0.05% 153
2015
Q4
$557K Hold
11,648
0.04% 171
2015
Q3
$514K Sell
11,648
-899
-7% -$39.7K 0.04% 145
2015
Q2
$695K Buy
12,547
+168
+1% +$9.31K 0.06% 129
2015
Q1
$701K Buy
12,379
+6,777
+121% +$384K 0.06% 126
2014
Q4
$346K Sell
5,602
-32
-0.6% -$1.98K 0.03% 179
2014
Q3
$353K Buy
5,634
+97
+2% +$6.08K 0.04% 167
2014
Q2
$367K Sell
5,537
-55
-1% -$3.65K 0.04% 154
2014
Q1
$374K Sell
5,592
-536
-9% -$35.8K 0.05% 131
2013
Q4
$430K Sell
6,128
-6,300
-51% -$442K 0.06% 112
2013
Q3
$804K Buy
12,428
+6,750
+119% +$437K 0.13% 65
2013
Q2
$310K Buy
+5,678
New +$310K 0.06% 100