Liberty Capital Management’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
$811K Hold
6,083
0.16% 97
2025
Q1
$667K Buy
6,083
+110
+2% +$12.1K 0.15% 98
2024
Q4
$740K Hold
5,973
0.16% 95
2024
Q3
$653K Hold
5,973
0.14% 96
2024
Q2
$658K Buy
5,973
+347
+6% +$38.2K 0.16% 96
2024
Q1
$638K Sell
5,626
-337
-6% -$38.2K 0.16% 97
2023
Q4
$580K Sell
5,963
-139
-2% -$13.5K 0.15% 98
2023
Q3
$589K Hold
6,102
0.17% 91
2023
Q2
$552K Hold
6,102
0.17% 97
2023
Q1
$532K Sell
6,102
-165
-3% -$14.4K 0.17% 94
2022
Q4
$602K Hold
6,267
0.21% 89
2022
Q3
$459K Sell
6,267
-112
-2% -$8.2K 0.17% 93
2022
Q2
$507K Hold
6,379
0.18% 91
2022
Q1
$625K Hold
6,379
0.18% 92
2021
Q4
$593K Hold
6,379
0.16% 94
2021
Q3
$601K Hold
6,379
0.18% 90
2021
Q2
$614K Sell
6,379
-41
-0.6% -$3.95K 0.19% 90
2021
Q1
$579K Hold
6,420
0.2% 86
2020
Q4
$516K Buy
+6,420
New +$516K 0.19% 88
2020
Q2
$406K Sell
6,553
-140
-2% -$8.67K 0.18% 89
2020
Q1
$319K Sell
6,693
-507
-7% -$24.2K 0.17% 90
2019
Q4
$549K Hold
7,200
0.23% 83
2019
Q3
$481K Sell
7,200
-500
-6% -$33.4K 0.21% 88
2019
Q2
$514K Hold
7,700
0.23% 86
2019
Q1
$527K Sell
7,700
-253
-3% -$17.3K 0.27% 75
2018
Q4
$475K Hold
7,953
0.29% 71
2018
Q3
$609K Hold
7,953
0.32% 67
2018
Q2
$550K Buy
7,953
+50
+0.6% +$3.46K 0.32% 67
2018
Q1
$540K Sell
7,903
-50
-0.6% -$3.42K 0.33% 73
2017
Q4
$588K Hold
7,953
0.31% 71
2017
Q3
$523K Buy
7,953
+417
+6% +$27.4K 0.29% 80
2017
Q2
$451K Sell
7,536
-2,500
-25% -$150K 0.27% 76
2017
Q1
$601K Buy
10,036
+1,241
+14% +$74.3K 0.36% 71
2016
Q4
$503K Buy
8,795
+140
+2% +$8.01K 0.33% 71
2016
Q3
$462K Buy
8,655
+1,160
+15% +$61.9K 0.3% 72
2016
Q2
$391K Hold
7,495
0.26% 84
2016
Q1
$408K Buy
7,495
+375
+5% +$20.4K 0.31% 70
2015
Q4
$341K Buy
7,120
+580
+9% +$27.8K 0.26% 79
2015
Q3
$289K Sell
6,540
-890
-12% -$39.3K 0.23% 84
2015
Q2
$412K Buy
7,430
+50
+0.7% +$2.77K 0.28% 81
2015
Q1
$418K Buy
7,380
+130
+2% +$7.36K 0.28% 78
2014
Q4
$448K Sell
7,250
-200
-3% -$12.4K 0.31% 74
2014
Q3
$466K Buy
7,450
+200
+3% +$12.5K 0.34% 76
2014
Q2
$481K Sell
7,250
-450
-6% -$29.9K 0.34% 76
2014
Q1
$514K Hold
7,700
0.38% 73
2013
Q4
$540K Hold
7,700
0.39% 73
2013
Q3
$498K Buy
7,700
+2,000
+35% +$129K 0.39% 73
2013
Q2
$311K Buy
+5,700
New +$311K 0.27% 79