MMG
ED icon

Monetary Management Group’s Consolidated Edison ED Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$948K Sell
9,450
-200
-2% -$20.1K 0.23% 90
2025
Q1
$1.07M Hold
9,650
0.29% 78
2024
Q4
$861K Hold
9,650
0.22% 90
2024
Q3
$1M Hold
9,650
0.26% 83
2024
Q2
$863K Hold
9,650
0.23% 92
2024
Q1
$876K Hold
9,650
0.24% 96
2023
Q4
$878K Hold
9,650
0.27% 91
2023
Q3
$825K Sell
9,650
-100
-1% -$8.55K 0.28% 86
2023
Q2
$881K Hold
9,750
0.27% 86
2023
Q1
$933K Sell
9,750
-400
-4% -$38.3K 0.27% 88
2022
Q4
$967K Hold
10,150
0.3% 86
2022
Q3
$870K Sell
10,150
-250
-2% -$21.4K 0.29% 87
2022
Q2
$989K Hold
10,400
0.31% 79
2022
Q1
$985K Hold
10,400
0.26% 83
2021
Q4
$887K Hold
10,400
0.22% 92
2021
Q3
$755K Buy
10,400
+4,100
+65% +$298K 0.21% 96
2021
Q2
$452K Buy
6,300
+600
+11% +$43K 0.14% 126
2021
Q1
$426K Buy
5,700
+500
+10% +$37.4K 0.13% 127
2020
Q4
$376K Hold
5,200
0.12% 130
2020
Q3
$405K Buy
5,200
+2,300
+79% +$179K 0.14% 116
2020
Q2
$209K Hold
2,900
0.08% 140
2020
Q1
$226K Sell
2,900
-100
-3% -$7.79K 0.1% 123
2019
Q4
$271K Hold
3,000
0.1% 146
2019
Q3
$283K Hold
3,000
0.11% 143
2019
Q2
$263K Hold
3,000
0.1% 144
2019
Q1
$254K Hold
3,000
0.1% 142
2018
Q4
$229K Hold
3,000
0.1% 136
2018
Q3
$229K Hold
3,000
0.09% 143
2018
Q2
$234K Hold
3,000
0.1% 140
2018
Q1
$234K Hold
3,000
0.1% 139
2017
Q4
$255K Hold
3,000
0.1% 141
2017
Q3
$242K Hold
3,000
0.1% 140
2017
Q2
$242K Hold
3,000
0.1% 144
2017
Q1
$233K Hold
3,000
0.1% 141
2016
Q4
$221K Hold
3,000
0.1% 133
2016
Q3
$226K Hold
3,000
0.1% 136
2016
Q2
$241K Hold
3,000
0.11% 134
2016
Q1
$230K Hold
3,000
0.11% 131
2015
Q4
$193K Hold
3,000
0.09% 139
2015
Q3
$201K Hold
3,000
0.1% 141
2015
Q2
$174K Sell
3,000
-1,000
-25% -$58K 0.08% 163
2015
Q1
$244K Hold
4,000
0.11% 140
2014
Q4
$264K Buy
4,000
+300
+8% +$19.8K 0.12% 138
2014
Q3
$210K Hold
3,700
0.1% 158
2014
Q2
$214K Sell
3,700
-100
-3% -$5.78K 0.1% 149
2014
Q1
$204K Hold
3,800
0.09% 150
2013
Q4
$210K Buy
3,800
+200
+6% +$11.1K 0.1% 146
2013
Q3
$199K Sell
3,600
-2,600
-42% -$144K 0.1% 146
2013
Q2
$361K Buy
+6,200
New +$361K 0.2% 115