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Monetary Management Group’s Emerson Electric EMR Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$900K Hold
6,750
0.22% 98
2025
Q1
$740K Hold
6,750
0.2% 111
2024
Q4
$837K Hold
6,750
0.22% 92
2024
Q3
$738K Hold
6,750
0.19% 109
2024
Q2
$744K Hold
6,750
0.2% 105
2024
Q1
$766K Buy
6,750
+50
+0.7% +$5.67K 0.21% 102
2023
Q4
$652K Hold
6,700
0.2% 108
2023
Q3
$647K Hold
6,700
0.22% 102
2023
Q2
$606K Hold
6,700
0.19% 115
2023
Q1
$584K Buy
6,700
+100
+2% +$8.71K 0.17% 123
2022
Q4
$644K Hold
6,600
0.2% 109
2022
Q3
$483K Hold
6,600
0.16% 122
2022
Q2
$525K Hold
6,600
0.16% 113
2022
Q1
$647K Hold
6,600
0.17% 110
2021
Q4
$614K Sell
6,600
-100
-1% -$9.3K 0.15% 118
2021
Q3
$631K Buy
6,700
+200
+3% +$18.8K 0.17% 107
2021
Q2
$626K Hold
6,500
0.19% 107
2021
Q1
$586K Buy
6,500
+300
+5% +$27K 0.18% 106
2020
Q4
$498K Hold
6,200
0.16% 108
2020
Q3
$407K Hold
6,200
0.15% 114
2020
Q2
$385K Hold
6,200
0.15% 110
2020
Q1
$295K Sell
6,200
-250
-4% -$11.9K 0.13% 110
2019
Q4
$492K Hold
6,450
0.18% 118
2019
Q3
$431K Buy
6,450
+1,500
+30% +$100K 0.16% 122
2019
Q2
$330K Hold
4,950
0.13% 134
2019
Q1
$339K Sell
4,950
-100
-2% -$6.85K 0.13% 128
2018
Q4
$302K Buy
5,050
+320
+7% +$19.1K 0.14% 124
2018
Q3
$362K Sell
4,730
-100
-2% -$7.65K 0.14% 123
2018
Q2
$334K Hold
4,830
0.14% 126
2018
Q1
$330K Hold
4,830
0.14% 122
2017
Q4
$337K Sell
4,830
-200
-4% -$14K 0.14% 121
2017
Q3
$316K Hold
5,030
0.13% 129
2017
Q2
$300K Buy
5,030
+200
+4% +$11.9K 0.12% 141
2017
Q1
$289K Sell
4,830
-450
-9% -$26.9K 0.13% 132
2016
Q4
$294K Sell
5,280
-350
-6% -$19.5K 0.14% 123
2016
Q3
$307K Hold
5,630
0.14% 119
2016
Q2
$294K Buy
5,630
+250
+5% +$13.1K 0.14% 130
2016
Q1
$293K Hold
5,380
0.14% 116
2015
Q4
$257K Sell
5,380
-500
-9% -$23.9K 0.12% 129
2015
Q3
$260K Buy
5,880
+2,250
+62% +$99.5K 0.13% 126
2015
Q2
$201K Hold
3,630
0.09% 153
2015
Q1
$206K Hold
3,630
0.09% 155
2014
Q4
$224K Sell
3,630
-100
-3% -$6.17K 0.1% 149
2014
Q3
$233K Sell
3,730
-2,700
-42% -$169K 0.11% 148
2014
Q2
$427K Sell
6,430
-14,320
-69% -$951K 0.2% 104
2014
Q1
$1.39M Buy
20,750
+10,250
+98% +$685K 0.64% 57
2013
Q4
$737K Buy
10,500
+7,350
+233% +$516K 0.34% 82
2013
Q3
$204K Hold
3,150
0.11% 143
2013
Q2
$171K Buy
+3,150
New +$171K 0.09% 163