People's United Financial’s Emerson Electric EMR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
$4.3M Sell
43,881
-5,177
-11% -$508K 0.12% 156
2021
Q4
$4.56M Sell
49,058
-5,266
-10% -$490K 0.11% 153
2021
Q3
$5.12M Sell
54,324
-4,528
-8% -$427K 0.11% 158
2021
Q2
$5.66M Buy
58,852
+4,453
+8% +$429K 0.13% 150
2021
Q1
$4.91M Buy
54,399
+1,686
+3% +$152K 0.12% 149
2020
Q4
$4.24M Sell
52,713
-4,838
-8% -$389K 0.11% 152
2020
Q3
$3.77M Sell
57,551
-14,933
-21% -$979K 0.11% 145
2020
Q2
$4.5M Sell
72,484
-16,326
-18% -$1.01M 0.13% 136
2020
Q1
$4.23M Buy
88,810
+1,875
+2% +$89.3K 0.15% 128
2019
Q4
$6.63M Sell
86,935
-1,269
-1% -$96.8K 0.18% 110
2019
Q3
$5.9M Sell
88,204
-107,926
-55% -$7.22M 0.17% 117
2019
Q2
$13.1M Sell
196,130
-5,406
-3% -$361K 0.36% 68
2019
Q1
$13.8M Buy
201,536
+13,327
+7% +$913K 0.43% 55
2018
Q4
$11.2M Buy
188,209
+3,735
+2% +$223K 0.39% 61
2018
Q3
$14.1M Buy
184,474
+54,514
+42% +$4.17M 0.44% 53
2018
Q2
$8.99M Buy
129,960
+41,055
+46% +$2.84M 0.23% 122
2018
Q1
$6.07M Buy
88,905
+26,350
+42% +$1.8M 0.19% 116
2017
Q4
$4.36M Sell
62,555
-2,830
-4% -$197K 0.14% 133
2017
Q3
$4.11M Sell
65,385
-219
-0.3% -$13.8K 0.14% 139
2017
Q2
$3.91M Sell
65,604
-841
-1% -$50.1K 0.13% 148
2017
Q1
$3.98M Sell
66,445
-1,330
-2% -$79.6K 0.14% 140
2016
Q4
$3.78M Sell
67,775
-7,595
-10% -$423K 0.14% 143
2016
Q3
$4.11M Buy
75,370
+464
+0.6% +$25.3K 0.22% 99
2016
Q2
$3.91M Sell
74,906
-5,744
-7% -$300K 0.21% 103
2016
Q1
$4.39M Sell
80,650
-4,497
-5% -$245K 0.23% 99
2015
Q4
$4.07M Sell
85,147
-1,923
-2% -$92K 0.22% 107
2015
Q3
$3.85M Sell
87,070
-2,835
-3% -$125K 0.22% 103
2015
Q2
$4.98M Buy
89,905
+3,269
+4% +$181K 0.26% 95
2015
Q1
$4.91M Sell
86,636
-2,160
-2% -$122K 0.25% 95
2014
Q4
$5.48M Sell
88,796
-171
-0.2% -$10.6K 0.28% 86
2014
Q3
$5.57M Sell
88,967
-916
-1% -$57.3K 0.3% 83
2014
Q2
$5.97M Buy
89,883
+7,764
+9% +$515K 0.32% 77
2014
Q1
$5.49M Sell
82,119
-9,802
-11% -$655K 0.33% 74
2013
Q4
$6.45M Sell
91,921
-10,162
-10% -$713K 0.37% 70
2013
Q3
$6.61M Buy
102,083
+8,273
+9% +$535K 0.42% 65
2013
Q2
$5.12M Buy
+93,810
New +$5.12M 0.33% 71