Starfire Investment Advisers’s Emerson Electric EMR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2020
Q2
$362K Hold
5,836
0.17% 116
2020
Q1
$278K Sell
5,836
-385
-6% -$18.3K 0.15% 117
2019
Q4
$474K Hold
6,221
0.18% 104
2019
Q3
$415K Hold
6,221
0.17% 112
2019
Q2
$415K Hold
6,221
0.19% 102
2019
Q1
$425K Hold
6,221
0.2% 102
2018
Q4
$371K Buy
6,221
+2,542
+69% +$152K 0.2% 101
2018
Q3
$281K Sell
3,679
-3,237
-47% -$247K 0.14% 110
2018
Q2
$478K Hold
6,916
0.24% 90
2018
Q1
$472K Buy
+6,916
New +$472K 0.25% 93
2017
Q4
Sell
-4,229
Closed -$265K 170
2017
Q3
$265K Hold
4,229
0.16% 97
2017
Q2
$252K Sell
4,229
-175
-4% -$10.4K 0.15% 108
2017
Q1
$257K Sell
4,404
-1,390
-24% -$81.2K 0.14% 117
2016
Q4
$323K Hold
5,794
0.18% 102
2016
Q3
$316K Sell
5,794
-570
-9% -$31.1K 0.19% 104
2016
Q2
$332K Sell
6,364
-190
-3% -$9.91K 0.23% 88
2016
Q1
$356K Buy
6,554
+11
+0.2% +$598 0.23% 88
2015
Q4
$313K Buy
6,543
+67
+1% +$3.21K 0.21% 98
2015
Q3
$286K Buy
6,476
+11
+0.2% +$486 0.21% 104
2015
Q2
$358K Sell
6,465
-377
-6% -$20.9K 0.24% 93
2015
Q1
$387K Buy
+6,842
New +$387K 0.25% 89