Washington Trust Bank’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
$217K Buy
+1,631
New +$217K 0.02% 192
2024
Q3
Sell
-1,981
Closed -$218K 221
2024
Q2
$218K Hold
1,981
0.02% 195
2024
Q1
$225K Buy
+1,981
New +$225K 0.02% 206
2023
Q2
Sell
-2,330
Closed -$203K 222
2023
Q1
$203K Buy
2,330
+129
+6% +$11.2K 0.02% 212
2022
Q4
$211K Buy
+2,201
New +$211K 0.02% 207
2022
Q2
Sell
-2,184
Closed -$214K 226
2022
Q1
$214K Sell
2,184
-4
-0.2% -$392 0.02% 214
2021
Q4
$203K Sell
2,188
-341
-13% -$31.6K 0.02% 229
2021
Q3
$238K Buy
2,529
+4
+0.2% +$376 0.03% 183
2021
Q2
$243K Sell
2,525
-20
-0.8% -$1.93K 0.03% 160
2021
Q1
$230K Sell
2,545
-219
-8% -$19.8K 0.03% 162
2020
Q4
$222K Buy
+2,764
New +$222K 0.03% 168
2020
Q1
Sell
-4,789
Closed -$365K 188
2019
Q4
$365K Buy
4,789
+83
+2% +$6.33K 0.05% 148
2019
Q3
$315K Sell
4,706
-582
-11% -$39K 0.05% 146
2019
Q2
$353K Hold
5,288
0.06% 142
2019
Q1
$362K Sell
5,288
-312
-6% -$21.4K 0.06% 139
2018
Q4
$334K Sell
5,600
-1,340
-19% -$79.9K 0.04% 170
2018
Q3
$531K Buy
6,940
+1,710
+33% +$131K 0.08% 123
2018
Q2
$361K Sell
5,230
-1,030
-16% -$71.1K 0.05% 161
2018
Q1
$427K Sell
6,260
-1,030
-14% -$70.3K 0.06% 143
2017
Q4
$508K Hold
7,290
0.07% 140
2017
Q3
$458K Buy
7,290
+3,250
+80% +$204K 0.07% 133
2017
Q2
$241K Buy
4,040
+16
+0.4% +$954 0.05% 182
2017
Q1
$241K Sell
4,024
-151
-4% -$9.04K 0.05% 181
2016
Q4
$233K Buy
4,175
+74
+2% +$4.13K 0.05% 174
2016
Q3
$224K Sell
4,101
-3,593
-47% -$196K 0.05% 173
2016
Q2
$401K Buy
7,694
+930
+14% +$48.5K 0.1% 114
2016
Q1
$368K Sell
6,764
-464
-6% -$25.2K 0.1% 118
2015
Q4
$346K Buy
7,228
+2,228
+45% +$107K 0.08% 143
2015
Q3
$221K Sell
5,000
-1,157
-19% -$51.1K 0.06% 177
2015
Q2
$341K Hold
6,157
0.08% 141
2015
Q1
$349K Hold
6,157
0.08% 146
2014
Q4
$380K Hold
6,157
0.1% 153
2014
Q3
$385K Sell
6,157
-2,140
-26% -$134K 0.12% 142
2014
Q2
$551K Sell
8,297
-1,611
-16% -$107K 0.11% 126
2014
Q1
$662K Buy
+9,908
New +$662K 0.14% 110
2013
Q4
Sell
-4,226
Closed -$273K 123
2013
Q3
$273K Buy
+4,226
New +$273K 0.07% 146