WCM
MMM icon

Windsor Capital Management’s 3M MMM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$593K Sell
3,896
-852
-18% -$130K 0.17% 79
2025
Q1
$697K Buy
+4,748
New +$697K 0.21% 67
2022
Q3
Sell
-1,982
Closed -$256K 113
2022
Q2
$256K Buy
1,982
+7
+0.4% +$904 0.09% 104
2022
Q1
$294K Buy
1,975
+5
+0.3% +$744 0.09% 98
2021
Q4
$349K Buy
1,970
+5
+0.3% +$886 0.11% 92
2021
Q3
$344K Buy
1,965
+4
+0.2% +$700 0.11% 91
2021
Q2
$389K Buy
1,961
+5
+0.3% +$992 0.13% 90
2021
Q1
$377K Sell
1,956
-111
-5% -$21.4K 0.13% 90
2020
Q4
$361K Sell
2,067
-616
-23% -$108K 0.13% 91
2020
Q3
$429K Buy
2,683
+457
+21% +$73.1K 0.18% 88
2020
Q2
$347K Buy
2,226
+68
+3% +$10.6K 0.15% 90
2020
Q1
$294K Buy
2,158
+137
+7% +$18.7K 0.15% 95
2019
Q4
$356K Buy
2,021
+5
+0.2% +$881 0.15% 96
2019
Q3
$331K Buy
2,016
+44
+2% +$7.22K 0.15% 99
2019
Q2
$341K Sell
1,972
-53
-3% -$9.17K 0.16% 90
2019
Q1
$420K Sell
2,025
-141
-7% -$29.2K 0.2% 86
2018
Q4
$412K Buy
2,166
+4
+0.2% +$761 0.21% 85
2018
Q3
$455K Sell
2,162
-105
-5% -$22.1K 0.21% 86
2018
Q2
$445K Sell
2,267
-35
-2% -$6.87K 0.21% 85
2018
Q1
$505K Buy
2,302
+171
+8% +$37.5K 0.24% 83
2017
Q4
$501K Sell
2,131
-870
-29% -$205K 0.23% 83
2017
Q3
$624K Hold
3,001
0.32% 67
2017
Q2
$624K Sell
3,001
-279
-9% -$58K 0.31% 68
2017
Q1
$627K Sell
3,280
-1,116
-25% -$213K 0.32% 64
2016
Q4
$785K Buy
4,396
+311
+8% +$55.5K 0.42% 49
2016
Q3
$719K Buy
4,085
+22
+0.5% +$3.87K 0.39% 50
2016
Q2
$711K Buy
4,063
+856
+27% +$150K 0.42% 55
2016
Q1
$534K Buy
3,207
+1,542
+93% +$257K 0.33% 67
2015
Q4
$250K Buy
1,665
+1
+0.1% +$150 0.16% 96
2015
Q3
$236K Buy
1,664
+1
+0.1% +$142 0.14% 97
2015
Q2
$256K Buy
1,663
+1
+0.1% +$154 0.15% 100
2015
Q1
$274K Sell
1,662
-197
-11% -$32.5K 0.16% 91
2014
Q4
$306K Buy
1,859
+1
+0.1% +$165 0.17% 81
2014
Q3
$263K Sell
1,858
-99
-5% -$14K 0.15% 82
2014
Q2
$280K Buy
1,957
+20
+1% +$2.86K 0.16% 79
2014
Q1
$263K Sell
1,937
-318
-14% -$43.2K 0.16% 75
2013
Q4
$316K Buy
2,255
+67
+3% +$9.39K 0.19% 65
2013
Q3
$261K Buy
2,188
+52
+2% +$6.2K 0.15% 71
2013
Q2
$234K Buy
+2,136
New +$234K 0.14% 71