Emerson Electric Co (EMR)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$403M
Holdings value Q1 2024
$45.7B
Value change Q1 2024
-$353M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1961
Number of Buys Q1 2024
774
Number of Sells Q1 2024
-857
Average Buys Q1 2024 %
+0.721%
Average Sells Q1 2024 %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 403M $45.7B -$353M $113.42 1,933
2023 Q4 410M $39.9B +$1.12B $97.33 1,873
2023 Q3 411M $39.7B +$196M $96.57 1,808
2023 Q2 405M $36.6B +$243M $90.39 1,781
2023 Q1 403M $35.1B -$341M $87.14 1,735
2022 Q4 426M $40.9B +$317M $96.06 1,791
2022 Q3 429M $31.4B -$37.1M $73.22 1,669
2022 Q2 428M $34.1B +$496M $79.54 1,711
2022 Q1 434M $42.6B +$587M $98.05 1,798
2021 Q4 429M $39.8B -$439M $92.97 1,805
2021 Q3 434M $40.9B +$173M $94.20 1,686
2021 Q2 439M $42.2B +$766M $96.24 1,701
2021 Q1 440M $39.7B +$71.6M $90.22 1,677
2020 Q4 440M $35.4B -$248M $80.37 1,590
2020 Q3 447M $29.3B +$522M $65.57 1,457
2020 Q2 439M $27.2B +$632M $62.03 1,396
2020 Q1 381M $18.1B -$372M $47.65 1,336
2019 Q4 446M $34B +$955M $76.26 1,523
2019 Q3 437M $29.2B -$78.4M $66.86 1,399
2019 Q2 441M $29.4B +$1.08B $66.72 1,421
2019 Q1 435M $29.8B -$510M $68.47 1,473
2018 Q4 446M $26.7B +$67.6M $59.75 1,421
2018 Q3 443M $33.9B +$967M $76.58 1,441
2018 Q2 437M $30.2B -$38.5M $69.14 1,432
2018 Q1 445M $30.4B +$283M $68.30 1,439
2017 Q4 446M $31B +$251M $69.69 1,397
2017 Q3 433M $27.2B -$83.5M $62.84 1,294
2017 Q2 438M $26.1B +$703M $59.62 1,282
2017 Q1 446M $26.7B +$2.51B $59.86 1,306
2016 Q4 431M $24B -$526M $55.75 1,294
2016 Q3 458M $24.9B +$859M $54.51 1,230
2016 Q2 451M $23.5B +$314M $52.16 1,253
2016 Q1 447M $24.3B -$415M $54.38 1,249
2015 Q4 459M $22B +$126M $47.83 1,226
2015 Q3 462M $20.4B +$58.1M $44.17 1,193
2015 Q2 463M $25.7B -$632M $55.43 1,284
2015 Q1 482M $27.3B +$225M $56.62 1,268
2014 Q4 494M $30.5B +$40.9M $61.73 1,290
2014 Q3 496M $31B +$473M $62.58 1,229
2014 Q2 494M $32.8B +$46.9M $66.36 1,261
2014 Q1 494M $33B +$187M $66.80 1,241