HoldingsChannel.com
Monetary Management Group Inc. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Microsoft Corp 116,788 -1,775 $15,645
     MSFT116,788-1,775$15,645
Apple Inc Com 52,325 -196 $10,356
     AAPL52,325-196$10,356
Amazon.Com Inc 4,760 +1 $9,014
     AMZN4,760+1$9,014
Home Depot Inc 38,146 -1,600 $7,933
     HD38,146-1,600$7,933
Visa Inc Com Cl A 31,705 -400 $5,502
     V31,705-400$5,502
Worldpay Inc. 44,715 -5,290 $5,480
     WP44,715-5,290$5,480
Alphabet Inc A 4,854 -20 $5,256
     GOOGL4,854-20$5,256
Thermo Fischer Corp 16,125 -100 $4,736
     TMO16,125-100$4,736
Unitedhealth Group Inc 19,310 -1,250 $4,712
     UNH19,310-1,250$4,712
J P Morgan Chase 41,985 -6,745 $4,694
     JPM41,985-6,745$4,694
Honeywell International 26,185 -5,775 $4,572
     HON26,185-5,775$4,572
Facebook Inc Cl A 22,830 UNCH $4,406
     FB22,830UNCH$4,406
Mastercard Inc. 16,370 -250 $4,330
     MA16,370-250$4,330
Paypal Holdings Inc 32,300 -300 $3,697
     PYPL32,300-300$3,697
Boeing 9,593 -1,610 $3,492
     BA9,593-1,610$3,492
Harris Corp 18,260 +1,905 $3,454
     HRS18,260+1,905$3,454
Disney Walt Co. 24,020 +4,790 $3,354
     DIS24,020+4,790$3,354
United Technologies 24,618 -275 $3,205
     UTX24,618-275$3,205
Amgen Inc 17,193 UNCH $3,168
     AMGN17,193UNCH$3,168
Chevron Corp 24,511 +350 $3,050
     CVX24,511+350$3,050
Lockheed Martin Corp 8,390 -90 $3,050
     LMT8,390-90$3,050
Pepsico Inc 23,185 +50 $3,040
     PEP23,185+50$3,040
Adobe 9,440 -3,405 $2,781
     ADBE9,440-3,405$2,781
Broadcom Inc 9,477 -425 $2,728
     AVGO9,477-425$2,728
I Shares Tr Russell 1000 Growth Index (IWF) 17,295 UNCH $2,721
     IWF17,295UNCH$2,721
Abbvie Inc. 36,415 +575 $2,648
     ABBV36,415+575$2,648
Johnson & Johnson 18,850 -2,225 $2,625
     JNJ18,850-2,225$2,625
Comcast Corp Cl A 60,866 -7,950 $2,573
     CMCSA60,866-7,950$2,573
Progressive Corp Ohio 32,015 UNCH $2,559
     PGR32,015UNCH$2,559
PNC Financial 17,910 UNCH $2,459
     PNC17,910UNCH$2,459
Qualcomm Inc 32,065 +18,940 $2,439
     QCOM32,065+18,940$2,439
Southwest Airlines 47,040 +425 $2,389
     LUV47,040+425$2,389
Lowes Companies 22,865 +750 $2,307
     LOW22,865+750$2,307
Constellation Brands Inc 11,215 +230 $2,209
     STZ11,215+230$2,209
I Shares Russell 1000 Value Index (IWD) 17,232 -1,170 $2,192
     IWD17,232-1,170$2,192
Fedex Corp 13,300 -5,205 $2,184
     FDX13,300-5,205$2,184
Centene Corp 41,339 +500 $2,168
     CNC41,339+500$2,168
Abbott Labs 24,745 UNCH $2,081
     ABT24,745UNCH$2,081
Proshares Ultrashort Qqq (QID) 65,000 +65,000 $2,040
     QID65,000+65,000$2,040
Bristol Myers 40,945 -1,789 $1,857
     BMY40,945-1,789$1,857
Alphabet Inc C 1,711 -1,383 $1,849
     GOOG1,711-1,383$1,849
Lam Research Corp. 9,735 UNCH $1,829
     LRCX9,735UNCH$1,829
Dollar General 13,270 +100 $1,794
     DG13,270+100$1,794
Olin Corporation 81,900 -7,900 $1,794
     OLN81,900-7,900$1,794
Berkshire Hathaway Class B      $1,786
     BRK.B8,378+3,405$1,786
Accenture Plc 9,650 UNCH $1,783
     ACN9,650UNCH$1,783
Eli Lilly And Co. 15,850 UNCH $1,756
     LLY15,850UNCH$1,756
Procter & Gamble 15,893 UNCH $1,743
     PG15,893UNCH$1,743
Intel Corporation 36,245 -2,850 $1,735
     INTC36,245-2,850$1,735
Netflix 4,288 UNCH $1,575
     NFLX4,288UNCH$1,575

See Full List: All Stocks Held By Monetary Management Group Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Monetary Management Group Inc.

Size ($ in 1000's)
At 06/30/2019: $260,389
At 03/31/2019: $252,603

Monetary Management Group Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Monetary Management Group Inc. 13F filings. Link to 13F filings: SEC filings

Monetary Management Group Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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