Fund HoldingsMONETARY MANAGEMENT GROUP INC

Total Portfolio Value
$418.72M
Total Bought
$41.47M
Total Sold
$35.54M
Net Transaction
+$5.93M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Lam Research Corp(LRCX)037,290+37,29007,9671.90%+7,967
Dell Technologies Inc(DELL)017,645+17,64502,8960.69%+2,896
GE Vernova Com(GEV)01,345+1,34501,1740.28%+1,174
Palantir Technologies(PLTR)07,120+7,12001,0420.25%+1,042
Chevron Corp(CVX)019,483+19,48304,0310.96%+4,031
Caterpillar Inc.(CAT)7,7877,737-504,4615,4811.31%+1,020
GE Aerospace(GE)3,3266,986+3,6601,0251,9820.47%+958
Uber Technologies Inc(UBER)012,960+12,96009320.22%+932
L3harris Tech Com(LHX)010,405+10,40503,5910.86%+3,591
Micron Technology(MU)9,81510,430+6152,8013,5240.84%+722
Kla Corporation(KLAC)02,713+2,71303,9950.95%+3,995
Johnson & Johnson(JNJ)16,59516,59503,4344,0560.97%+622
Costco Wholesale Corp(COST)03,940+3,94003,9260.94%+3,926
ASML Holding1,0751,275+2001,1501,6840.40%+534
Exxon Mobil Corp10,62410,62401,2781,8020.43%+524
Taiwan Semiconductor(TSM)3,2254,400+1,1759801,4870.36%+507
Olin Corporation(OLN)056,100+56,10001,6680.40%+1,668
SAP SE(SAP)02,500+2,50004280.10%+428
Select SPDR Energy031,714+31,71401,9430.46%+1,943
Gallagher Arthur J(AJG)2,4004,720+2,3206211,0220.24%+401
Cummins Inc.(CMI)1,7852,385+6009111,2830.31%+372
Oneok Inc.(OKE)19,10019,550+4501,4041,7670.42%+363
Deere & Company(DE)3,5503,55001,6532,0000.48%+347
Amgen, Inc.(AMGN)13,27113,296+254,3444,6781.12%+334
Tortoise Energy Infrastructure Clsd Fund040,012+40,01201,9950.48%+1,995
Honeywell International(HON)06,225+6,22501,4070.34%+1,407
Adobe Inc.(ADBE)2,1554,380+2,2257541,0650.25%+310
Kimberly Clark Corp.(KMB)05,150+5,15004970.12%+497
Verizon Communications(VZ)027,500+27,50001,3810.33%+1,381
I Shares Russell 1000 Value Index023,392+23,39204,9981.19%+4,998
Vanguard Value Index Fund ETF4801,780+1,300923490.08%+258
Spotify Technology(SPOT)0510+51002470.06%+247
Merck & Co Inc(MRK)16,08515,985-1001,6931,9230.46%+230
Vanguard Growth ETF0632+63202760.07%+276
IShares Select Dividend021,250+21,25003,2170.77%+3,217
Williams Co.S(WMB)024,000+24,00001,7470.42%+1,747
Northrop Grumman Corp(NOC)01,800+1,80001,2280.29%+1,228
Targa Resources Corp(TRGP)2,7002,780+804986970.17%+199
Cheniere Energy Inc(LNG)03,085+3,08508750.21%+875
Neuberger Bernman MLP Income Fund, Inc7,00023,200+16,200602440.06%+184
Energy Transfer Partners, LP(ET)064,000+64,00001,2350.29%+1,235
Applovin Class A(APP)0440+44001750.04%+175
Amphenol Corp Cl A13,75016,090+2,3401,8582,0330.49%+175
Enterprise Prods Partners Lp(EPD)30,16030,16009671,1410.27%+174
Nextera Energy Inc.(NEE)13,70013,70001,1001,2720.30%+173
RTX Corporation(RTX)16,32816,353+252,9953,1540.75%+160
Wal Mart Stores, Inc.(WMT)026,783+26,78303,3290.79%+3,329
Lockheed Martin Corp(LMT)01,302+1,30207870.19%+787
Ishares Phlx Semiconductor5,1355,13501,5461,6880.40%+141
Diamondback Energy5,4754,850-6258239590.23%+136
Vaneck Etf Trust Vaneck Uranium And Nuclea01,000+1,00001330.03%+133
Sprott Funds Trust Sprott Uranium Miners E02,100+2,10001330.03%+133
Vanguard Small Cap ETF0500+50001310.03%+131
EOG Resources Inc.(EOG)03,275+3,27504730.11%+473
Applied Materials Inc.1,5251,52503925210.12%+129
Rockwell Automation(ROK)500900+4001953230.08%+128
Valero Energy Corp(VLO)01,500+1,50003710.09%+371
Vanguard Mid-Cap ETF0440+44001260.03%+126
Consolidated Edison(ED)08,850+8,85001,0020.24%+1,002
Select SPDR Materials (XLB)013,800+13,80006900.16%+690
Intuit Com(INTU)01,260+1,26005450.13%+545
Netflix Inc Com(NFLX)019,930+19,93001,9160.46%+1,916
IShares International Select Dividend36,00036,00001,4201,5320.37%+112
S&P SPDR Utilities19,60420,404+8008379360.22%+99
Intel Corporation(INTC)013,450+13,45005940.14%+594
Cheniere Energy(CQP)01,500+1,5000970.02%+97
Kinder Morgan Inc(KMI)016,000+16,00005360.13%+536
Reaves Utility Inc. Tr(UTG)021,500+21,50008450.20%+845
Pfizer, Inc.(PFE)036,700+36,70001,0310.25%+1,031
Kayne Anderson Mlp(KYN)048,250+48,25006890.16%+689
Southern Co.(SO)09,407+9,40709080.22%+908
Select Spiders Consumer Staples011,310+11,31009270.22%+927
Seagate Technology
ORD SHS
75075002072940.07%+87
Clearway Energy, Inc.(CWEN)14,40014,40004795660.14%+87
Philip Morris Intl Inc(PM)16,59516,620+252,6622,7480.66%+86
Etf Series Solutions Defiance Drone And Mo7,00010,000+3,0001702560.06%+86
Bristol-Myers(BMY)012,850+12,85007790.19%+779
Coca Cola Co(KO)13,16013,16009201,0010.24%+81
Duke Energy Corp.(DUK)05,733+5,73307510.18%+751
IShares Russell 2000 Index Fd07,180+7,18001,7810.43%+1,781
TJX Cos. Inc.(TJX)11,88011,915+351,8251,9030.45%+78
Glaxosmithkline Plc Adr(GSK)14,91014,660-2507318090.19%+78
Quanex Corp(NX)30,00030,00004615390.13%+78
American Electric Power Company, Inc.4,3204,32004985660.14%+68
Vanguard FTSE Emerging Markets01,250+1,2500680.02%+68
Phillips 66(PSX)01,980+1,98003610.09%+361
Marathon Pete Corp(MPC)0775+77501890.05%+189
Freeport Mcmoran Copper & Gold(FCX)2,0002,800+8001021650.04%+63
Vanguard FTSE Developed Markets0900+9000580.01%+58
Ishares Russell Midcap Index Fund014,105+14,10501,3710.33%+1,371
Starbucks Corp(SBUX)010,300+10,30009230.22%+923
Union Pac Corp Com(UNP)04,250+4,25001,0310.25%+1,031
Select Sector Spider Industrial07,225+7,22501,1680.28%+1,168
Real Estate Select Sector SPDR Fund014,368+14,36805870.14%+587
Parker Hannifin Corp(PH)2,2252,235+101,9562,0010.48%+45
MPLX Com Unit Rep LTD(MPLX)11,60011,60006196620.16%+43
Procter & Gamble(PG)015,809+15,80902,2830.55%+2,283
O Reilly Automotive Inc(ORLY)025,300+25,30002,3350.56%+2,335
Colgate Palmolive(CL)05,850+5,85004990.12%+499
Aptiv PLC(APTV)0500+5000350.01%+35
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