EMERSON ELECTRIC CO - COM (EMR)

Historical Holders from Q1 2014 to Q3 2025

Symbol
EMR on NYSE
Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
452M
Holdings value
$59.2B
% of all portfolios
0.058%
Grand Portfolio weight change
-0.002%
Number of holders
2061
Number of buys
820
Number of sells
-931
Average Value change %
0%
Average buys %
+0.006%
Average sells %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of EMERSON ELECTRIC CO - COM (EMR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 452M $59.2B -$1.04B $131.18 2,061
2025 Q2 460M $61.4B +$1.89B $133.33 2,111
2025 Q1 447M $49B -$20.9M $109.64 2,045
2024 Q4 446M $55.3B +$557M $123.93 2,097
2024 Q3 440M $48.1B +$346M $109.37 1,932
2024 Q2 436M $48B +$532M $110.16 1,943
2024 Q1 428M $48.6B +$414M $113.42 1,942
2023 Q4 426M $41.4B +$288M $97.33 1,856
2023 Q3 420M $40.6B +$343M $96.57 1,789
2023 Q2 418M $37.8B -$82.4M $90.39 1,768
2023 Q1 419M $36.5B -$710M $87.14 1,736
2022 Q4 431M $41.4B -$34.4M $96.06 1,776
2022 Q3 435M $31.9B -$102M $73.22 1,659
2022 Q2 435M $34.6B +$174M $79.54 1,705
2022 Q1 436M $42.7B +$86.4M $98.05 1,783
2021 Q4 435M $40.5B -$560M $92.97 1,785
2021 Q3 439M $41.4B -$94.7M $94.20 1,676
2021 Q2 441M $42.4B -$116M $96.24 1,689
2021 Q1 442M $39.9B -$49.3M $90.22 1,674
2020 Q4 444M $35.6B -$306M $80.37 1,580
2020 Q3 448M $29.3B +$439M $65.57 1,444
2020 Q2 441M $27.3B +$465M $62.03 1,380
2020 Q1 434M $20.7B -$859M $47.65 1,327
2019 Q4 448M $34.2B +$755M $76.26 1,496
2019 Q3 438M $29.2B -$278M $66.86 1,371
2019 Q2 442M $29.4B +$241M $66.72 1,395
2019 Q1 440M $30.1B -$513M $68.47 1,447
2018 Q4 447M $26.7B -$246M $59.75 1,395
2018 Q3 450M $34.4B +$971M $76.58 1,410
2018 Q2 438M $30.2B -$567M $69.14 1,408
2018 Q1 446M $30.4B -$23.7M $68.30 1,420
2017 Q4 446M $31B -$158M $69.69 1,368
2017 Q3 447M $28.1B -$223M $62.84 1,269
2017 Q2 451M $26.9B +$304M $59.62 1,257
2017 Q1 447M $26.7B +$2.34B $59.86 1,277
2016 Q4 445M $24.8B -$973M $55.75 1,264
2016 Q3 462M $25.2B +$555M $54.51 1,203
2016 Q2 453M $23.6B +$156M $52.16 1,225
2016 Q1 449M $24.4B -$527M $54.38 1,229
2015 Q4 459M $22B -$264M $47.83 1,200
2015 Q3 463M $20.4B -$549M $44.17 1,169
2015 Q2 475M $26.3B -$955M $55.43 1,253
2015 Q1 492M $27.9B -$79.7M $56.62 1,235
2014 Q4 495M $30.5B -$188M $61.73 1,262
2014 Q3 496M $31B +$195M $62.58 1,202
2014 Q2 494M $32.8B -$159M $66.36 1,233
2014 Q1 495M $33B +$97.6M $66.80 1,215