Universe · entity
MONETARY MANAGEMENT GROUP INC
Institutional manager (13F) · CIK 1133014
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $294M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Nvidia Corp Com | $32M | 181,095 |
| 2 | Apple Inc Com | $31M | 121,002 |
| 3 | Microsoft Corp Com | $26M | 69,901 |
| 4 | Broadcom Inc Com | $16M | 50,130 |
| 5 | Lilly Eli & Co Com | $14M | 15,650 |
| 6 | Alphabet Inc Cl A | $12M | 43,260 |
| 7 | Amazon.Com Inc Com | $10M | 46,370 |
| 8 | Lam Research Corp | $8M | 37,290 |
| 9 | Meta Platforms Inc. | $8M | 13,845 |
| 10 | Home Depot Inc Com | $7M | 22,670 |
| 11 | Abbvie Inc Com | $7M | 34,230 |
| 12 | JPMorgan Chase & Co. | $7M | 24,335 |
| 13 | I Shares Tr Russell 1000 Growth Index | $5M | 12,896 |
| 14 | Caterpillar Inc. | $5M | 7,737 |
| 15 | I Shares Russell 1000 Value Index | $5M | 23,392 |
| 16 | Amgen, Inc. | $5M | 13,296 |
| 17 | Alphabet Inc (C) | $4M | 14,600 |
| 18 | Mastercard Inc Cl A | $4M | 8,120 |
| 19 | Johnson & Johnson | $4M | 16,595 |
| 20 | Chevron Corp | $4M | 19,483 |
| 21 | Kla Corporation | $4M | 2,713 |
| 22 | Costco Wholesale Corp | $4M | 3,940 |
| 23 | L3harris Tech Com | $4M | 10,405 |
| 24 | Micron Technology | $4M | 10,430 |
| 25 | Tesla, Inc | $3M | 9,018 |
| 26 | Wal Mart Stores, Inc. | $3M | 26,783 |
| 27 | IShares Select Dividend | $3M | 21,250 |
| 28 | Visa Inc Com Cl A | $3M | 10,530 |
| 29 | RTX Corporation | $3M | 16,353 |
| 30 | Dell Technologies Inc | $3M | 17,645 |
| 31 | Pepsico Inc Com | $3M | 18,402 |
| 32 | Philip Morris Intl Inc | $3M | 16,620 |
| 33 | Crowdstrike Hldgs Inc | $3M | 7,030 |
| 34 | Oracle Corp Com | $3M | 18,355 |
| 35 | Stryker Corp | $2M | 7,248 |
| 36 | O Reilly Automotive Inc | $2M | 25,300 |
| 37 | Procter & Gamble | $2M | 15,809 |
| 38 | Sector Spdr Tr Shs Ben Int Technology | $2M | 17,085 |
| 39 | Abbott Laboratories | $2M | 21,897 |
| 40 | Advanced Micro Devices | $2M | 10,495 |
| 41 | Berkshire Hathaway Class B | $2M | 4,338 |
| 42 | Amphenol Corp Cl A | $2M | 16,090 |
| 43 | Mcdonald's Corporation | $2M | 6,534 |
| 44 | Parker Hannifin Corp | $2M | 2,235 |
| 45 | Deere & Company | $2M | 3,550 |
| 46 | Tortoise Energy Infrastructure Clsd Fund | $2M | 40,012 |
| 47 | GE Aerospace | $2M | 6,986 |
| 48 | Select SPDR Energy | $2M | 31,714 |
| 49 | Merck & Co Inc | $2M | 15,985 |
| 50 | Unitedhealth Group Inc. | $2M | 7,083 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.