Universe · entity

MONETARY MANAGEMENT GROUP INC

Institutional manager (13F) · CIK 1133014
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $294M
#IssuerValueShares
1Nvidia Corp Com$32M181,095
2Apple Inc Com$31M121,002
3Microsoft Corp Com$26M69,901
4Broadcom Inc Com$16M50,130
5Lilly Eli & Co Com$14M15,650
6Alphabet Inc Cl A$12M43,260
7Amazon.Com Inc Com$10M46,370
8Lam Research Corp$8M37,290
9Meta Platforms Inc.$8M13,845
10Home Depot Inc Com$7M22,670
11Abbvie Inc Com$7M34,230
12JPMorgan Chase & Co.$7M24,335
13I Shares Tr Russell 1000 Growth Index$5M12,896
14Caterpillar Inc.$5M7,737
15I Shares Russell 1000 Value Index$5M23,392
16Amgen, Inc.$5M13,296
17Alphabet Inc (C)$4M14,600
18Mastercard Inc Cl A$4M8,120
19Johnson & Johnson$4M16,595
20Chevron Corp$4M19,483
21Kla Corporation$4M2,713
22Costco Wholesale Corp$4M3,940
23L3harris Tech Com$4M10,405
24Micron Technology$4M10,430
25Tesla, Inc$3M9,018
26Wal Mart Stores, Inc.$3M26,783
27IShares Select Dividend$3M21,250
28Visa Inc Com Cl A$3M10,530
29RTX Corporation$3M16,353
30Dell Technologies Inc$3M17,645
31Pepsico Inc Com$3M18,402
32Philip Morris Intl Inc$3M16,620
33Crowdstrike Hldgs Inc$3M7,030
34Oracle Corp Com$3M18,355
35Stryker Corp$2M7,248
36O Reilly Automotive Inc$2M25,300
37Procter & Gamble$2M15,809
38Sector Spdr Tr Shs Ben Int Technology$2M17,085
39Abbott Laboratories$2M21,897
40Advanced Micro Devices$2M10,495
41Berkshire Hathaway Class B$2M4,338
42Amphenol Corp Cl A$2M16,090
43Mcdonald's Corporation$2M6,534
44Parker Hannifin Corp$2M2,235
45Deere & Company$2M3,550
46Tortoise Energy Infrastructure Clsd Fund$2M40,012
47GE Aerospace$2M6,986
48Select SPDR Energy$2M31,714
49Merck & Co Inc$2M15,985
50Unitedhealth Group Inc.$2M7,083
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.