Filer Name: MONETARY MANAGEMENT GROUP INC
CIK: 1133014
Period: 2024-12-31
Filed At: 2025-02-13
Number of Holdings: 326
Portfolio Value: $0.38B

Monetary Management Group Inc Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
AAPL US APPLE INC 135,313 $34M 8.80% -1.9% -
MSFT US MICROSOFT CORP 71,218 $30M 7.80% -2.0% -
NVDA US NVIDIA CORP 189,310 $25M 6.61% -2.9% -
LLY US ELI LILLY & CO 16,470 $13M 3.30% 2.1% -
AVGO US BROADCOM INC 52,810 $12M 3.18% -4.0% -
AMZN US AMAZON.COM INC 52,390 $11M 2.99% -2.4% -
HD US HOME DEPOT INC 24,424 $10M 2.47% -0.6% -
GOOGL US ALPHABET INC-CL A 50,075 $9M 2.46% -11.4% -
30303m102 - META PLATFORMS INC CLASS A COM 14,895 $9M 2.27% -2.8% -
ABBV US ABBVIE INC 36,615 $7M 1.69% 0.3% -
IWF US ISHARES RUSSELL 1000 GROWTH 15,326 $6M 1.60% 2.2% -
JPM US JPMORGAN CHASE & CO 25,499 $6M 1.59% -1.1% -
MA US MASTERCARD INC - A 8,465 $4M 1.16% -0.6% -
IWD US ISHARES RUSSELL 1000 VALUE E 23,722 $4M 1.14% 1.3% -
PEP US PEPSICO INC 26,321 $4M 1.04% -5.9% -
UNH US UNITEDHEALTH GROUP INC 7,772 $4M 1.02% -21.6% -
COST US COSTCO WHOLESALE CORP 4,215 $4M 1.00% -1.2% -
CAT US CATERPILLAR INC 10,227 $4M 0.96% - -
ORCL US ORACLE CORP 22,285 $4M 0.96% 0.7% -
AMGN US AMGEN INC 14,021 $4M 0.95% 1.3% -
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