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Reported Holdings Of The
Monetary Management Group Inc

Legal Name: MONETARY MANAGEMENT GROUP INC

Period of report: Jun 30, 2019
Effectiveness Date: Aug 13, 2019

Security Shares Held / Principal Amount Market Value Option
Apple Inc (037833100) 52,325 $10,356k
Amazon.com Inc (023135106) 4,760 $9,014k
ALPHABET INC (02079K305) 4,854 $5,256k
Boeing Co/The (097023105) 9,593 $3,492k
DISNEY WALT CO (254687106) 24,020 $3,354k
AMGEN INC (031162100) 17,193 $3,168k
Chevron Corp (166764100) 24,511 $3,050k
ADOBE INC (00724F101) 9,440 $2,781k
BROADCOM INC (11135F101) 9,477 $2,728k
ABBVIE INC (00287Y109) 36,415 $2,648k
COMCAST CORP (20030N101) 60,866 $2,573k
CONSTELLATION BRANDS (21036P108) 11,215 $2,209k
CENTENE CORP DEL (15135B101) 41,339 $2,168k
ABBOTT LABS (002824100) 24,745 $2,081k
Bristol-Myers Squibb Co (110122108) 40,945 $1,857k
Alphabet Inc (02079K107) 1,711 $1,849k
DOLLAR GEN CORP (256677105) 13,270 $1,794k
Berkshire Hathaway, Inc. (084670702) 8,378 $1,786k
ACCENTURE PLC IRELAND (G1151C101) 9,650 $1,783k
LILLY ELI & CO (532457108) 15,850 $1,756k
ADP (053015103) 8,825 $1,459k
ALTRIA GROUP INC (02209S103) 29,776 $1,410k
BECTON DICKINSON (075887109) 5,435 $1,370k
EASTMAN CHEM CO (277432100) 16,975 $1,321k
EOG Resources Inc (26875P101) 14,057 $1,310k
BP PLC (055622104) 30,261 $1,262k
AMPHENOL CORPORATION (032095101) 12,680 $1,217k
BIOGEN INC (09062X103) 5,180 $1,211k
DNP SELECT INCOME FD (23325P104) 97,650 $1,154k
COSTCO WHSL CORP (22160K105) 3,875 $1,024k
Bank of America Corp. (060505104) 34,500 $1,000k
CVS HEALTH CORP (126650100) 18,221 $993k
AFLAC INC (001055102) 15,700 $861k
Caterpillar Inc (149123101) 6,320 $861k
American Express Co. (025816109) 6,900 $852k
Booking Holdings, Inc. (09857L108) 427 $801k
AT&T INC (00206R102) 22,801 $764k
DISCOVER FINL SVCS (254709108) 9,750 $757k
CIGNA CORP (125523100) 4,569 $720k
COLGATE PALMOLIVE CO (194162103) 9,350 $670k
COCA-COLA CO (191216100) 10,700 $545k
CISCO SYSTEMS INC (17275R102) 8,600 $471k
ENTERPRISE PRODS (293792107) 15,930 $460k
Dow Inc (260557103) 9,138 $451k
BLACKSTONE GROUP INC COMCL A (09260d107) 9,400 $418k
ANTHEM INC (036752103) 1,475 $416k
CITIGROUP INC (172967424) 5,775 $404k
ConocoPhillips (20825C104) 5,554 $339k
CHUBB LIMITED (H1467J104) 2,275 $335k
EMERSON ELEC CO (291011104) 4,950 $330k
DUKE ENERGY CORP (26441C204) 3,683 $325k
BWX Technologies (BWXT) (05605H100) 6,050 $315k
CUMMINS INC (231021106) 1,600 $274k
CONSOLDTD EDISON INC (209115104) 3,000 $263k
EASTERLY GOVERNMENT PROPERTI (27616P103) 13,750 $249k
BB&T CORPORATION (054937107) 4,650 $228k
AEP (025537101) 2,552 $225k
DANAHER CORP (235851102) 1,550 $222k
COGNIZANT TECH SOLNS (192446102) 3,100 $197k
DIGITAL RLTY TR INC (253868103) 1,650 $194k
Deere & Co (244199105) 1,160 $192k
CLOROX CO (189054109) 1,200 $184k
3M CO (88579Y101) 1,050 $182k
DOMINION ENERGY INC (25746U109) 2,300 $178k
ASTRAZENECA (046353108) 4,000 $165k
ENLINK MIDSTREAM LLC (29336T100) 14,950 $151k
AMERICAN TOWER CORP NEW (03027X100) 675 $138k
AMEREN CORPORATION (023608102) 1,759 $132k
AMETEK INC (031100100) 1,450 $132k
CELGENE CORP (151020104) 1,375 $127k
DuPont de Nemours Inc (26614N102) 1,548 $116k
CONSOL Coal Resources LP (20855T100) 6,000 $100k
AMERICAN WTR WKS CO (030420103) 800 $93k
AIR PRODS & CHEMS INC (009158106) 400 $91k
Aramark Holdings Corp. (03852U106) 2,500 $90k
BEIGENE LTD-ADR (07725L102) 700 $87k
Archer-Daniels-Midland Co (039483102) 2,000 $82k
CONAGRA BRANDS INC (205887102) 3,000 $80k
COMMERCE BANCSHARES (200525103) 1,215 $72k
DELL TECHNOLOGIES IN (24703L202) 1,257 $64k
ETF MANAGERS TRUST (26924G508) 2,000 $63k
CAMPBELL SOUP CO (134429109) 1,550 $62k
DOVER CORP (260003108) 600 $60k
CDK GLOBAL INC (12508E101) 1,166 $58k
Charles Schwab Corp/The (808513105) 1,350 $54k
ENTERGY CORP (29364G103) 500 $51k
ADAMS DIVERSIFIED EQUITY FD (006212104) 3,034 $47k
BLACKROCK MUNIYIELD QLTY FD (09254E103) 2,500 $33k
DISCOVERY INC (25470F104) 1,000 $31k
CORTEVA INC (22052L104) 1,014 $30k
ANADARKO PETE (032511107) 400 $28k
DISCOVERY INC (25470F302) 1,000 $28k
Deutsche Telekom AG F ADR (251566105) 1,500 $26k
AVALONBAY COMMUNTIES (053484101) 125 $25k
Applied Materials, Inc. (038222105) 500 $22k
BLACKROCK SCIENCE & TECH TR (09258G104) 695 $22k
ALLSTATE CORP (020002101) 200 $20k
BOSTON PROPERTIES INC (101121101) 150 $19k
ESCO TECHN INC (296315104) 200 $17k
ARK ETF TRUST ARK (00214Q302) 450 $16k
ANNALY CAP MGMT INC (035710409) 1,750 $16k
ASHLAND GLOBAL HLDGS INC (044186104) 200 $16k
ALCON INC (H01301128) 234 $14k
ENERGIZER HOLDINGS (29272W109) 300 $12k
AQUA AMERICA INC (03836W103) 250 $10k
CANOPY GROWTH CORP (138035100) 250 $10k
SELECT SECTOR SPDR TR (81369Y852) 200 $10k
BRITISH AMER TOB PLC (110448107) 200 $7k
CITRIX SYS INC (177376100) 50 $5k
ENBRIDGE INC (29250N105) 147 $5k
CENTURYLINK INC (156700106) 250 $3k
EQUITRANS MIDSTREAM CORPORAT (294600101) 160 $3k

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