MURPHY CAPITAL MANAGEMENT INC

MURPHY CAPITAL MANAGEMENT INC latest Q1_2021 13F filings reported $795,622,000 in market value on this 2021-04-21 report date . The portfolio quarterly return is 6.03%. This fund has 219 securities concentrations of 100% weights.

MURPHY CAPITAL MANAGEMENT INC largest holding is Apple Inc. with weight of 7.34% and $58,431,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-04-212021-03-31Q1_202113F-HR219$795,622,0006.03%
2021-02-052020-12-31Q4_202013F-HR214$750,381,0008.97%
2020-10-202020-09-30Q3_202013F-HR202$688,631,0008.80%
2020-08-032020-06-30Q2_202013F-HR198$632,942,00020.02%
2020-04-282020-03-31Q1_202013F-HR192$527,354,000-25.05%
2020-02-102019-12-31Q4_201913F-HR232$703,594,0005.75%
2019-10-112019-09-30Q3_201913F-HR232$665,353,000-0.68%
2019-07-222019-06-30Q2_201913F-HR239$669,923,0002.20%
2019-04-112019-03-31Q1_201913F-HR248$655,522,00010.14%
2019-02-042018-12-31Q4_201813F-HR238$595,197,000-17.41%
2018-10-102018-09-30Q3_201813F-HR274$720,695,0004.18%
2018-07-262018-06-30Q2_201813F-HR274$691,806,000-1.87%
2018-04-172018-03-31Q1_201813F-HR271$705,019,000-3.45%
2018-01-292017-12-31Q4_201713F-HR273$730,177,0004.57%
2017-10-192017-09-30Q3_201713F-HR268$698,249,0002.94%
2017-07-212017-06-30Q2_201713F-HR269$678,339,0000.86%
2017-04-112017-03-31Q1_201713F-HR273$672,548,0006.04%
2017-01-312016-12-31Q4_201613F-HR273$634,221,000-1.76%
2016-10-242016-09-30Q3_201613F-HR289$645,608,000-0.06%
2016-07-192016-06-30Q2_201613F-HR302$645,989,0001.20%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
APPLE INCAAPLDECR$58,431-0.11%7.34%$122.15-0.03%478,361
INVESCO QQQ TRQQQINCR$29,4760.03%3.70%$319.120.02%92,366
S & P DEPOSITORY RECEIPTSSPYINCR$28,3000.12%3.56%$396.330.05%71,406
SELECT SECTOR SPDR TRXLYINCR$28,1540.06%3.54%$168.070.02%167,514
AMAZON COM INCAMZNDECR$26,451-0.03%3.32%$3094.410.02%8,548
VANGUARD INFORMATION TECHNOLOGY INDEX FUNDVGTINCR$25,2600.01%3.17%$358.49-0.01%70,462
MICROSOFT CORPMSFTINCR$24,0850.10%3.03%$235.760.04%102,157
SELECT SECTOR SPDR TRINCR$18,7850.06%2.36%$116.730.03%160,921
SELECT SECTOR SPDR TRXLIINCR$17,8100.12%2.24%$98.450.01%180,908
FACEBOOK INCFBINCR$17,2440.09%2.17%$294.530.01%58,548
SELECT SECTOR SPDR TRXLFINCR$16,8860.22%2.12%$34.050.06%495,926
FIRST TR EXCHANGE-TRADED FDFDNDECR$16,0110.00%2.01%$218.08-0.03%73,418
J P MORGAN CHASE & CO COMJPMINCR$15,1680.19%1.91%$152.23-0.01%99,641
HOME DEPOT INCHDINCR$15,1220.17%1.90%$305.250.02%49,540
JOHNSON & JOHNSONJNJINCR$14,5580.07%1.83%$164.340.02%88,582
VISA INCVDECR$14,140-0.01%1.78%$211.720.03%66,787
DISNEY WALT CODISINCR$13,6200.02%1.71%$184.510.01%73,816
SELECT SECTOR SPDR TRXLCINCR$11,9280.11%1.50%$73.320.02%162,688
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$11,7650.11%1.48%$255.460.01%46,055
SELECT SECTOR SPDR TRXLKINCR$11,1450.04%1.40%$132.810.02%83,917
VERIZON COMMUNICATIONS INCVZINCR$10,8270.01%1.36%$58.150.02%186,202
ALPHABET INCGOOGINCR$10,5350.20%1.32%$2068.530.01%5,093
PROCTER AND GAMBLE COPGINCR$10,1820.00%1.28%$135.420.03%75,186
SELECT SECTOR SPDR TRXLPINCR$9,2350.04%1.16%$68.310.03%135,200
HONEYWELL INTL INCHONINCR$9,0030.03%1.13%$217.070.01%41,476
MCDONALDS CORPMCDINCR$8,5940.08%1.08%$224.130.04%38,343
ISHARES U.S. HEALTHCARE ETFIYHINCR$8,1100.02%1.02%$252.43-0.01%32,128
BOEING COBAINCR$7,1830.19%0.90%$254.710.00%28,201
PEPSICO INCPEPDECR$7,064-0.01%0.89%$141.430.04%49,946
SPDR DOW JONES INDL AVERAGEDIAINCR$6,9550.03%0.87%$330.17-0.04%21,065
ALPHABET INC USD 0.001 CLS AGOOGLINCR$6,5790.20%0.83%$2062.380.02%3,190
3M COMMMINCR$6,6220.09%0.83%$192.66-0.01%34,371
UNION PAC CORPUNPINCR$6,2670.05%0.79%$220.41-0.01%28,434
COCA COLA COKODECR$5,939-0.04%0.75%$52.70-0.01%112,687
VANECK VECTORS ETF TRBBHINCR$5,9550.02%0.75%$175.42-0.01%33,948
RAYTHEON TECHNOLOGIES CORP USD 1.0RTXINCR$5,8690.09%0.74%$77.270.01%75,957
UNITED PARCEL SERVICEUPSINCR$5,7550.02%0.72%$169.970.01%33,858
SELECT SECTOR SPDR TRXLUINCR$5,3600.05%0.67%$64.030.03%83,707
UNITEDHEALTH GROUP INCUNHINCR$5,3210.10%0.67%$372.020.04%14,303
SELECT SECTOR SPDR TRINCR$5,2480.15%0.66%$78.790.06%66,605
CHEVRON CORP NEWCVXINCR$5,2060.27%0.65%$104.780.02%49,683
MERCK & CO INC NEWMRKDECR$4,978-0.09%0.63%$77.08-0.04%64,584
BK OF AMERICA CORPBACINCR$4,8350.33%0.61%$38.690.04%124,975
EXXON MOBIL CORPXOMINCR$4,8710.38%0.61%$55.830.02%87,252
TRANE TECHNOLOGIES PLC USD 1.0TTINCR$4,8800.12%0.61%$165.54-0.02%29,480
SALESFORCE.COMCRMDECR$4,744-0.07%0.60%$211.86-0.03%22,392
VANGUARD INTL EQUITY INDEX FVEUINCR$4,7230.28%0.59%$60.670.23%77,841
ISHARES TRIHFINCR$4,6200.06%0.58%$251.76-0.01%18,351
NESTLE S A SPONSORED ADRNSRGYDECR$4,529-0.06%0.57%$111.51-0.01%40,617
WALMART INCWMTDECR$4,226-0.02%0.53%$135.830.05%31,113
ALTRIA GROUP INCMOINCR$4,1100.16%0.52%$51.15-0.07%80,346
CSX CORPCSXINCR$4,1420.05%0.52%$96.40-0.01%42,967
ISHARES TRIBBINCR$3,6780.04%0.46%$150.560.05%24,429
LOWES COS INCLOWINCR$3,6400.18%0.46%$190.190.00%19,139
ISHARES TRIHEDECR$3,392-0.01%0.43%$177.640.00%19,095
MASTERCARD INCORPORATEDMAINCR$3,4050.00%0.43%$356.060.00%9,563
AT&T INCTINCR$3,3550.03%0.42%$30.26-0.03%110,855
CISCO SYSTEMSCSCOINCR$3,3420.21%0.42%$51.710.05%64,630
COMCAST CORP NEWCMCSAINCR$3,2800.03%0.41%$54.110.00%60,621
LILLY ELI & COLLYINCR$3,1860.11%0.40%$186.820.01%17,054
ISHARES TRIHIDECR$3,1190.00%0.39%$330.37-0.01%9,441
BRISTOL MYERS SQUIBB COBMYINCR$3,0530.09%0.38%$63.120.07%48,371
VANGUARD WORLD FDSVOXINCR$3,0530.17%0.38%$129.970.08%23,490
SELECT SECTOR SPDR TRXLEINCR$2,8970.57%0.36%$49.060.21%59,055
STRYKER CORPORATIONSYKDECR$2,8440.00%0.36%$243.580.00%11,676
FEDEX CORPFDXINCR$2,7840.12%0.35%$283.990.03%9,803
INTERNATIONAL BUSINESS MACHINE COMPANYIBMINCR$2,7430.03%0.34%$133.23-0.02%20,589
PFIZER COMPANY INCPFEINCR$2,6390.07%0.33%$36.230.09%72,848
ABBOTT LABSABTINCR$2,5510.11%0.32%$119.830.01%21,289
AMERICAN EXPRESS COMPANYAXPINCR$2,5620.15%0.32%$141.39-0.02%18,120
GENERAL DYNAMICS CORPGDINCR$2,5230.23%0.32%$181.550.01%13,897
AIR PRODUCTS & CHEMICALS INCAPDINCR$2,4900.06%0.31%$281.320.03%8,851
ISHARES TRIYWINCR$2,4390.01%0.31%$87.68-0.02%27,816
PUBLIC SVC ENTERPRISE GRP INPEGDECR$2,477-0.06%0.31%$60.21-0.09%41,140
AMGENAMGNINCR$2,3570.12%0.30%$248.710.03%9,477
CANADIAN PAC RY LTDCPINCR$2,3850.11%0.30%$379.170.01%6,290
CITIGROUP INC COM NEWCINCR$2,3860.18%0.30%$72.750.00%32,799
INTUITIVE SURGICAL INCISRGINCR$2,3850.17%0.30%$738.850.30%3,228
CATERPILLAR INCCATINCR$2,3350.25%0.29%$231.81-0.02%10,073
DUKE ENERGY CORP NEWINCR$2,3440.05%0.29%$96.530.00%24,283
SPDR SER TRXNTKDECR$2,294-0.01%0.29%$144.65-0.04%15,859
INTEL CORPINTCINCR$2,1140.26%0.27%$63.98-0.02%33,041
NORFOLK SOUTHN CORPNSCINCR$2,1420.13%0.27%$268.490.00%7,978
AMERICAN WTR WKS CO INC NEWAWKDECR$2,047-0.08%0.26%$149.91-0.06%13,655
ISHARES MSCI EAFE ETFEFAINCR$2,0690.01%0.26%$75.83-0.03%27,283
HERSHEY COMPANY, THEHSYINCR$1,9920.04%0.25%$158.080.00%12,601
ISHARES INCIEMGINCR$1,9511.36%0.25%$64.351.27%30,317
SPDR SER TRXBIDECR$1,983-0.02%0.25%$135.640.02%14,620
CIGNA CORP NEWCIINCR$1,9380.16%0.24%$241.740.00%8,017
AFLAC INCORPORATEDAFLINCR$1,8610.16%0.23%$51.180.01%36,365
ISHARES U.S. FINANCIALS ETFIYFINCR$1,8450.12%0.23%$74.840.00%24,654
LOCKHEED MARTIN CORPLMTINCR$1,8120.03%0.23%$369.34-0.01%4,906
CONSOLIDATED EDISON INCEDDECR$1,7200.00%0.22%$74.76-0.04%23,006
DOMINION ENERGY INCDDECR$1,769-0.02%0.22%$75.93-0.03%23,298
VANGUARD HEALTH CARE INDEX FUNDVHTINCR$1,6870.02%0.21%$228.680.00%7,377
SPDR GOLD TRDECR$1,631-0.13%0.20%$159.89-0.03%10,201
NEXTERA ENERGY INC COMNEENA$1,4900.00%0.19%$75.580.02%19,714
KIMBERLY-CLARK CORPKMBINCR$1,4180.06%0.18%$139.050.03%10,198
BAXTER INTERNATIONAL INCBAXINCR$1,3310.04%0.17%$84.30-0.01%15,788
COLGATE PALMOLIVE COCLDECR$1,342-0.08%0.17%$78.800.00%17,030
PHILIP MORRIS INTL INCPMINCR$1,3230.03%0.17%$88.73-0.04%14,910
VANGUARD INTL EQUITY INDEX FVWOINCR$1,3340.12%0.17%$52.020.08%25,645
AMERICAN ELEC PWR CO INCAEPINCR$1,2700.05%0.16%$84.650.03%15,003
GOLDMAN SACHS GROUPGSINCR$1,2820.30%0.16%$326.960.05%3,921
PAYPAL HLDGS INCPYPLINCR$1,2721.92%0.16%$242.661.81%5,242
LAM RESEARCH CORPLRCXINCR$1,2050.16%0.15%$595.06-0.08%2,025
ISHARES TRIWPDECR$1,231-0.01%0.15%$102.05-0.01%12,063
BECTON DICKINSON & COBDXDECR$1,149-0.03%0.14%$242.970.00%4,729
DUPONT DE NEMOURS INC USD 0.01DDINCR$1,0800.06%0.14%$77.25-0.03%13,981
EXCHANGE TRADED CONCEPTS TRROBOINCR$1,0770.03%0.14%$63.46-0.01%16,970
NETFLIX INCNFLXDECR$1,101-0.03%0.14%$521.550.00%2,111
DOW HOLDINGS INC USD 0.01DOWINCR$1,0260.11%0.13%$63.90-0.04%16,056
TESLA MOTORS INCTSLADECR$997-0.01%0.13%$667.340.04%1,494
CLOROX CO DELCLXDECR$974-0.06%0.12%$192.87-0.01%5,050
INGERSOLL RAND INCIRINCR$9420.05%0.12%$49.20-0.03%19,146
INTERNATIONAL PAPER COIPINCR$9840.07%0.12%$54.04-0.01%18,209
ISHARES CORE S&P 500 INDEX ETFIVVINCR$9670.18%0.12%$397.780.11%2,431
GENERAL MLS INCGISINCR$8360.02%0.11%$61.30-0.03%13,638
ISHARES TRIGVDECR$860-0.04%0.11%$341.270.00%2,520
SOUTHERN COSODECR$870-0.06%0.11%$62.13-0.07%14,004
ALLEGION PLCALLEINCR$7600.06%0.10%$125.56-0.02%6,053
AMERICAN INTL GROUP INCAIGINCR$7860.11%0.10%$46.17-0.09%17,025
COSTCO WHSL CORP NEWCOSTDECR$796-0.33%0.10%$352.06-0.29%2,261
EDWARDS LIFESCIENCES CORPORATIONEWDECR$771-0.07%0.10%$83.530.02%9,230
EMERSON ELEC COEMRINCR$8100.16%0.10%$90.140.03%8,986
ENTERPRISE PRODS PARTNERS LEPDINCR$8260.11%0.10%$22.01-0.01%37,522
INVESCO EXCHANGE TRADED FD TPSLINCR$8060.06%0.10%$92.64-0.01%8,700
ISHARES S&P GLOBAL CLEAN ENERGYICLNINCR$7702.25%0.10%$24.282.78%31,711
ROCKWELL AUTOMATION INCROKINCR$8330.05%0.10%$265.29-0.01%3,140
UNILEVER ADRULDECR$784-0.09%0.10%$55.78-0.01%14,055
ABBVIE INCABBVINCR$7300.08%0.09%$108.100.07%6,753
CUMMINS INCCMIINCR$7131.21%0.09%$259.080.93%2,752
NORTHROP GRUMMAN CORPORATION USD 1.0NOCDECR$744-0.09%0.09%$323.62-0.14%2,299
PALANTIR TECHNOLOGIES INCPLTRBUY$7160.00%0.09%$23.280.00%30,757
ISHARES US UTILITIES ETFIDUINCR$6020.03%0.08%$79.520.00%7,570
L3HARRIS TECHNOLOGIES INCLHXINCR$6510.05%0.08%$202.49-0.02%3,215
ISHARES TREEMDECR$605-0.01%0.08%$53.30-0.04%11,350
VANECK VECTORS AGRIBUSINESS ETFMOOINCR$6390.11%0.08%$87.65-0.01%7,290
VANECK VECTORS ETF TRSMHINCR$6020.15%0.08%$243.230.03%2,475
BLACKROCK INC USD 0.01BUY$5470.00%0.07%$753.440.00%726
EASTMAN CHEM COEMNINCR$5460.08%0.07%$110.08-0.02%4,960
ISHARES TRIGMINCR$5610.03%0.07%$360.770.00%1,555
MCKESSON CORPORATIONMCKINCR$5880.05%0.07%$194.90-0.06%3,017
ORACLE SYSTEMSORCLINCR$5380.21%0.07%$70.070.12%7,678
PROSHARES TRINCR$5560.00%0.07%$91.151.00%6,100
ISHARES TRIWOINCR$5660.05%0.07%$300.420.00%1,884
ISHARES TRIVWINCR$5320.14%0.07%$65.040.12%8,179
AUTOMATIC DATA PROCESSINGADPINCR$4390.05%0.06%$188.41-0.02%2,330
CANADIAN NATL RY COCNIINCR$4430.05%0.06%$115.820.00%3,825
CHUBB LTD CHF 24.15CBINCR$4820.42%0.06%$157.720.38%3,056
ISHARES TRIEGAINCR$4620.34%0.06%$71.950.28%6,421
PIONEER NAT RES COPXDINCR$4720.41%0.06%$158.660.01%2,975
SPDR SER TRXRTINCR$4740.51%0.06%$89.100.09%5,320
SPDR SER TRXSDINCR$4660.07%0.06%$182.750.00%2,550
WISDOMTREE TRQSYINCR$4760.12%0.06%$112.53-0.02%4,230
AMER STATES WTR COAWRDECR$416-0.05%0.05%$75.610.00%5,502
CONSTELLATION BRANDS INCSTZINCR$3670.04%0.05%$227.950.00%1,610
DANAHER CORPORATIONDHRINCR$3730.02%0.05%$224.700.01%1,660
DIAGEO PLC SPON ADR NEWDEOINCR$3810.03%0.05%$163.870.00%2,325
DUKE REALTY CORPDREINCR$3820.01%0.05%$41.86-0.04%9,125
ILLINOIS TOOL WORKS INC USD 0.01ITWINCR$3910.06%0.05%$221.53-0.03%1,765
ISHARES GLOBAL CONSUMER STAPLES ETFKXIDECR$362-0.05%0.05%$58.06-0.05%6,235
KANSAS CITY SOUTHERNKSUINCR$4350.24%0.05%$263.64-0.04%1,650
MEDTRONIC PLC USD 0.1MDTDECR$366-0.01%0.05%$117.84-0.01%3,106
MONDELEZ INTERNATIONAL INCMDLZINCR$3950.10%0.05%$58.490.10%6,753
NOVARTIS AG SPONSORED ADRNVSDECR$413-0.11%0.05%$85.37-0.01%4,838
STARBUCKS CORPSBUXDECR$409-0.03%0.05%$109.10-0.05%3,749
VANGUARD FINANCIALS INDEX FUNDINCR$3590.19%0.05%$84.430.02%4,252
VANGUARD DIVIDEND APPRECIATION INDEX FUNDVIGINCR$4320.04%0.05%$146.940.00%2,940
CONOCOPHILLIPS COM CL-BCOPINCR$3260.31%0.04%$52.89-0.01%6,164
DEERE & CODEINCR$2930.40%0.04%$373.250.01%785
ISHARES US BASIC MATERIALS ETFIYMINCR$3280.10%0.04%$125.190.00%2,620
ISHARES U.S. ENERGY ETFIYEINCR$3440.30%0.04%$26.180.01%13,139
ESSENTIAL UTILS INCWTRGDECR$333-0.12%0.04%$44.63-0.07%7,462
LAUDER ESTEE COS INCELINCR$2810.09%0.04%$290.590.00%967
INVESCO EXCHANGE TRADED FD TPNQIINCR$2990.01%0.04%$230.000.00%1,300
ISHARES GOLD TRUSTIAUDECR$317-0.21%0.04%$16.21-0.12%19,555
ISHARES TR REZINCR$2830.09%0.04%$73.890.00%3,830
ISHARES TRIGFDECR$358-0.03%0.04%$45.06-0.06%7,945
INCR$3060.09%0.04%$36.000.00%8,499
MAGELLAN MIDSTREAM PRTNRS LPMMPDECR$330-0.10%0.04%$43.28-0.12%7,625
PPG INDS INCPPGINCR$3570.02%0.04%$150.00-0.02%2,380
ISHARES TRIWMINCR$2880.16%0.04%$220.520.02%1,306
SPDR SER TRSPTMINCR$3510.09%0.04%$49.090.02%7,150
STANLEY BLACK & DECKER INCSWKINCR$3290.12%0.04%$199.390.00%1,650
VANGUARD LARGE-CAP INDEX FUNDVVINCR$2890.05%0.04%$184.900.00%1,563
VANGUARD INDEX FDSVOOBUY$3430.00%0.04%$364.120.00%942
VANGUARD INTL EQUITY INDEX FVGKINCR$2920.04%0.04%$62.800.00%4,650
ALLSTATE CORPALLINCR$2660.10%0.03%$114.660.05%2,320
AMERICAN TOWER CORP NEWAMTINCR$2730.27%0.03%$238.430.19%1,145
APPLIED MATLS INCAMATBUY$2540.00%0.03%$133.330.00%1,905
BCB BANCORP INCBCBPINCR$2050.25%0.03%$13.780.00%14,876
CORNING INCGLWINCR$2610.17%0.03%$43.39-0.03%6,015
CVS HEALTH CORPORATIONCVSBUY$2170.00%0.03%$74.910.00%2,897
ISHARES TRIYTINCR$2560.08%0.03%$257.03-0.07%996
EATON CORP PLCETNINCR$2350.15%0.03%$138.240.00%1,700
INCR$2110.05%0.03%$17.800.00%11,852
EVERGY INCEVRGINCR$2410.08%0.03%$59.540.00%4,048
FMC CORPFMCDECR$232-0.04%0.03%$110.160.00%2,106
FIRST TR EXCHANGE TRADED FDFIWINCR$2540.09%0.03%$78.150.00%3,250
INCR$2620.09%0.03%$65.160.00%4,021
ISHARES CORE HIGH DIVIDEND ETFHDVBUY$2140.00%0.03%$94.650.00%2,261
ISHARES TRACWXINCR$2200.04%0.03%$55.000.00%4,000
ISHARES TRIWYINCR$2410.01%0.03%$134.340.00%1,794
ISHARES TRPFFBUY$2020.00%0.03%$38.260.00%5,280
MCCORMICK & CO., INC.MKCDECR$205-0.11%0.03%$88.74-0.04%2,310
METTLER TOLEDO INTERNATIONALMTDINCR$2310.02%0.03%$1155.000.00%200
MIDDLESEX WTR COMSEXINCR$2560.07%0.03%$78.77-0.02%3,250
MIMEDX GROUP INC COMMDXGINCR$2330.13%0.03%$10.260.00%22,700
NEW JERSEY RES CORPNJRINCR$2190.03%0.03%$39.78-0.08%5,505
KONINKLIJKE PHILIPS N V NY REG SH NEWPHGINCR$2610.04%0.03%$56.95-0.02%4,583
SCHWAB CHARLES CORP NEW DEP SHSCHW/PDINCR$2420.15%0.03%$25.330.18%9,555
SOUTHERN CO 4.20 NT S20C 60SOJEDECR$259-0.03%0.03%$24.770.05%10,455
ISHARES TRIVEINCR$2400.11%0.03%$141.180.00%1,700
UGI CORP NEWUGIINCR$2340.17%0.03%$40.870.00%5,725
VANGUARD INDEX FDSVUGINCR$2480.04%0.03%$256.200.03%968
VANGUARD INDEX FDSVOINCR$2420.13%0.03%$220.800.06%1,096
VANGUARD INDEX FDSVTVBUY$2260.00%0.03%$131.090.00%1,724
Fidelity Magellan FundINCR$1960.01%0.02%$13.070.00%15,000
BROOKFIELD RENEWABLE PARTNERBEPSOLD$00.00%-100.00%$0.000.00%0
BROADRIDGE FINL SOLUTIONS INBRSOLD$00.00%-100.00%$0.000.00%0
EVERSOURCE ENERGYESSOLD$00.00%-100.00%$0.000.00%0