Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2021
Q2
Sell
-1,102
Closed -$213K 395
2021
Q1
$213K Buy
+1,102
New +$212K 0.02% 342
2020
Q3
Sell
-1,409
Closed -$309K 293
2020
Q2
$309K Sell
1,409
-2,395
-63% -$478K 0.03% 205
2020
Q1
$659K Buy
3,804
+193
+5% +$31.9K 0.07% 161
2019
Q4
$554K Buy
3,611
+159
+5% +$23.8K 0.05% 321
2019
Q3
$524K Buy
3,452
+241
+8% +$38.1K 0.05% 351
2019
Q2
$492K Buy
3,211
+80
+3% +$12.2K 0.05% 316
2019
Q1
$502K Sell
3,131
-416
-12% -$64.5K 0.05% 287
2018
Q4
$547K Sell
3,547
-40
-1% -$6.23K 0.06% 185
2018
Q3
$540K Buy
3,587
+116
+3% +$16.5K 0.06% 202
2018
Q2
$469K Sell
3,471
-83
-2% -$10.2K 0.05% 292
2018
Q1
$473K Buy
3,554
+258
+8% +$34.7K 0.05% 263
2017
Q4
$490K Buy
+3,296
New +$448K 0.06% 242

Other funds holding CLX