abrdn Investment Management’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2017
Q2
$216M Buy
2,907,391
+268,587
+10% +$19.9M 0.73% 49
2017
Q1
$193M Buy
2,638,804
+316,661
+14% +$23.2M 0.64% 57
2016
Q4
$152M Buy
2,322,143
+142
+0% +$9.29K 0.53% 70
2016
Q3
$172M Buy
2,322,001
+258,214
+13% +$19.1M 0.71% 54
2016
Q2
$151M Buy
2,063,787
+8,542
+0.4% +$625K 0.68% 55
2016
Q1
$145M Sell
2,055,245
-127,351
-6% -$9M 0.66% 60
2015
Q4
$145M Sell
2,182,596
-74,577
-3% -$4.97M 0.62% 57
2015
Q3
$143M Sell
2,257,173
-253,096
-10% -$16.1M 0.62% 62
2015
Q2
$164M Sell
2,510,269
-418,875
-14% -$27.4M 0.69% 56
2015
Q1
$203M Buy
2,929,144
+569,548
+24% +$39.5M 0.83% 43
2014
Q4
$163M Buy
2,359,596
+255,847
+12% +$17.7M 0.64% 56
2014
Q3
$137M Buy
2,103,749
+155,997
+8% +$10.2M 0.52% 61
2014
Q2
$133M Buy
1,947,752
+69,117
+4% +$4.71M 0.59% 60
2014
Q1
$122M Buy
1,878,635
+1,421,197
+311% +$92.2M 0.58% 68
2013
Q4
$29.8M Buy
457,438
+401,215
+714% +$26.2M 0.16% 115
2013
Q3
$3.33M Sell
56,223
-204
-0.4% -$12.1K 0.02% 176
2013
Q2
$3.23M Buy
+56,427
New +$3.23M 0.02% 173