AMP Capital Investors’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
Sell
-30,741
Closed -$5.09M 362
2021
Q3
$5.09M Sell
30,741
-8,849
-22% -$1.47M 0.03% 543
2021
Q2
$7.12M Sell
39,590
-3,228
-8% -$581K 0.03% 512
2021
Q1
$8.27M Sell
42,818
-2,371
-5% -$458K 0.04% 461
2020
Q4
$9.08M Sell
45,189
-10,424
-19% -$2.1M 0.05% 414
2020
Q3
$11.7M Buy
55,613
+8,450
+18% +$1.78M 0.07% 293
2020
Q2
$10.3M Sell
47,163
-771
-2% -$168K 0.06% 314
2020
Q1
$8.37M Sell
47,934
-1,712
-3% -$299K 0.06% 320
2019
Q4
$7.59M Sell
49,646
-468
-0.9% -$71.5K 0.04% 454
2019
Q3
$7.65M Sell
50,114
-13,662
-21% -$2.09M 0.04% 422
2019
Q2
$9.71M Buy
63,776
+17,454
+38% +$2.66M 0.05% 361
2019
Q1
$7.47M Sell
46,322
-425
-0.9% -$68.6K 0.04% 441
2018
Q4
$7.16M Buy
46,747
+508
+1% +$77.8K 0.05% 408
2018
Q3
$6.9M Sell
46,239
-24,203
-34% -$3.61M 0.04% 468
2018
Q2
$9.53M Buy
70,442
+17,420
+33% +$2.36M 0.05% 386
2018
Q1
$6.91M Buy
53,022
+11,179
+27% +$1.46M 0.04% 460
2017
Q4
$6.22M Buy
41,843
+2,830
+7% +$421K 0.03% 493
2017
Q3
$5.15M Buy
39,013
+3,180
+9% +$419K 0.03% 516
2017
Q2
$4.77M Sell
35,833
-600
-2% -$79.9K 0.03% 524
2017
Q1
$4.93M Buy
36,433
+1,300
+4% +$176K 0.03% 522
2016
Q4
$4.26M Sell
35,133
-17,251
-33% -$2.09M 0.03% 561
2016
Q3
$6.53M Sell
52,384
-4,175
-7% -$520K 0.04% 444
2016
Q2
$7.65M Buy
56,559
+3,438
+6% +$465K 0.05% 372
2016
Q1
$6.8M Sell
53,121
-5,231
-9% -$669K 0.05% 411
2015
Q4
$7.48M Sell
58,352
-2,453
-4% -$314K 0.05% 387
2015
Q3
$6.97M Buy
60,805
+17,082
+39% +$1.96M 0.05% 377
2015
Q2
$4.57M Sell
43,723
-79
-0.2% -$8.26K 0.03% 503
2015
Q1
$4.85M Buy
43,802
+3,600
+9% +$399K 0.03% 508
2014
Q4
$4.25M Buy
40,202
+6,821
+20% +$720K 0.03% 538
2014
Q3
$3.21M Sell
33,381
-1,322
-4% -$127K 0.02% 617
2014
Q2
$3.18M Buy
34,703
+4,200
+14% +$385K 0.02% 642
2014
Q1
$2.69M Buy
30,503
+3,004
+11% +$265K 0.02% 654
2013
Q4
$2.58M Sell
27,499
-11,856
-30% -$1.11M 0.02% 667
2013
Q3
$3.24M Sell
39,355
-22,574
-36% -$1.86M 0.02% 589
2013
Q2
$5.2M Buy
+61,929
New +$5.2M 0.04% 461