AAMU
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Amundi Asset Management US’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$170M Sell
2,155,330
-1,082,767
-33% -$85.4M 0.13% 177
2020
Q4
$277M Buy
3,238,097
+352,420
+12% +$30.1M 0.24% 101
2020
Q3
$223M Buy
2,885,677
+14,286
+0.5% +$1.1M 0.23% 94
2020
Q2
$210M Buy
2,871,391
+1,161,236
+68% +$85.1M 0.25% 88
2020
Q1
$72M Sell
1,710,155
-807,264
-32% -$34M 0.13% 152
2019
Q4
$173M Buy
2,517,419
+1,420,929
+130% +$97.8M 0.2% 113
2019
Q3
$80.6M Buy
1,096,490
+279,039
+34% +$20.5M 0.12% 185
2019
Q2
$58.6M Sell
817,451
-331,624
-29% -$23.8M 0.05% 281
2019
Q1
$78.8M Sell
1,149,075
-2,170,200
-65% -$149M 0.11% 189
2018
Q4
$198K Sell
3,319,275
-1,070,869
-24% -$63.7K 0.18% 86
2018
Q3
$294M Buy
4,390,144
+33,193
+0.8% +$2.22M 0.39% 58
2018
Q2
$282M Buy
4,356,951
+958,184
+28% +$62.1M 0.41% 56
2018
Q1
$244M Sell
3,398,767
-429,423
-11% -$30.8M 0.39% 60
2017
Q4
$289M Buy
3,828,190
+1,470,556
+62% +$111M 0.44% 54
2017
Q3
$172M Buy
2,357,634
+296,438
+14% +$21.6M 0.55% 56
2017
Q2
$153M Buy
2,061,196
+447,949
+28% +$33.2M 0.5% 57
2017
Q1
$118M Buy
1,613,247
+37,763
+2% +$2.76M 0.4% 69
2016
Q4
$103M Buy
1,575,484
+32,207
+2% +$2.11M 0.36% 69
2016
Q3
$114M Sell
1,543,277
-259,008
-14% -$19.2M 0.41% 67
2016
Q2
$132M Sell
1,802,285
-312,769
-15% -$22.9M 0.48% 63
2016
Q1
$149M Buy
2,115,054
+188,737
+10% +$13.3M 0.56% 53
2015
Q4
$128M Buy
1,926,317
+98,648
+5% +$6.57M 0.48% 62
2015
Q3
$116M Sell
1,827,669
-664,406
-27% -$42.2M 0.48% 63
2015
Q2
$163M Buy
2,492,075
+754,522
+43% +$49.4M 0.6% 44
2015
Q1
$120M Buy
1,737,553
+203,240
+13% +$14.1M 0.43% 73
2014
Q4
$106M Buy
1,534,313
+271,927
+22% +$18.8M 0.39% 81
2014
Q3
$82.3M Sell
1,262,386
-1,844,263
-59% -$120M 0.31% 99
2014
Q2
$212M Sell
3,106,649
-806,523
-21% -$55M 0.81% 20
2014
Q1
$254M Sell
3,913,172
-405,361
-9% -$26.3M 0.97% 13
2013
Q4
$282M Buy
4,318,533
+73,250
+2% +$4.78M 1.08% 12
2013
Q3
$252M Sell
4,245,283
-56,446
-1% -$3.35M 1.02% 16
2013
Q2
$246M Buy
+4,301,729
New +$246M 1.03% 13