APG Asset Management’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$10.7M Buy
104,600
+6,600
+7% +$675K 0.03% 347
2025
Q1
$13.4M Sell
98,000
-5,500
-5% -$750K 0.04% 311
2024
Q4
$16.2M Buy
103,500
+69,500
+204% +$10.9M 0.05% 297
2024
Q3
$4.96M Buy
34,000
+2,300
+7% +$336K 0.03% 256
2024
Q2
$4.04M Sell
31,700
-44,054
-58% -$5.61M 0.01% 480
2024
Q1
$10.7M Buy
75,754
+68,100
+890% +$9.65M 0.02% 407
2023
Q4
$988K Sell
7,654
-62,898
-89% -$8.12M ﹤0.01% 584
2023
Q3
$9.25M Sell
70,552
-3,300
-4% -$432K 0.02% 413
2023
Q2
$10.8M Buy
73,852
+3,129
+4% +$456K 0.02% 402
2023
Q1
$10.3M Buy
70,723
+14,349
+25% +$2.09M 0.02% 416
2022
Q4
$7.91M Sell
56,374
-198,849
-78% -$27.9M 0.02% 481
2022
Q3
$33.4M Sell
255,223
-177,672
-41% -$23.3M 0.09% 240
2022
Q2
$58.4M Sell
432,895
-36,800
-8% -$4.96M 0.14% 184
2022
Q1
$58.7M Sell
469,695
-19,900
-4% -$2.49M 0.11% 209
2021
Q4
$75.1M Buy
489,595
+48,600
+11% +$7.45M 0.13% 187
2021
Q3
$63M Buy
440,995
+2,300
+0.5% +$329K 0.11% 203
2021
Q2
$66.6M Buy
438,695
+12,800
+3% +$1.94M 0.11% 204
2021
Q1
$69.9M Sell
425,895
-69,090
-14% -$11.3M 0.12% 204
2020
Q4
$81.7M Sell
494,985
-93,391
-16% -$15.4M 0.13% 181
2020
Q3
$105M Buy
588,376
+19,000
+3% +$3.41M 0.18% 142
2020
Q2
$111M Buy
569,376
+282,043
+98% +$55.1M 0.2% 128
2020
Q1
$49.8M Buy
287,333
+275,028
+2,235% +$47.6M 0.1% 217
2019
Q4
$1.68M Sell
12,305
-229,156
-95% -$31.3M ﹤0.01% 829
2019
Q3
$33.6M Sell
241,461
-509,854
-68% -$71M 0.06% 335
2019
Q2
$101M Sell
751,315
-357,300
-32% -$48M 0.17% 163
2019
Q1
$158M Buy
1,108,615
+82,400
+8% +$11.8M 0.29% 105
2018
Q4
$138M Sell
1,026,215
-8,200
-0.8% -$1.11M 0.28% 112
2018
Q3
$134M Sell
1,034,415
-349,500
-25% -$45.3M 0.23% 135
2018
Q2
$160M Sell
1,383,915
-407,100
-23% -$47.2M 0.29% 110
2018
Q1
$194M Sell
1,791,015
-13,200
-0.7% -$1.43M 0.37% 75
2017
Q4
$223M Buy
1,804,215
+502,300
+39% +$62.2M 0.41% 64
2017
Q3
$172M Buy
1,301,915
+307,700
+31% +$40.6M 0.28% 107
2017
Q2
$132M Hold
994,215
0.24% 126
2017
Q1
$134M Sell
994,215
-149,300
-13% -$20.1M 0.25% 125
2016
Q4
$130M Hold
1,143,515
0.24% 120
2016
Q3
$143M Hold
1,143,515
0.25% 113
2016
Q2
$158M Buy
1,143,515
+16,300
+1% +$2.26M 0.3% 98
2016
Q1
$142M Buy
1,127,215
+5,755
+0.5% +$725K 0.29% 99
2015
Q4
$142M Hold
1,121,460
0.33% 88
2015
Q3
$130M Sell
1,121,460
-116,569
-9% -$13.5M 0.3% 100
2015
Q2
$129M Sell
1,238,029
-22,795
-2% -$2.37M 0.26% 114
2015
Q1
$139M Sell
1,260,824
-49,926
-4% -$5.51M 0.29% 104
2014
Q4
$137M Sell
1,310,750
-58,866
-4% -$6.13M 0.26% 109
2014
Q3
$132M Buy
1,369,616
+11,249
+0.8% +$1.08M 0.27% 101
2014
Q2
$124M Buy
1,358,367
+144,605
+12% +$13.2M 0.27% 100
2014
Q1
$107M Buy
1,213,762
+94,721
+8% +$8.34M 0.28% 103
2013
Q4
$104M Buy
1,119,041
+424,137
+61% +$39.3M 0.31% 94
2013
Q3
$56.8M Buy
694,904
+245,543
+55% +$20.1M 0.18% 160
2013
Q2
$37.4M Buy
+449,361
New +$37.4M 0.12% 218