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Appleton Partners’s Clorox CLX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2023
Q4
Sell
-2,709
Closed -$355K 286
2023
Q3
$355K Buy
2,709
+729
+37% +$95.5K 0.03% 225
2023
Q2
$315K Sell
1,980
-40
-2% -$6.36K 0.03% 238
2023
Q1
$320K Buy
+2,020
New +$320K 0.03% 245
2022
Q1
Sell
-1,867
Closed -$326K 305
2021
Q4
$326K Sell
1,867
-140
-7% -$24.4K 0.02% 252
2021
Q3
$332K Sell
2,007
-542
-21% -$89.7K 0.03% 237
2021
Q2
$459K Buy
2,549
+85
+3% +$15.3K 0.04% 202
2021
Q1
$475K Sell
2,464
-122
-5% -$23.5K 0.04% 199
2020
Q4
$522K Sell
2,586
-60
-2% -$12.1K 0.05% 178
2020
Q3
$556K Sell
2,646
-40
-1% -$8.41K 0.06% 174
2020
Q2
$589K Sell
2,686
-185
-6% -$40.6K 0.07% 163
2020
Q1
$497K Sell
2,871
-327
-10% -$56.6K 0.07% 168
2019
Q4
$491K Sell
3,198
-115
-3% -$17.7K 0.05% 196
2019
Q3
$503K Sell
3,313
-113
-3% -$17.2K 0.06% 190
2019
Q2
$525K Sell
3,426
-35
-1% -$5.36K 0.06% 186
2019
Q1
$555K Sell
3,461
-563
-14% -$90.3K 0.07% 176
2018
Q4
$620K Sell
4,024
-47
-1% -$7.24K 0.09% 158
2018
Q3
$612K Sell
4,071
-405
-9% -$60.9K 0.08% 173
2018
Q2
$605K Sell
4,476
-165
-4% -$22.3K 0.09% 169
2018
Q1
$618K Buy
4,641
+35
+0.8% +$4.66K 0.09% 169
2017
Q4
$685K Sell
4,606
-30
-0.6% -$4.46K 0.11% 159
2017
Q3
$612K Sell
4,636
-110
-2% -$14.5K 0.1% 153
2017
Q2
$632K Buy
4,746
+60
+1% +$7.99K 0.11% 150
2017
Q1
$632K Buy
4,686
+660
+16% +$89K 0.12% 145
2016
Q4
$483K Sell
4,026
-360
-8% -$43.2K 0.1% 150
2016
Q3
$549K Sell
4,386
-2,230
-34% -$279K 0.1% 148
2016
Q2
$916K Buy
6,616
+379
+6% +$52.5K 0.19% 108
2016
Q1
$786K Buy
6,237
+85
+1% +$10.7K 0.16% 111
2015
Q4
$780K Buy
6,152
+4,150
+207% +$526K 0.15% 111
2015
Q3
$231K Sell
2,002
-203
-9% -$23.4K 0.05% 189
2015
Q2
$229K Buy
+2,205
New +$229K 0.05% 171