B. Riley Wealth Advisors’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$265K Buy
+2,203
New +$265K 0.01% 745
2024
Q4
$592K Sell
3,647
-105
-3% -$17.1K 0.02% 631
2024
Q3
$608K Sell
3,752
-408
-10% -$66.2K 0.02% 678
2024
Q2
$568K Sell
4,160
-2,602
-38% -$355K 0.01% 760
2024
Q1
$886K Buy
6,762
+691
+11% +$90.6K 0.02% 565
2023
Q4
$866K Sell
6,071
-691
-10% -$98.5K 0.02% 580
2023
Q3
$886K Sell
6,762
-8,501
-56% -$1.11M 0.02% 565
2023
Q2
$2.43M Buy
15,263
+5,868
+62% +$933K 0.05% 317
2023
Q1
$1.49M Buy
9,395
+1,230
+15% +$195K 0.04% 436
2022
Q4
$1.15M Sell
8,165
-798
-9% -$112K 0.03% 490
2022
Q3
$1.15M Buy
8,963
+453
+5% +$58.2K 0.03% 464
2022
Q2
$1.2M Sell
8,510
-94
-1% -$13.3K 0.05% 356
2022
Q1
$1.2M Buy
8,604
+365
+4% +$50.7K 0.04% 429
2021
Q4
$1.44M Buy
8,239
+149
+2% +$26K 0.04% 431
2021
Q3
$1.34M Buy
8,090
+4,431
+121% +$734K 0.04% 437
2021
Q2
$659K Sell
3,659
-479
-12% -$86.3K 0.02% 658
2021
Q1
$800K Buy
4,138
+1,060
+34% +$205K 0.03% 550
2020
Q4
$622K Sell
3,078
-2,040
-40% -$412K 0.03% 464
2020
Q3
$1.09M Buy
5,118
+1,931
+61% +$409K 0.06% 294
2020
Q2
$700K Buy
3,187
+1,352
+74% +$297K 0.05% 354
2020
Q1
$319K Sell
1,835
-467
-20% -$81.2K 0.03% 520
2019
Q4
$354K Buy
2,302
+639
+38% +$98.3K 0.03% 536
2019
Q3
$253K Buy
1,663
+5
+0.3% +$761 0.02% 648
2019
Q2
$255K Buy
1,658
+5
+0.3% +$769 0.03% 630
2019
Q1
$267K Sell
1,653
-13
-0.8% -$2.1K 0.03% 550
2018
Q4
$258K Buy
1,666
+27
+2% +$4.18K 0.04% 487
2018
Q3
$248K Sell
1,639
-29
-2% -$4.39K 0.03% 565
2018
Q2
$228K Buy
+1,668
New +$228K 0.03% 568
2018
Q1
Sell
-1,383
Closed -$208K 680
2017
Q4
$208K Buy
+1,383
New +$208K 0.03% 567
2016
Q3
Sell
-2,051
Closed -$285K 619
2016
Q2
$285K Sell
2,051
-219
-10% -$30.4K 0.06% 406
2016
Q1
$286K Buy
+2,270
New +$286K 0.07% 364
2015
Q1
Sell
-1,608
Closed -$168 812
2014
Q4
$168 Buy
+1,608
New +$168 ﹤0.01% 1459
2014
Q3
Sell
-1,693
Closed -$155K 857
2014
Q2
$155K Buy
1,693
+61
+4% +$5.57K 0.04% 544
2014
Q1
$144K Buy
+1,632
New +$144K 0.04% 503
2013
Q3
Sell
-2,124
Closed -$177K 677
2013
Q2
$177K Buy
+2,124
New +$177K 0.06% 377