BCA
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Bay Colony Advisors’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$249K Buy
+2,738
New +$249K 0.03% 391
2023
Q2
Sell
-3,371
Closed -$254K 352
2023
Q1
$254K Sell
3,371
-938
-22% -$70.6K 0.07% 265
2022
Q4
$339K Buy
4,309
+102
+2% +$8.04K 0.09% 227
2022
Q3
$296K Sell
4,207
-158
-4% -$11.1K 0.09% 228
2022
Q2
$344K Sell
4,365
-501
-10% -$39.5K 0.09% 217
2022
Q1
$369K Buy
4,866
+475
+11% +$36K 0.09% 228
2021
Q4
$375K Sell
4,391
-399
-8% -$34.1K 0.11% 226
2021
Q3
$362K Buy
4,790
+1
+0% +$76 0.12% 209
2021
Q2
$390K Buy
4,789
+666
+16% +$54.2K 0.13% 203
2021
Q1
$325K Buy
+4,123
New +$325K 0.12% 209
2020
Q4
Sell
-4,700
Closed -$363K 286
2020
Q3
$363K Sell
4,700
-2,410
-34% -$186K 0.23% 134
2020
Q2
$521K Buy
7,110
+2,000
+39% +$147K 0.38% 84
2020
Q1
$339K Buy
+5,110
New +$339K 0.31% 105
2018
Q3
Sell
-1,068
Closed -$69K 320
2018
Q2
$69K Buy
+1,068
New +$69K 0.05% 312