Berkshire Asset Management’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$303K Hold
3,329
0.01% 232
2025
Q1
$302K Sell
3,329
-1,036
-24% -$94.1K 0.01% 233
2024
Q4
$384K Buy
4,365
+100
+2% +$8.79K 0.02% 219
2024
Q3
$414K Hold
4,265
0.02% 203
2024
Q2
$414K Buy
+4,265
New +$414K 0.02% 203
2022
Q2
Sell
-3,183
Closed -$241K 225
2022
Q1
$241K Hold
3,183
0.02% 187
2021
Q4
$272K Sell
3,183
-25
-0.8% -$2.14K 0.02% 212
2021
Q3
$242K Buy
3,208
+312
+11% +$23.5K 0.02% 216
2021
Q2
$236K Sell
2,896
-685
-19% -$55.8K 0.02% 213
2021
Q1
$282K Sell
3,581
-732
-17% -$57.6K 0.02% 191
2020
Q4
$369K Buy
+4,313
New +$369K 0.03% 169
2020
Q2
Sell
-4,683
Closed -$311K 176
2020
Q1
$311K Buy
4,683
+1,292
+38% +$85.8K 0.03% 159
2019
Q4
$233K Sell
3,391
-4,226
-55% -$290K 0.02% 180
2019
Q3
$560K Buy
7,617
+1,231
+19% +$90.5K 0.05% 134
2019
Q2
$458K Buy
6,386
+2,750
+76% +$197K 0.04% 143
2019
Q1
$249K Sell
3,636
-2,400
-40% -$164K 0.02% 201
2018
Q4
$359K Hold
6,036
0.03% 159
2018
Q3
$404K Buy
6,036
+2,816
+87% +$188K 0.03% 162
2018
Q2
$209K Buy
3,220
+429
+15% +$27.8K 0.02% 204
2018
Q1
$200K Buy
2,791
+66
+2% +$4.73K 0.02% 203
2017
Q4
$206K Buy
+2,725
New +$206K 0.02% 199