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BlackRock Fund Advisors’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2016
Q4
$883M Buy
13,488,259
+543,185
+4% +$35.5M 0.16% 94
2016
Q3
$960M Buy
12,945,074
+374,789
+3% +$27.8M 0.2% 77
2016
Q2
$920M Buy
12,570,285
+256,189
+2% +$18.8M 0.2% 77
2016
Q1
$870M Buy
12,314,096
+413,740
+3% +$29.2M 0.2% 75
2015
Q4
$793M Buy
11,900,356
+829,838
+7% +$55.3M 0.18% 87
2015
Q3
$703M Buy
11,070,518
+648,360
+6% +$41.1M 0.18% 82
2015
Q2
$682M Sell
10,422,158
-184,693
-2% -$12.1M 0.16% 88
2015
Q1
$735M Buy
10,606,851
+200,703
+2% +$13.9M 0.18% 87
2014
Q4
$720M Buy
10,406,148
+1,002,173
+11% +$69.3M 0.18% 88
2014
Q3
$613M Buy
9,403,975
+300,505
+3% +$19.6M 0.17% 89
2014
Q2
$621M Buy
9,103,470
+128,228
+1% +$8.74M 0.17% 81
2014
Q1
$582M Buy
8,975,242
+53,880
+0.6% +$3.5M 0.17% 80
2013
Q4
$582M Buy
8,921,362
+364,723
+4% +$23.8M 0.18% 72
2013
Q3
$507M Sell
8,556,639
-139,010
-2% -$8.24M 0.17% 87
2013
Q2
$498M Buy
+8,695,649
New +$498M 0.18% 84