BlackRock Group’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2016
Q4
$476M Buy
7,266,293
+440,014
+6% +$30.2M 0.23% 103
2016
Q3
$506M Buy
6,826,279
+33,467
+0.5% +$2.47M 0.26% 87
2016
Q2
$497M Sell
6,792,812
-170,841
-2% -$12.2M 0.26% 89
2016
Q1
$492M Buy
6,963,653
+81,398
+1% +$5.42M 0.27% 82
2015
Q4
$458M Buy
6,882,255
+13,451
+0.2% +$895K 0.25% 81
2015
Q3
$436M Buy
6,868,804
+146,263
+2% +$9.55M 0.26% 83
2015
Q2
$440M Sell
6,722,541
-225,577
-3% -$15.3M 0.24% 93
2015
Q1
$482M Sell
6,948,118
-214,322
-3% -$14.8M 0.26% 84
2014
Q4
$496M Buy
7,162,440
+280,483
+4% +$18.9M 0.27% 84
2014
Q3
$449M Sell
6,881,957
-32,514
-0.5% -$2.14M 0.26% 84
2014
Q2
$471M Buy
6,914,471
+241,709
+4% +$16.2M 0.27% 80
2014
Q1
$433M Buy
6,672,762
+54,602
+0.8% +$3.44M 0.27% 77
2013
Q4
$432M Sell
6,618,160
-910,929
-12% -$58.3M 0.28% 79
2013
Q3
$446M Buy
7,529,089
+894,368
+13% +$53M 0.3% 72
2013
Q2
$380M Buy
+6,634,721
New +$394M 0.29% 73

Other funds holding CL