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Bridgewater Associates’s Clorox CLX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$838K Sell
6,981
-2,186
-24% -$262K ﹤0.01% 485
2025
Q1
$1.35M Sell
9,167
-13,154
-59% -$1.94M 0.01% 493
2024
Q4
$3.63M Sell
22,321
-11,063
-33% -$1.8M 0.02% 386
2024
Q3
$5.44M Sell
33,384
-147,683
-82% -$24.1M 0.03% 362
2024
Q2
$24.7M Sell
181,067
-17,039
-9% -$2.33M 0.13% 128
2024
Q1
$30.3M Buy
198,106
+27,927
+16% +$4.28M 0.15% 109
2023
Q4
$24.3M Buy
170,179
+4,173
+3% +$595K 0.14% 116
2023
Q3
$21.8M Sell
166,006
-40,364
-20% -$5.29M 0.13% 124
2023
Q2
$32.8M Sell
206,370
-20,586
-9% -$3.27M 0.2% 94
2023
Q1
$35.9M Sell
226,956
-53,907
-19% -$8.53M 0.22% 91
2022
Q4
$39.4M Buy
280,863
+48,395
+21% +$6.79M 0.22% 95
2022
Q3
$29.8M Sell
232,468
-62,694
-21% -$8.05M 0.15% 120
2022
Q2
$41.6M Sell
295,162
-16,876
-5% -$2.38M 0.18% 114
2022
Q1
$43.4M Buy
312,038
+61,386
+24% +$8.53M 0.17% 102
2021
Q4
$43.7M Buy
250,652
+15,582
+7% +$2.72M 0.25% 72
2021
Q3
$38.9M Buy
235,070
+7,063
+3% +$1.17M 0.21% 92
2021
Q2
$41M Buy
228,007
+80,177
+54% +$14.4M 0.26% 78
2021
Q1
$28.5M Buy
147,830
+17,066
+13% +$3.29M 0.25% 86
2020
Q4
$26.4M Buy
130,764
+67,723
+107% +$13.7M 0.23% 66
2020
Q3
$13.2M Buy
63,041
+58,457
+1,275% +$12.3M 0.16% 66
2020
Q2
$1.01M Sell
4,584
-2,277
-33% -$500K 0.02% 182
2020
Q1
$1.19M Buy
+6,861
New +$1.19M 0.02% 181
2019
Q4
Sell
-180,535
Closed -$27.4M 493
2019
Q3
$27.4M Buy
180,535
+36,812
+26% +$5.59M 0.24% 43
2019
Q2
$22M Buy
143,723
+91,524
+175% +$14M 0.17% 56
2019
Q1
$8.38M Buy
+52,199
New +$8.38M 0.05% 95
2017
Q1
Sell
-23,360
Closed -$2.8M 256
2016
Q4
$2.8M Sell
23,360
-37,620
-62% -$4.52M 0.03% 175
2016
Q3
$7.63M Buy
+60,980
New +$7.63M 0.08% 90
2016
Q2
Sell
-15,817
Closed -$1.99M 346
2016
Q1
$1.99M Buy
15,817
+12,948
+451% +$1.63M 0.03% 191
2015
Q4
$364K Buy
+2,869
New +$364K ﹤0.01% 235
2015
Q3
Sell
-5,946
Closed -$619K 446
2015
Q2
$619K Sell
5,946
-30,796
-84% -$3.21M 0.01% 253
2015
Q1
$4.06M Buy
36,742
+33,400
+999% +$3.69M 0.03% 142
2014
Q4
$348K Buy
+3,342
New +$348K ﹤0.01% 276
2014
Q2
Sell
-4,116
Closed -$362K 324
2014
Q1
$362K Buy
+4,116
New +$362K ﹤0.01% 301
2013
Q4
Sell
-13,977
Closed -$1.14M 308
2013
Q3
$1.14M Buy
+13,977
New +$1.14M 0.01% 194