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Connors Investor Services’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$409K Sell
4,500
-110
-2% -$10K 0.04% 108
2025
Q1
$432K Hold
4,610
0.04% 109
2024
Q4
$419K Hold
4,610
0.04% 108
2024
Q3
$479K Hold
4,610
0.05% 109
2024
Q2
$447K Hold
4,610
0.05% 106
2024
Q1
$415K Hold
4,610
0.04% 110
2023
Q4
$367K Sell
4,610
-550
-11% -$43.8K 0.04% 107
2023
Q3
$367K Hold
5,160
0.05% 109
2023
Q2
$398K Sell
5,160
-300
-5% -$23.1K 0.05% 112
2023
Q1
$410K Hold
5,460
0.05% 114
2022
Q4
$430K Sell
5,460
-300
-5% -$23.6K 0.05% 109
2022
Q3
$405K Hold
5,760
0.05% 108
2022
Q2
$462K Hold
5,760
0.06% 107
2022
Q1
$437K Buy
5,760
+300
+5% +$22.8K 0.05% 114
2021
Q4
$466K Hold
5,460
0.05% 111
2021
Q3
$413K Hold
5,460
0.04% 117
2021
Q2
$444K Hold
5,460
0.05% 112
2021
Q1
$430K Buy
5,460
+950
+21% +$74.8K 0.05% 114
2020
Q4
$386K Sell
4,510
-50
-1% -$4.28K 0.05% 109
2020
Q3
$352K Hold
4,560
0.05% 107
2020
Q2
$334K Hold
4,560
0.05% 106
2020
Q1
$303K Sell
4,560
-300
-6% -$19.9K 0.05% 103
2019
Q4
$335K Sell
4,860
-2,200
-31% -$152K 0.04% 108
2019
Q3
$519K Hold
7,060
0.07% 101
2019
Q2
$506K Hold
7,060
0.07% 100
2019
Q1
$484K Hold
7,060
0.07% 101
2018
Q4
$420K Sell
7,060
-15
-0.2% -$892 0.07% 100
2018
Q3
$474K Hold
7,075
0.06% 99
2018
Q2
$459K Hold
7,075
0.06% 101
2018
Q1
$507K Sell
7,075
-25
-0.4% -$1.79K 0.07% 99
2017
Q4
$536K Hold
7,100
0.08% 99
2017
Q3
$517K Buy
7,100
+110
+2% +$8.01K 0.08% 98
2017
Q2
$518K Buy
6,990
+240
+4% +$17.8K 0.08% 97
2017
Q1
$494K Sell
6,750
-30,755
-82% -$2.25M 0.08% 97
2016
Q4
$2.45M Buy
37,505
+20
+0.1% +$1.31K 0.42% 67
2016
Q3
$2.78M Buy
37,485
+2,840
+8% +$211K 0.49% 56
2016
Q2
$2.54M Sell
34,645
-2,235
-6% -$164K 0.49% 62
2016
Q1
$2.61M Buy
36,880
+225
+0.6% +$15.9K 0.52% 60
2015
Q4
$2.44M Buy
36,655
+3,330
+10% +$222K 0.5% 65
2015
Q3
$2.12M Sell
33,325
-850
-2% -$53.9K 0.48% 62
2015
Q2
$2.24M Sell
34,175
-690
-2% -$45.1K 0.46% 71
2015
Q1
$2.42M Sell
34,865
-6,960
-17% -$483K 0.52% 67
2014
Q4
$2.89M Buy
41,825
+8,240
+25% +$570K 0.66% 52
2014
Q3
$2.19M Buy
33,585
+1,755
+6% +$114K 0.53% 68
2014
Q2
$2.17M Sell
31,830
-8,325
-21% -$568K 0.52% 71
2014
Q1
$2.61M Buy
40,155
+1,020
+3% +$66.2K 0.63% 60
2013
Q4
$2.55M Buy
39,135
+7,980
+26% +$520K 0.63% 61
2013
Q3
$1.85M Buy
31,155
+8,175
+36% +$485K 0.52% 77
2013
Q2
$1.32M Buy
+22,980
New +$1.32M 0.43% 85