East Coast Asset Management’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
Sell
-1,965
Closed -$289K 70
2025
Q1
$289K Hold
1,965
0.1% 60
2024
Q4
$319K Hold
1,965
0.11% 56
2024
Q3
$320K Sell
1,965
-10
-0.5% -$1.63K 0.11% 58
2024
Q2
$270K Hold
1,975
0.1% 59
2024
Q1
$302K Hold
1,975
0.11% 60
2023
Q4
$282K Hold
1,975
0.12% 58
2023
Q3
$259K Hold
1,975
0.12% 56
2023
Q2
$314K Sell
1,975
-100
-5% -$15.9K 0.14% 54
2023
Q1
$328K Hold
2,075
0.14% 53
2022
Q4
$291K Hold
2,075
0.15% 52
2022
Q3
$266K Hold
2,075
0.15% 53
2022
Q2
$293K Hold
2,075
0.14% 50
2022
Q1
$288K Hold
2,075
0.07% 57
2021
Q4
$362K Hold
2,075
0.08% 56
2021
Q3
$344K Buy
2,075
+10
+0.5% +$1.66K 0.08% 53
2021
Q2
$372K Hold
2,065
0.09% 51
2021
Q1
$398K Hold
2,065
0.11% 44
2020
Q4
$417K Hold
2,065
0.13% 44
2020
Q3
$434K Sell
2,065
-1,240
-38% -$261K 0.15% 40
2020
Q2
$725K Sell
3,305
-52
-2% -$11.4K 0.21% 35
2020
Q1
$582K Sell
3,357
-200
-6% -$34.7K 0.23% 34
2019
Q4
$546K Hold
3,557
0.15% 46
2019
Q3
$540K Hold
3,557
0.15% 48
2019
Q2
$545K Hold
3,557
0.15% 47
2019
Q1
$571K Sell
3,557
-40
-1% -$6.42K 0.14% 51
2018
Q4
$554K Sell
3,597
-350
-9% -$53.9K 0.17% 48
2018
Q3
$594K Hold
3,947
0.15% 53
2018
Q2
$534K Hold
3,947
0.15% 54
2018
Q1
$525K Sell
3,947
-448
-10% -$59.6K 0.15% 57
2017
Q4
$654K Sell
4,395
-600
-12% -$89.3K 0.18% 59
2017
Q3
$659K Sell
4,995
-482
-9% -$63.6K 0.17% 67
2017
Q2
$730K Hold
5,477
0.2% 66
2017
Q1
$738K Hold
5,477
0.2% 64
2016
Q4
$657K Hold
5,477
0.2% 66
2016
Q3
$686K Hold
5,477
0.36% 66
2016
Q2
$758K Hold
5,477
0.41% 61
2016
Q1
$690K Sell
5,477
-300
-5% -$37.8K 0.37% 68
2015
Q4
$733K Hold
5,777
0.4% 64
2015
Q3
$667K Sell
5,777
-200
-3% -$23.1K 0.42% 64
2015
Q2
$622K Sell
5,977
-48
-0.8% -$5K 0.33% 72
2015
Q1
$665K Hold
6,025
0.35% 72
2014
Q4
$628K Sell
6,025
-220
-4% -$22.9K 0.34% 73
2014
Q3
$600K Hold
6,245
0.34% 73
2014
Q2
$571K Hold
6,245
0.31% 72
2014
Q1
$550K Hold
6,245
0.32% 72
2013
Q4
$579K Hold
6,245
0.34% 73
2013
Q3
$510K Sell
6,245
-300
-5% -$24.5K 0.33% 80
2013
Q2
$544K Buy
+6,545
New +$544K 0.29% 78