Eaton Vance Management’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
$256M Sell
3,648,373
-7,502
-0.2% -$527K 0.38% 57
2022
Q2
$293M Sell
3,655,875
-41,535
-1% -$3.33M 0.41% 51
2022
Q1
$280M Buy
3,697,410
+567,675
+18% +$43M 0.32% 64
2021
Q4
$267M Sell
3,129,735
-1,410
-0% -$120K 0.33% 62
2021
Q3
$236M Buy
3,131,145
+378,501
+14% +$28.5M 0.33% 63
2021
Q2
$224M Buy
2,752,644
+13,459
+0.5% +$1.09M 0.3% 69
2021
Q1
$216M Buy
2,739,185
+14,685
+0.5% +$1.16M 0.32% 71
2020
Q4
$233M Sell
2,724,500
-3,361
-0.1% -$287K 0.37% 55
2020
Q3
$210M Sell
2,727,861
-10,568
-0.4% -$815K 0.39% 56
2020
Q2
$201M Sell
2,738,429
-39,162
-1% -$2.87M 0.41% 53
2020
Q1
$184M Sell
2,777,591
-101,381
-4% -$6.73M 0.45% 46
2019
Q4
$198M Buy
2,878,972
+789,502
+38% +$54.3M 0.39% 64
2019
Q3
$154M Buy
2,089,470
+114,166
+6% +$8.39M 0.33% 75
2019
Q2
$142M Buy
1,975,304
+86,134
+5% +$6.17M 0.31% 82
2019
Q1
$129M Buy
1,889,170
+16,955
+0.9% +$1.16M 0.3% 84
2018
Q4
$111M Sell
1,872,215
-766,322
-29% -$45.6M 0.29% 91
2018
Q3
$177M Sell
2,638,537
-189,606
-7% -$12.7M 0.39% 72
2018
Q2
$183M Sell
2,828,143
-3,568,427
-56% -$231M 0.44% 60
2018
Q1
$459M Buy
6,396,570
+2,954,139
+86% +$212M 0.57% 39
2017
Q4
$260M Buy
3,442,431
+9,947
+0.3% +$751K 0.63% 37
2017
Q3
$250M Buy
3,432,484
+156,545
+5% +$11.4M 0.65% 39
2017
Q2
$243M Buy
3,275,939
+325,072
+11% +$24.1M 0.64% 37
2017
Q1
$216M Buy
2,950,867
+1,322,654
+81% +$96.8M 0.58% 45
2016
Q4
$107M Buy
1,628,213
+2,174
+0.1% +$142K 0.3% 94
2016
Q3
$121M Buy
1,626,039
+4,053
+0.2% +$300K 0.35% 85
2016
Q2
$119M Buy
1,621,986
+3,973
+0.2% +$291K 0.35% 84
2016
Q1
$114M Sell
1,618,013
-43,363
-3% -$3.06M 0.35% 89
2015
Q4
$111M Sell
1,661,376
-41,875
-2% -$2.79M 0.33% 89
2015
Q3
$108M Buy
1,703,251
+41,676
+3% +$2.64M 0.33% 81
2015
Q2
$109M Sell
1,661,575
-16,377
-1% -$1.07M 0.33% 85
2015
Q1
$116M Sell
1,677,952
-214,174
-11% -$14.9M 0.35% 87
2014
Q4
$131M Buy
1,892,126
+111,115
+6% +$7.69M 0.39% 79
2014
Q3
$116M Buy
1,781,011
+100,353
+6% +$6.55M 0.35% 90
2014
Q2
$115M Buy
1,680,658
+1,779
+0.1% +$121K 0.34% 89
2014
Q1
$109M Buy
1,678,879
+21,693
+1% +$1.41M 0.32% 94
2013
Q4
$108M Sell
1,657,186
-411,735
-20% -$26.8M 0.31% 92
2013
Q3
$123M Sell
2,068,921
-365,291
-15% -$21.7M 0.37% 86
2013
Q2
$139M Buy
+2,434,212
New +$139M 0.42% 76