Eaton Vance Management’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
$13.8M Buy
107,340
+770
+0.7% +$98.9K 0.02% 523
2022
Q2
$15M Sell
106,570
-1,671
-2% -$236K 0.02% 523
2022
Q1
$15M Buy
108,241
+29,392
+37% +$4.09M 0.02% 573
2021
Q4
$13.7M Buy
78,849
+239
+0.3% +$41.7K 0.02% 558
2021
Q3
$12.6M Sell
78,610
-2,062
-3% -$331K 0.02% 521
2021
Q2
$14.5M Sell
80,672
-5,499
-6% -$989K 0.02% 516
2021
Q1
$16.6M Buy
86,171
+2,957
+4% +$570K 0.02% 468
2020
Q4
$16.8M Buy
83,214
+83
+0.1% +$16.8K 0.03% 443
2020
Q3
$17.5M Buy
83,131
+1,118
+1% +$235K 0.03% 384
2020
Q2
$18M Buy
82,013
+381
+0.5% +$83.6K 0.04% 351
2020
Q1
$14.1M Buy
81,632
+342
+0.4% +$59.3K 0.03% 347
2019
Q4
$12.5M Sell
81,290
-24,860
-23% -$3.82M 0.02% 417
2019
Q3
$16.1M Sell
106,150
-235
-0.2% -$35.7K 0.03% 349
2019
Q2
$16.3M Buy
106,385
+9,900
+10% +$1.52M 0.04% 341
2019
Q1
$15.5M Buy
96,485
+8,726
+10% +$1.4M 0.04% 327
2018
Q4
$13.5M Sell
87,759
-1,402
-2% -$216K 0.04% 306
2018
Q3
$13.4M Sell
89,161
-3,402
-4% -$512K 0.03% 356
2018
Q2
$12.5M Sell
92,563
-56,693
-38% -$7.67M 0.03% 353
2018
Q1
$19.9M Buy
149,256
+66,424
+80% +$8.84M 0.02% 391
2017
Q4
$12.3M Sell
82,832
-944
-1% -$140K 0.03% 352
2017
Q3
$11.1M Buy
83,776
+1,257
+2% +$166K 0.03% 357
2017
Q2
$11M Buy
82,519
+1,611
+2% +$215K 0.03% 354
2017
Q1
$10.9M Sell
80,908
-83,972
-51% -$11.3M 0.03% 337
2016
Q4
$19.8M Buy
164,880
+87,269
+112% +$10.5M 0.06% 230
2016
Q3
$9.72M Buy
77,611
+980
+1% +$123K 0.03% 304
2016
Q2
$10.6M Sell
76,631
-50
-0.1% -$6.92K 0.03% 310
2016
Q1
$9.67M Buy
76,681
+47
+0.1% +$5.93K 0.03% 319
2015
Q4
$9.72M Sell
76,634
-7,212
-9% -$915K 0.03% 326
2015
Q3
$9.69M Buy
83,846
+65,509
+357% +$7.57M 0.03% 322
2015
Q2
$1.91M Sell
18,337
-374
-2% -$38.9K 0.01% 539
2015
Q1
$2.07M Sell
18,711
-365
-2% -$40.3K 0.01% 555
2014
Q4
$1.99M Sell
19,076
-1
-0% -$104 0.01% 553
2014
Q3
$1.83M Sell
19,077
-22
-0.1% -$2.11K 0.01% 546
2014
Q2
$1.75M Sell
19,099
-2
-0% -$183 0.01% 566
2014
Q1
$1.68M Buy
19,101
+5,027
+36% +$442K 0.01% 566
2013
Q4
$1.31M Buy
14,074
+1
+0% +$93 ﹤0.01% 595
2013
Q3
$1.15M Hold
14,073
﹤0.01% 576
2013
Q2
$1.17M Buy
+14,073
New +$1.17M ﹤0.01% 572