Fort Pitt Capital Group’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2024
Q3
$263K Sell
2,532
-636
-20% -$64.8K 0.01% 119
2024
Q2
$307K Sell
3,168
-601
-16% -$55.4K 0.01% 107
2024
Q1
$339K Sell
3,769
-1,619
-30% -$137K 0.01% 108
2023
Q4
$429K Buy
5,388
+100
+2% +$7.52K 0.01% 109
2023
Q3
$376K Sell
5,288
-1,124
-18% -$84K 0.01% 101
2023
Q2
$494K Sell
6,412
-1,377
-18% -$107K 0.02% 90
2023
Q1
$585K Sell
7,789
-1,345
-15% -$100K 0.02% 85
2022
Q4
$720K Buy
9,134
+227
+3% +$17K 0.03% 90
2022
Q3
$626K Sell
8,907
-389
-4% -$30.5K 0.03% 85
2022
Q2
$745K Sell
9,296
-661
-7% -$51.7K 0.03% 87
2022
Q1
$755K Sell
9,957
-774
-7% -$61.3K 0.03% 89
2021
Q4
$916K Buy
10,731
+2
+0% +$156 0.03% 88
2021
Q3
$811K Sell
10,729
-1,761
-14% -$140K 0.03% 84
2021
Q2
$1.02M Buy
12,490
+3,005
+32% +$246K 0.04% 92
2021
Q1
$748K Sell
9,485
-21
-0.2% -$1.65K 0.03% 86
2020
Q4
$813K Sell
9,506
-70
-0.7% -$5.79K 0.04% 86
2020
Q3
$739K Sell
9,576
-567
-6% -$43.2K 0.04% 88
2020
Q2
$743K Buy
10,143
+2
+0% +$142 0.04% 105
2020
Q1
$673K Buy
10,141
+352
+4% +$24.8K 0.05% 105
2019
Q4
$674K Buy
9,789
+227
+2% +$15.5K 0.04% 107
2019
Q3
$703K Buy
9,562
+1
+0% +$73 0.04% 95
2019
Q2
$685K Buy
9,561
+2
+0% +$142 0.05% 81
2019
Q1
$655K Sell
9,559
-478
-5% -$30.9K 0.05% 84
2018
Q4
$597K Buy
10,037
+752
+8% +$47K 0.05% 95
2018
Q3
$622K Sell
9,285
-36
-0.4% -$2.4K 0.05% 84
2018
Q2
$604K Sell
9,321
-398
-4% -$26K 0.05% 84
2018
Q1
$697K Sell
9,719
-268
-3% -$19.3K 0.06% 83
2017
Q4
$754K Sell
9,987
-227
-2% -$16.6K 0.06% 82
2017
Q3
$744K Buy
10,214
+429
+4% +$30.9K 0.06% 76
2017
Q2
$725K Buy
9,785
+19
+0.2% +$1.41K 0.07% 70
2017
Q1
$715K Buy
9,766
+122
+1% +$8.54K 0.07% 71
2016
Q4
$631K Buy
9,644
+2
+0% +$137 0.06% 78
2016
Q3
$715K Buy
9,642
+1
+0% +$74 0.08% 68
2016
Q2
$706K Buy
9,641
+2
+0% +$142 0.09% 70
2016
Q1
$681K Buy
9,639
+538
+6% +$35.8K 0.08% 69
2015
Q4
$606K Buy
9,101
+29
+0.3% +$1.93K 0.08% 73
2015
Q3
$576K Buy
9,072
+2
+0% +$131 0.08% 73
2015
Q2
$593K Buy
9,070
+1
+0% +$68 0.07% 77
2015
Q1
$629K Sell
9,069
-466
-5% -$32.2K 0.08% 76
2014
Q4
$660K Sell
9,535
-398
-4% -$26.9K 0.08% 72
2014
Q3
$648K Buy
9,933
+9,923
+99,230% +$654K 0.08% 71
2014
Q2
$698 Hold
10
0.09% 73
2014
Q1
$656 Sell
10
-1
-9% -$63 0.09% 70
2013
Q4
$734 Sell
11
-2
-15% -$128 0.1% 72
2013
Q3
$742 Buy
13
+1
+8% +$59 0.11% 69
2013
Q2
$705 Buy
+12
New +$712 0.11% 69

Other funds holding CL