Hilltop Holdings’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$816K Sell
6,792
-682
-9% -$81.9K 0.05% 371
2025
Q1
$1.1M Buy
7,474
+5,102
+215% +$751K 0.07% 303
2024
Q4
$385K Buy
2,372
+541
+30% +$87.9K 0.02% 583
2024
Q3
$298K Sell
1,831
-162
-8% -$26.4K 0.02% 650
2024
Q2
$272K Sell
1,993
-313
-14% -$42.7K 0.03% 507
2024
Q1
$353K Sell
2,306
-507
-18% -$77.6K 0.04% 456
2023
Q4
$401K Buy
2,813
+415
+17% +$59.2K 0.05% 409
2023
Q3
$314K Buy
2,398
+8
+0.3% +$1.05K 0.04% 430
2023
Q2
$380K Sell
2,390
-1,946
-45% -$309K 0.05% 371
2023
Q1
$686K Sell
4,336
-140
-3% -$22.2K 0.09% 219
2022
Q4
$628K Sell
4,476
-642
-13% -$90.1K 0.08% 234
2022
Q3
$657K Buy
5,118
+129
+3% +$16.6K 0.09% 215
2022
Q2
$704K Buy
4,989
+827
+20% +$117K 0.09% 212
2022
Q1
$579K Sell
4,162
-1,248
-23% -$174K 0.07% 277
2021
Q4
$943K Buy
5,410
+1,138
+27% +$198K 0.1% 195
2021
Q3
$707K Buy
4,272
+401
+10% +$66.4K 0.08% 252
2021
Q2
$696K Buy
3,871
+1,095
+39% +$197K 0.08% 249
2021
Q1
$536K Sell
2,776
-2,686
-49% -$519K 0.07% 271
2020
Q4
$1.1M Buy
5,462
+1,428
+35% +$288K 0.15% 149
2020
Q3
$848K Buy
4,034
+652
+19% +$137K 0.14% 151
2020
Q2
$742K Buy
3,382
+624
+23% +$137K 0.14% 161
2020
Q1
$478K Sell
2,758
-152
-5% -$26.3K 0.12% 183
2019
Q4
$447K Buy
2,910
+241
+9% +$37K 0.08% 228
2019
Q3
$405K Buy
+2,669
New +$405K 0.08% 240
2019
Q2
Sell
-1,305
Closed -$209K 380
2019
Q1
$209K Sell
1,305
-29
-2% -$4.64K 0.04% 344
2018
Q4
$205K Sell
1,334
-27
-2% -$4.15K 0.05% 311
2018
Q3
$205K Buy
+1,361
New +$205K 0.04% 386
2016
Q2
Sell
-2,257
Closed -$284K 297
2016
Q1
$284K Sell
2,257
-60
-3% -$7.55K 0.09% 248
2015
Q4
$294K Sell
2,317
-25
-1% -$3.17K 0.09% 257
2015
Q3
$271K Sell
2,342
-583
-20% -$67.5K 0.08% 269
2015
Q2
$304K Sell
2,925
-247
-8% -$25.7K 0.08% 248
2015
Q1
$350K Sell
3,172
-642
-17% -$70.8K 0.09% 247
2014
Q4
$398K Sell
3,814
-762
-17% -$79.5K 0.14% 134
2014
Q3
$439K Sell
4,576
-383
-8% -$36.7K 0.2% 123
2014
Q2
$453K Buy
4,959
+95
+2% +$8.68K 0.21% 120
2014
Q1
$428K Buy
4,864
+738
+18% +$64.9K 0.21% 119
2013
Q4
$383K Sell
4,126
-63
-2% -$5.85K 0.2% 128
2013
Q3
$342K Buy
4,189
+150
+4% +$12.2K 0.2% 121
2013
Q2
$336K Buy
+4,039
New +$336K 0.23% 108