IRF
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IBM Retirement Fund’s Clorox CLX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-1,957
Closed -$272K 96
2022
Q1
$272K Sell
1,957
-90
-4% -$12.5K 0.04% 422
2021
Q4
$357K Sell
2,047
-1,497
-42% -$261K 0.04% 372
2021
Q3
$587K Buy
3,544
+24
+0.7% +$3.98K 0.05% 368
2021
Q2
$633K Sell
3,520
-820
-19% -$147K 0.05% 342
2021
Q1
$837K Sell
4,340
-338
-7% -$65.2K 0.06% 293
2020
Q4
$945K Buy
4,678
+578
+14% +$117K 0.07% 271
2020
Q3
$862K Buy
4,100
+1,151
+39% +$242K 0.07% 229
2020
Q2
$647K Sell
2,949
-23
-0.8% -$5.05K 0.08% 207
2020
Q1
$515K Buy
2,972
+1,121
+61% +$194K 0.09% 210
2019
Q4
$284K Sell
1,851
-95
-5% -$14.6K 0.05% 326
2019
Q3
$296K Sell
1,946
-35
-2% -$5.32K 0.06% 308
2019
Q2
$303K Sell
1,981
-8
-0.4% -$1.22K 0.06% 313
2019
Q1
$319K Buy
1,989
+59
+3% +$9.46K 0.06% 280
2018
Q4
$297K Sell
1,930
-172
-8% -$26.5K 0.07% 265
2018
Q3
$316K Sell
2,102
-382
-15% -$57.4K 0.07% 301
2018
Q2
$336K Sell
2,484
-364
-13% -$49.2K 0.07% 317
2018
Q1
$379K Sell
2,848
-403
-12% -$53.6K 0.07% 308
2017
Q4
$530K Sell
3,251
-29
-0.9% -$4.73K 0.09% 267
2017
Q3
$479K Buy
3,280
+143
+5% +$20.9K 0.09% 276
2017
Q2
$467K Buy
3,137
+1,694
+117% +$252K 0.09% 281
2017
Q1
$259K Sell
1,443
-10,702
-88% -$1.92M 0.07% 278
2016
Q4
$1.53M Sell
12,145
-38
-0.3% -$4.79K 0.06% 287
2016
Q3
$1.53M Sell
12,183
-4,809
-28% -$602K 0.08% 271
2016
Q2
$2.42M Buy
16,992
+1,606
+10% +$229K 0.09% 244
2016
Q1
$2.02M Sell
15,386
-16,892
-52% -$2.22M 0.08% 260
2015
Q4
$4.09M Buy
32,278
+1,963
+6% +$249K 0.08% 265
2015
Q3
$3.59M Sell
30,315
-1,697
-5% -$201K 0.08% 272
2015
Q2
$3.33M Sell
32,012
-3
-0% -$312 0.06% 320
2015
Q1
$3.53M Sell
32,015
-52
-0.2% -$5.74K 0.07% 316
2014
Q4
$3.34M Buy
32,067
+1,428
+5% +$149K 0.06% 323
2014
Q3
$2.98M Sell
30,639
-2,535
-8% -$246K 0.06% 334
2014
Q2
$3.01M Sell
33,174
-975
-3% -$88.6K 0.06% 348
2014
Q1
$3M Sell
34,149
-19,065
-36% -$1.68M 0.06% 347
2013
Q4
$4.94M Sell
53,214
-1,382
-3% -$128K 0.06% 328
2013
Q3
$4.46M Sell
54,596
-7,733
-12% -$632K 0.06% 346
2013
Q2
$5.18M Buy
+62,329
New +$5.18M 0.06% 323