JP Morgan Chase’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$312M Buy
3,635,600
+1,253,396
+53% +$112M 0.02% 540
2025
Q4
$188M Sell
2,382,204
-317,144
-12% -$24.9M 0.01% 691
2025
Q3
$216M Sell
2,699,348
-129,635
-5% -$11.1M 0.01% 673
2025
Q2
$257M Sell
2,828,983
-416,957
-13% -$38.1M 0.02% 603
2025
Q1
$304M Buy
3,245,940
+985,133
+44% +$88.2M 0.02% 533
2024
Q4
$206M Sell
2,260,807
-561,956
-20% -$53.6M 0.02% 659
2024
Q3
$293M Buy
2,822,763
+134,610
+5% +$13.7M 0.02% 555
2024
Q2
$261M Sell
2,688,153
-2,341,100
-47% -$216M 0.02% 557
2024
Q1
$453M Buy
5,029,253
+143,989
+3% +$12.2M 0.04% 409
2023
Q4
$389M Sell
4,885,264
-3,307,971
-40% -$249M 0.04% 419
2023
Q3
$583M Sell
8,193,235
-2,919,949
-26% -$218M 0.07% 280
2023
Q2
$856M Buy
11,113,184
+97,253
+0.9% +$7.53M 0.1% 221
2023
Q1
$828M Buy
11,015,931
+1,969,637
+22% +$146M 0.11% 208
2022
Q4
$713M Buy
9,046,294
+2,835,006
+46% +$213M 0.1% 223
2022
Q3
$436M Buy
6,211,288
+5,131,177
+475% +$402M 0.07% 299
2022
Q2
$86.6M Sell
1,080,111
-15,055
-1% -$1.18M 0.01% 803
2022
Q1
$83M Sell
1,095,166
-29,029
-3% -$2.3M 0.01% 926
2021
Q4
$95.9M Buy
1,124,195
+233,825
+26% +$18.3M 0.01% 909
2021
Q3
$67.3M Sell
890,370
-2,200,407
-71% -$175M 0.01% 1042
2021
Q2
$251M Sell
3,090,777
-1,808,270
-37% -$148M 0.03% 533
2021
Q1
$386M Buy
4,899,047
+632,120
+15% +$49.5M 0.06% 370
2020
Q4
$365M Buy
4,266,927
+501,976
+13% +$41.5M 0.06% 349
2020
Q3
$287M Buy
3,764,951
+462,211
+14% +$35.2M 0.05% 374
2020
Q2
$242M Buy
3,302,740
+1,900,173
+135% +$135M 0.05% 387
2020
Q1
$93.1M Buy
1,402,567
+37,358
+3% +$2.63M 0.02% 585
2019
Q4
$94M Sell
1,365,209
-40,024
-3% -$2.73M 0.02% 692
2019
Q3
$103M Buy
1,405,233
+16,643
+1% +$1.21M 0.02% 658
2019
Q2
$100M Buy
1,388,590
+287,146
+26% +$20.4M 0.02% 669
2019
Q1
$75.5M Sell
1,101,444
-15,966
-1% -$1.03M 0.02% 765
2018
Q4
$66.5M Sell
1,117,410
-721,164
-39% -$45.1M 0.02% 790
2018
Q3
$123M Sell
1,838,574
-957,994
-34% -$63.8M 0.03% 608
2018
Q2
$181M Sell
2,796,568
-2,111,189
-43% -$138M 0.04% 473
2018
Q1
$352M Buy
4,907,757
+1,093,869
+29% +$78.7M 0.08% 277
2017
Q4
$288M Buy
3,813,888
+647,380
+20% +$47.3M 0.06% 324
2017
Q3
$232M Sell
3,166,508
-457,667
-13% -$33M 0.05% 378
2017
Q2
$269M Buy
3,624,175
+582,579
+19% +$43.3M 0.07% 323
2017
Q1
$223M Buy
3,041,596
+208,202
+7% +$14.6M 0.06% 380
2016
Q4
$185M Sell
2,833,394
-32,288
-1% -$2.21M 0.05% 406
2016
Q3
$212M Sell
2,865,682
-143,619
-5% -$10.6M 0.06% 356
2016
Q2
$220M Sell
3,009,301
-524,519
-15% -$37.3M 0.06% 342
2016
Q1
$250M Sell
3,533,820
-2,537,663
-42% -$169M 0.07% 322
2015
Q4
$404M Sell
6,071,483
-2,054,886
-25% -$137M 0.11% 231
2015
Q3
$516M Sell
8,126,369
-1,233,682
-13% -$80.6M 0.15% 176
2015
Q2
$612M Sell
9,360,051
-420,783
-4% -$28.5M 0.15% 167
2015
Q1
$678M Sell
9,780,834
-621,691
-6% -$43M 0.16% 152
2014
Q4
$720M Sell
10,402,525
-1,750,182
-14% -$118M 0.17% 133
2014
Q3
$793M Buy
12,152,707
+3,164,574
+35% +$209M 0.2% 117
2014
Q2
$613M Sell
8,988,133
-2,105,906
-19% -$141M 0.16% 146
2014
Q1
$720M Buy
11,094,039
+2,788,031
+34% +$176M 0.2% 108
2013
Q4
$542M Sell
8,306,008
-2,143,850
-21% -$137M 0.16% 153
2013
Q3
$620M Buy
10,449,858
+42,721
+0.4% +$2.53M 0.19% 124
2013
Q2
$596M Buy
+10,407,137
New +$618M 0.2% 114

Other funds holding CL