Kistler-Tiffany Companies’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q2
$696K Buy
9,035
+1,105
+14% +$85.1K 0.11% 149
2023
Q1
$596K Buy
7,930
+2,209
+39% +$166K 0.11% 135
2022
Q4
$451K Buy
5,721
+3,673
+179% +$289K 0.09% 154
2022
Q3
$144K Buy
2,048
+392
+24% +$27.6K 0.03% 240
2022
Q2
$133K Buy
1,656
+120
+8% +$9.64K 0.03% 249
2022
Q1
$116K Hold
1,536
0.02% 279
2021
Q4
$131K Hold
1,536
0.03% 237
2021
Q3
$116K Hold
1,536
0.03% 248
2021
Q2
$125K Hold
1,536
0.03% 240
2021
Q1
$121K Hold
1,536
0.03% 224
2020
Q4
$131K Hold
1,536
0.04% 194
2020
Q3
$119K Buy
1,536
+350
+30% +$27.1K 0.04% 195
2020
Q2
$87K Sell
1,186
-65
-5% -$4.77K 0.03% 210
2020
Q1
$86K Hold
1,251
0.03% 204
2019
Q4
$86K Hold
1,251
0.03% 208
2019
Q3
$92K Hold
1,251
0.03% 201
2019
Q2
$90K Hold
1,251
0.03% 200
2019
Q1
$86K Sell
1,251
-400
-24% -$27.5K 0.04% 202
2018
Q4
$98K Sell
1,651
-161
-9% -$9.56K 0.05% 176
2018
Q3
$121K Buy
1,812
+65
+4% +$4.34K 0.05% 168
2018
Q2
$113K Sell
1,747
-399
-19% -$25.8K 0.05% 178
2018
Q1
$154K Sell
2,146
-2,589
-55% -$186K 0.06% 154
2017
Q4
$357K Buy
4,735
+557
+13% +$42K 0.14% 103
2017
Q3
$304K Buy
4,178
+1,803
+76% +$131K 0.13% 105
2017
Q2
$176K Buy
2,375
+340
+17% +$25.2K 0.08% 131
2017
Q1
$149K Buy
2,035
+165
+9% +$12.1K 0.07% 151
2016
Q4
$122K Buy
1,870
+3
+0.2% +$196 0.06% 163
2016
Q3
$138K Buy
1,867
+3
+0.2% +$222 0.07% 155
2016
Q2
$136K Buy
1,864
+3
+0.2% +$219 0.07% 156
2016
Q1
$131K Buy
1,861
+4
+0.2% +$282 0.07% 158
2015
Q4
$124K Buy
1,857
+3
+0.2% +$200 0.07% 166
2015
Q3
$118K Buy
1,854
+4
+0.2% +$255 0.07% 169
2015
Q2
$121K Buy
1,850
+3
+0.2% +$196 0.07% 168
2015
Q1
$128K Buy
1,847
+3
+0.2% +$208 0.08% 147
2014
Q4
$128K Buy
1,844
+3
+0.2% +$208 0.08% 147
2014
Q3
$120K Buy
1,841
+4
+0.2% +$261 0.08% 157
2014
Q2
$125K Buy
1,837
+3
+0.2% +$204 0.09% 146
2014
Q1
$119K Sell
1,834
-405
-18% -$26.3K 0.09% 143
2013
Q4
$146K Buy
2,239
+5
+0.2% +$326 0.11% 118
2013
Q3
$132K Buy
2,234
+6
+0.3% +$355 0.11% 126
2013
Q2
$128K Buy
+2,228
New +$128K 0.11% 120