KLCM Advisors’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$446K Buy
4,904
+120
+3% +$10.9K 0.05% 117
2025
Q1
$448K Sell
4,784
-100
-2% -$9.37K 0.05% 115
2024
Q4
$444K Hold
4,884
0.05% 110
2024
Q3
$507K Sell
4,884
-3
-0.1% -$311 0.06% 105
2024
Q2
$474K Sell
4,887
-100
-2% -$9.7K 0.06% 105
2024
Q1
$449K Hold
4,987
0.06% 104
2023
Q4
$398K Hold
4,987
0.06% 106
2023
Q3
$355K Hold
4,987
0.07% 99
2023
Q2
$384K Hold
4,987
0.08% 97
2023
Q1
$375K Hold
4,987
0.07% 96
2022
Q4
$393K Hold
4,987
0.08% 91
2022
Q3
$350K Buy
4,987
+94
+2% +$6.6K 0.08% 88
2022
Q2
$392K Sell
4,893
-62
-1% -$4.97K 0.09% 76
2022
Q1
$376K Hold
4,955
0.08% 83
2021
Q4
$423K Sell
4,955
-48
-1% -$4.1K 0.09% 75
2021
Q3
$378K Hold
5,003
0.08% 78
2021
Q2
$407K Buy
5,003
+71
+1% +$5.78K 0.09% 74
2021
Q1
$389K Hold
4,932
0.09% 70
2020
Q4
$422K Hold
4,932
0.1% 65
2020
Q3
$381K Hold
4,932
0.11% 68
2020
Q2
$361K Hold
4,932
0.1% 67
2020
Q1
$327K Hold
4,932
0.1% 66
2019
Q4
$340K Sell
4,932
-184
-4% -$12.7K 0.08% 78
2019
Q3
$376K Sell
5,116
-16
-0.3% -$1.18K 0.1% 65
2019
Q2
$368K Sell
5,132
-191
-4% -$13.7K 0.09% 68
2019
Q1
$365K Sell
5,323
-2
-0% -$137 0.09% 67
2018
Q4
$317K Buy
5,325
+200
+4% +$11.9K 0.09% 65
2018
Q3
$343K Sell
5,125
-203
-4% -$13.6K 0.08% 65
2018
Q2
$345K Buy
5,328
+203
+4% +$13.1K 0.09% 62
2018
Q1
$367K Buy
5,125
+341
+7% +$24.4K 0.1% 62
2017
Q4
$361K Hold
4,784
0.09% 65
2017
Q3
$349K Buy
4,784
+184
+4% +$13.4K 0.09% 65
2017
Q2
$341K Hold
4,600
0.09% 62
2017
Q1
$337K Buy
4,600
+200
+5% +$14.7K 0.1% 57
2016
Q4
$288K Hold
4,400
0.08% 63
2016
Q3
$326K Hold
4,400
0.1% 59
2016
Q2
$322K Hold
4,400
0.11% 60
2016
Q1
$311K Hold
4,400
0.11% 55
2015
Q4
$293K Hold
4,400
0.11% 48
2015
Q3
$279K Sell
4,400
-570
-11% -$36.1K 0.1% 49
2015
Q2
$325K Buy
4,970
+570
+13% +$37.3K 0.08% 71
2015
Q1
$305K Hold
4,400
0.08% 55
2014
Q4
$304K Hold
4,400
0.08% 57
2014
Q3
$287K Sell
4,400
-213
-5% -$13.9K 0.08% 53
2014
Q2
$315K Hold
4,613
0.07% 56
2014
Q1
$299K Hold
4,613
0.08% 57
2013
Q4
$301K Hold
4,613
0.08% 60
2013
Q3
$274K Buy
4,613
+213
+5% +$12.7K 0.08% 60
2013
Q2
$252K Buy
+4,400
New +$252K 0.08% 57