MPI
CL icon

Mairs & Power Inc’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$202K Buy
+2,224
New +$202K ﹤0.01% 228
2025
Q1
Sell
-2,686
Closed -$244K 225
2024
Q4
$244K Hold
2,686
﹤0.01% 212
2024
Q3
$279K Buy
2,686
+460
+21% +$47.8K ﹤0.01% 192
2024
Q2
$216K Sell
2,226
-725
-25% -$70.4K ﹤0.01% 209
2024
Q1
$266K Sell
2,951
-50
-2% -$4.5K ﹤0.01% 195
2023
Q4
$239K Hold
3,001
﹤0.01% 206
2023
Q3
$213K Sell
3,001
-650
-18% -$46.2K ﹤0.01% 206
2023
Q2
$281K Sell
3,651
-310
-8% -$23.9K ﹤0.01% 199
2023
Q1
$298K Buy
3,961
+735
+23% +$55.2K ﹤0.01% 203
2022
Q4
$254K Buy
+3,226
New +$254K ﹤0.01% 196
2022
Q1
Sell
-2,686
Closed -$229K 220
2021
Q4
$229K Buy
+2,686
New +$229K ﹤0.01% 206
2021
Q1
Sell
-2,600
Closed -$222K 218
2020
Q4
$222K Hold
2,600
﹤0.01% 206
2020
Q3
$201K Buy
+2,600
New +$201K ﹤0.01% 198
2020
Q2
Sell
-7,276
Closed -$483K 203
2020
Q1
$483K Hold
7,276
0.01% 153
2019
Q4
$501K Hold
7,276
0.01% 159
2019
Q3
$535K Sell
7,276
-1,600
-18% -$118K 0.01% 150
2019
Q2
$636K Hold
8,876
0.01% 149
2019
Q1
$608K Hold
8,876
0.01% 150
2018
Q4
$528K Sell
8,876
-218
-2% -$13K 0.01% 150
2018
Q3
$609K Hold
9,094
0.01% 147
2018
Q2
$589K Sell
9,094
-153
-2% -$9.91K 0.01% 141
2018
Q1
$663K Buy
9,247
+53
+0.6% +$3.8K 0.01% 138
2017
Q4
$694K Sell
9,194
-155
-2% -$11.7K 0.01% 139
2017
Q3
$681K Hold
9,349
0.01% 138
2017
Q2
$693K Sell
9,349
-2,550
-21% -$189K 0.01% 134
2017
Q1
$871K Sell
11,899
-442
-4% -$32.4K 0.01% 125
2016
Q4
$808K Sell
12,341
-1,700
-12% -$111K 0.01% 124
2016
Q3
$1.04M Buy
14,041
+4,828
+52% +$358K 0.01% 120
2016
Q2
$674K Hold
9,213
0.01% 122
2016
Q1
$651K Sell
9,213
-1,290
-12% -$91.2K 0.01% 124
2015
Q4
$700K Buy
10,503
+1,530
+17% +$102K 0.01% 121
2015
Q3
$569K Hold
8,973
0.01% 125
2015
Q2
$587K Hold
8,973
0.01% 129
2015
Q1
$622K Hold
8,973
0.01% 131
2014
Q4
$621K Sell
8,973
-720
-7% -$49.8K 0.01% 135
2014
Q3
$632K Hold
9,693
0.01% 133
2014
Q2
$661K Hold
9,693
0.01% 131
2014
Q1
$629K Sell
9,693
-123
-1% -$7.98K 0.01% 131
2013
Q4
$640K Buy
9,816
+218
+2% +$14.2K 0.01% 135
2013
Q3
$569K Sell
9,598
-218
-2% -$12.9K 0.01% 131
2013
Q2
$562K Buy
+9,816
New +$562K 0.01% 129