Mitchell Sinkler & Starr’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q1
Sell
-1,650
Closed -$268K 153
2024
Q4
$268K Sell
1,650
-105
-6% -$17.1K 0.07% 144
2024
Q3
$286K Buy
+1,755
New +$286K 0.07% 140
2024
Q1
Sell
-3,685
Closed -$525K 191
2023
Q4
$525K Buy
+3,685
New +$525K 0.1% 128
2023
Q3
Sell
-1,595
Closed -$254K 107
2023
Q2
$254K Hold
1,595
0.07% 130
2023
Q1
$252K Sell
1,595
-100
-6% -$15.8K 0.07% 128
2022
Q4
$238K Sell
1,695
-100
-6% -$14K 0.08% 130
2022
Q3
$230K Sell
1,795
-1,465
-45% -$188K 0.09% 105
2022
Q2
$460K Sell
3,260
-230
-7% -$32.5K 0.17% 77
2022
Q1
$485K Sell
3,490
-50
-1% -$6.95K 0.15% 83
2021
Q4
$617K Buy
3,540
+565
+19% +$98.5K 0.18% 79
2021
Q3
$493K Sell
2,975
-140
-4% -$23.2K 0.45% 68
2021
Q2
$560K Sell
3,115
-100
-3% -$18K 0.51% 64
2021
Q1
$620K Buy
3,215
+335
+12% +$64.6K 0.6% 58
2020
Q4
$582K Hold
2,880
0.56% 60
2020
Q3
$605K Buy
2,880
+100
+4% +$21K 0.61% 56
2020
Q2
$610K Buy
2,780
+25
+0.9% +$5.49K 0.69% 47
2020
Q1
$477K Hold
2,755
0.62% 55
2019
Q4
$423K Hold
2,755
0.45% 62
2019
Q3
$418K Buy
2,755
+790
+40% +$120K 0.54% 57
2019
Q2
$301K Sell
1,965
-60
-3% -$9.19K 0.34% 83
2019
Q1
$325K Hold
2,025
0.38% 78
2018
Q4
$312K Hold
2,025
0.39% 74
2018
Q3
$305K Hold
2,025
0.32% 80
2018
Q2
$274K Sell
2,025
-115
-5% -$15.6K 0.3% 84
2018
Q1
$285K Buy
2,140
+92
+4% +$12.3K 0.33% 77
2017
Q4
$305K Sell
2,048
-67
-3% -$9.98K 0.45% 67
2017
Q3
$279K Buy
2,115
+100
+5% +$13.2K 0.44% 70
2017
Q2
$268K Buy
2,015
+173
+9% +$23K 0.44% 69
2017
Q1
$248K Sell
1,842
-115
-6% -$15.5K 0.4% 72
2016
Q4
$235K Hold
1,957
0.33% 72
2016
Q3
$245K Sell
1,957
-80
-4% -$10K 0.38% 65
2016
Q2
$282K Sell
2,037
-200
-9% -$27.7K 0.38% 68
2016
Q1
$282K Sell
2,237
-75
-3% -$9.46K 0.39% 72
2015
Q4
$293K Hold
2,312
0.4% 72
2015
Q3
$267K Hold
2,312
0.34% 76
2015
Q2
$240K Sell
2,312
-25
-1% -$2.6K 0.28% 84
2015
Q1
$258K Sell
2,337
-10
-0.4% -$1.1K 0.29% 84
2014
Q4
$245K Hold
2,347
0.27% 83
2014
Q3
$225K Buy
+2,347
New +$225K 0.25% 86
2013
Q3
Sell
-20,709
Closed -$1.72M 95
2013
Q2
$1.72M Buy
+20,709
New +$1.72M 0.38% 62