MMG
CL icon

Monetary Management Group’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$782K Hold
8,600
0.19% 106
2025
Q1
$806K Hold
8,600
0.22% 102
2024
Q4
$782K Hold
8,600
0.2% 101
2024
Q3
$893K Hold
8,600
0.23% 93
2024
Q2
$835K Sell
8,600
-250
-3% -$24.3K 0.22% 94
2024
Q1
$797K Hold
8,850
0.22% 100
2023
Q4
$705K Hold
8,850
0.22% 103
2023
Q3
$629K Hold
8,850
0.21% 106
2023
Q2
$682K Hold
8,850
0.21% 105
2023
Q1
$665K Hold
8,850
0.2% 107
2022
Q4
$697K Hold
8,850
0.22% 104
2022
Q3
$622K Hold
8,850
0.21% 106
2022
Q2
$709K Hold
8,850
0.22% 93
2022
Q1
$671K Buy
8,850
+1,500
+20% +$114K 0.18% 108
2021
Q4
$627K Hold
7,350
0.16% 115
2021
Q3
$556K Hold
7,350
0.15% 116
2021
Q2
$598K Hold
7,350
0.18% 109
2021
Q1
$579K Hold
7,350
0.18% 108
2020
Q4
$628K Sell
7,350
-200
-3% -$17.1K 0.21% 98
2020
Q3
$582K Hold
7,550
0.21% 95
2020
Q2
$553K Hold
7,550
0.21% 93
2020
Q1
$501K Sell
7,550
-2,300
-23% -$153K 0.22% 93
2019
Q4
$678K Hold
9,850
0.25% 96
2019
Q3
$724K Buy
9,850
+500
+5% +$36.8K 0.27% 90
2019
Q2
$670K Hold
9,350
0.26% 99
2019
Q1
$641K Sell
9,350
-100
-1% -$6.86K 0.25% 99
2018
Q4
$562K Sell
9,450
-600
-6% -$35.7K 0.25% 93
2018
Q3
$673K Sell
10,050
-1,000
-9% -$67K 0.26% 89
2018
Q2
$716K Buy
11,050
+1,500
+16% +$97.2K 0.29% 82
2018
Q1
$685K Sell
9,550
-300
-3% -$21.5K 0.28% 81
2017
Q4
$743K Buy
9,850
+125
+1% +$9.43K 0.3% 76
2017
Q3
$708K Hold
9,725
0.3% 75
2017
Q2
$721K Hold
9,725
0.29% 83
2017
Q1
$712K Buy
9,725
+800
+9% +$58.6K 0.31% 79
2016
Q4
$584K Sell
8,925
-450
-5% -$29.4K 0.27% 80
2016
Q3
$695K Sell
9,375
-1,625
-15% -$120K 0.32% 77
2016
Q2
$805K Sell
11,000
-100
-0.9% -$7.32K 0.37% 73
2016
Q1
$784K Hold
11,100
0.38% 76
2015
Q4
$739K Sell
11,100
-200
-2% -$13.3K 0.35% 75
2015
Q3
$717K Sell
11,300
-250
-2% -$15.9K 0.36% 74
2015
Q2
$755K Sell
11,550
-450
-4% -$29.4K 0.34% 81
2015
Q1
$832K Hold
12,000
0.37% 79
2014
Q4
$830K Sell
12,000
-2,050
-15% -$142K 0.37% 78
2014
Q3
$916K Buy
14,050
+1,050
+8% +$68.5K 0.42% 72
2014
Q2
$886K Buy
13,000
+500
+4% +$34.1K 0.41% 76
2014
Q1
$811K Sell
12,500
-1,600
-11% -$104K 0.38% 78
2013
Q4
$919K Sell
14,100
-700
-5% -$45.6K 0.43% 67
2013
Q3
$878K Sell
14,800
-750
-5% -$44.5K 0.46% 67
2013
Q2
$890K Buy
+15,550
New +$890K 0.49% 67