Mountain Pacific Investment Advisers’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q1
Sell
-2,635
Closed -$210K 140
2023
Q4
$210K Buy
+2,635
New +$210K 0.01% 132
2023
Q3
Sell
-3,510
Closed -$270K 131
2023
Q2
$270K Hold
3,510
0.02% 124
2023
Q1
$264K Sell
3,510
-1,000
-22% -$75.2K 0.02% 125
2022
Q4
$355K Hold
4,510
0.03% 112
2022
Q3
$317K Buy
4,510
+220
+5% +$15.5K 0.02% 113
2022
Q2
$344K Sell
4,290
-1,806
-30% -$145K 0.03% 112
2022
Q1
$462K Sell
6,096
-500
-8% -$37.9K 0.03% 111
2021
Q4
$563K Hold
6,596
0.03% 102
2021
Q3
$499K Hold
6,596
0.03% 109
2021
Q2
$537K Sell
6,596
-610
-8% -$49.7K 0.03% 100
2021
Q1
$568K Hold
7,206
0.04% 98
2020
Q4
$616K Sell
7,206
-100
-1% -$8.55K 0.04% 92
2020
Q3
$564K Hold
7,306
0.05% 86
2020
Q2
$535K Sell
7,306
-94
-1% -$6.88K 0.05% 83
2020
Q1
$491K Hold
7,400
0.05% 87
2019
Q4
$509K Buy
7,400
+400
+6% +$27.5K 0.04% 94
2019
Q3
$515K Sell
7,000
-900
-11% -$66.2K 0.05% 91
2019
Q2
$566K Buy
7,900
+600
+8% +$43K 0.05% 89
2019
Q1
$500K Hold
7,300
0.05% 88
2018
Q4
$434K Sell
7,300
-300
-4% -$17.8K 0.05% 84
2018
Q3
$509K Sell
7,600
-600
-7% -$40.2K 0.05% 89
2018
Q2
$531K Sell
8,200
-600
-7% -$38.9K 0.05% 85
2018
Q1
$631K Sell
8,800
-295
-3% -$21.2K 0.07% 78
2017
Q4
$686K Sell
9,095
-200
-2% -$15.1K 0.07% 77
2017
Q3
$677K Hold
9,295
0.07% 73
2017
Q2
$689K Hold
9,295
0.08% 71
2017
Q1
$680K Hold
9,295
0.08% 74
2016
Q4
$608K Hold
9,295
0.07% 73
2016
Q3
$689K Hold
9,295
0.08% 72
2016
Q2
$680K Hold
9,295
0.08% 68
2016
Q1
$657K Hold
9,295
0.08% 71
2015
Q4
$619K Sell
9,295
-2,150
-19% -$143K 0.08% 70
2015
Q3
$726K Sell
11,445
-600
-5% -$38.1K 0.09% 69
2015
Q2
$788K Hold
12,045
0.09% 69
2015
Q1
$835K Buy
12,045
+95
+0.8% +$6.59K 0.1% 68
2014
Q4
$827K Sell
11,950
-1,050
-8% -$72.7K 0.1% 67
2014
Q3
$848K Hold
13,000
0.11% 64
2014
Q2
$886K Hold
13,000
0.1% 66
2014
Q1
$843K Hold
13,000
0.1% 64
2013
Q4
$848K Hold
13,000
0.11% 63
2013
Q3
$771K Hold
13,000
0.11% 64
2013
Q2
$745K Buy
+13,000
New +$745K 0.11% 63