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Murphy Capital Management’s Procter & Gamble PG Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
$10.4M Sell
72,611
-244
-0.3% -$35.1K 1.45% 18
2022
Q1
$11.1M Sell
72,855
-1,621
-2% -$248K 1.29% 21
2021
Q4
$12.2M Sell
74,476
-399
-0.5% -$65.3K 1.31% 21
2021
Q3
$10.5M Sell
74,875
-1,266
-2% -$177K 1.22% 22
2021
Q2
$10.3M Buy
76,141
+955
+1% +$129K 1.17% 23
2021
Q1
$10.2M Buy
75,186
+2,050
+3% +$278K 1.28% 23
2020
Q4
$10.2M Sell
73,136
-168
-0.2% -$23.4K 1.36% 22
2020
Q3
$10.2M Sell
73,304
-1,033
-1% -$144K 1.48% 17
2020
Q2
$8.89M Buy
74,337
+417
+0.6% +$49.9K 1.4% 18
2020
Q1
$8.13M Sell
73,920
-1,160
-2% -$128K 1.54% 19
2019
Q4
$9.38M Sell
75,080
-1,263
-2% -$158K 1.33% 22
2019
Q3
$9.5M Sell
76,343
-543
-0.7% -$67.5K 1.43% 22
2019
Q2
$8.43M Sell
76,886
-2,679
-3% -$294K 1.26% 24
2019
Q1
$8.28M Sell
79,565
-6,915
-8% -$719K 1.26% 24
2018
Q4
$7.95M Sell
86,480
-1,455
-2% -$134K 1.34% 24
2018
Q3
$7.32M Sell
87,935
-3,248
-4% -$270K 1.02% 29
2018
Q2
$7.12M Sell
91,183
-3,264
-3% -$255K 1.03% 29
2018
Q1
$7.49M Sell
94,447
-903
-0.9% -$71.6K 1.06% 26
2017
Q4
$8.76M Sell
95,350
-897
-0.9% -$82.4K 1.2% 25
2017
Q3
$8.76M Sell
96,247
-345
-0.4% -$31.4K 1.25% 22
2017
Q2
$8.42M Sell
96,592
-120
-0.1% -$10.5K 1.24% 21
2017
Q1
$8.69M Sell
96,712
-1,064
-1% -$95.6K 1.29% 21
2016
Q4
$8.22M Sell
97,776
-451
-0.5% -$37.9K 1.3% 19
2016
Q3
$8.82M Sell
98,227
-408
-0.4% -$36.6K 1.37% 17
2016
Q2
$8.35M Sell
98,635
-1,781
-2% -$151K 1.29% 19
2016
Q1
$8.27M Sell
100,416
-1,920
-2% -$158K 1.29% 19
2015
Q4
$8.13M Sell
102,336
-454
-0.4% -$36K 1.24% 21
2015
Q3
$7.39M Buy
102,790
+2,624
+3% +$189K 1.22% 19
2015
Q2
$7.84M Sell
100,166
-2,817
-3% -$220K 1.17% 20
2015
Q1
$8.44M Buy
102,983
+2,599
+3% +$213K 1.25% 18
2014
Q4
$9.14M Sell
100,384
-897
-0.9% -$81.7K 1.39% 11
2014
Q3
$8.48M Buy
101,281
+2,132
+2% +$179K 1.32% 14
2014
Q2
$7.79M Buy
99,149
+2,206
+2% +$173K 1.23% 16
2014
Q1
$7.81M Buy
96,943
+4,612
+5% +$372K 1.32% 12
2013
Q4
$7.52M Sell
92,331
-941
-1% -$76.6K 1.31% 13
2013
Q3
$7.05M Buy
93,272
+1,248
+1% +$94.3K 1.33% 14
2013
Q2
$7.08M Buy
+92,024
New +$7.08M 1.44% 13