Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2025
Q3
Sell
-2,634
Closed -$345K 1292
2025
Q2
$345K Buy
2,634
+1,022
+63% +$136K 0.01% 935
2025
Q1
$223K Buy
+1,612
New +$246K 0.01% 995
2024
Q3
Sell
-1,554
Closed -$208K 1097
2024
Q2
$208K Sell
1,554
-743
-32% -$103K 0.01% 1026
2024
Q1
$352K Sell
2,297
-889
-28% -$133K 0.01% 816
2023
Q4
$454K Sell
3,186
-617
-16% -$82.3K 0.02% 684
2023
Q3
$498K Buy
3,803
+717
+23% +$109K 0.02% 624
2023
Q2
$491K Buy
3,086
+997
+48% +$161K 0.02% 640
2023
Q1
$331K Buy
2,089
+351
+20% +$52.6K 0.01% 748
2022
Q4
$244K Sell
1,738
-204
-11% -$29K 0.01% 807
2022
Q3
$249K Sell
1,942
-3
-0.2% -$433 0.01% 770
2022
Q2
$274K Sell
1,945
-120
-6% -$17.1K 0.02% 702
2022
Q1
$287K Buy
2,065
+9
+0.4% +$1.38K 0.02% 729
2021
Q4
$358K Sell
2,056
-258
-11% -$43K 0.02% 678
2021
Q3
$383K Buy
2,314
+179
+8% +$30.8K 0.02% 636
2021
Q2
$384K Buy
2,135
+179
+9% +$32.7K 0.02% 613
2021
Q1
$377K Buy
1,956
+2
+0.1% +$385 0.03% 569
2020
Q4
$395K Sell
1,954
-1,176
-38% -$243K 0.03% 528
2020
Q3
$658K Buy
3,130
+424
+16% +$94.4K 0.06% 353
2020
Q2
$594K Buy
2,706
+518
+24% +$103K 0.06% 345
2020
Q1
$379K Sell
2,188
-47
-2% -$7.76K 0.05% 345
2019
Q4
$343K Buy
+2,235
New +$334K 0.04% 432

Other funds holding CLX