Parkside Financial Bank & Trust’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$908K Buy
9,994
+3,854
+63% +$350K 0.1% 157
2025
Q1
$575K Sell
6,140
-533
-8% -$49.9K 0.07% 196
2024
Q4
$607K Buy
6,673
+194
+3% +$17.6K 0.08% 182
2024
Q3
$673K Buy
6,479
+869
+15% +$90.2K 0.09% 159
2024
Q2
$544K Sell
5,610
-131
-2% -$12.7K 0.09% 172
2024
Q1
$517K Buy
5,741
+266
+5% +$24K 0.08% 182
2023
Q4
$436K Buy
5,475
+156
+3% +$12.4K 0.08% 186
2023
Q3
$378K Buy
5,319
+72
+1% +$5.12K 0.09% 171
2023
Q2
$404K Buy
5,247
+4
+0.1% +$308 0.1% 164
2023
Q1
$394K Buy
5,243
+30
+0.6% +$2.26K 0.11% 152
2022
Q4
$411K Sell
5,213
-500
-9% -$39.4K 0.12% 140
2022
Q3
$402K Sell
5,713
-31
-0.5% -$2.18K 0.13% 131
2022
Q2
$460K Sell
5,744
-22
-0.4% -$1.76K 0.14% 126
2022
Q1
$438K Sell
5,766
-2,627
-31% -$200K 0.12% 131
2021
Q4
$716K Buy
8,393
+3,498
+71% +$298K 0.18% 90
2021
Q3
$370K Sell
4,895
-32
-0.6% -$2.42K 0.11% 131
2021
Q2
$401K Sell
4,927
-120
-2% -$9.77K 0.12% 127
2021
Q1
$398K Sell
5,047
-34
-0.7% -$2.68K 0.12% 127
2020
Q4
$434K Buy
5,081
+63
+1% +$5.38K 0.14% 112
2020
Q3
$388K Sell
5,018
-46
-0.9% -$3.56K 0.14% 105
2020
Q2
$371K Sell
5,064
-9
-0.2% -$659 0.12% 120
2020
Q1
$337K Buy
5,073
+46
+0.9% +$3.06K 0.13% 115
2019
Q4
$346K Buy
5,027
+256
+5% +$17.6K 0.1% 138
2019
Q3
$351K Buy
4,771
+5
+0.1% +$368 0.11% 137
2019
Q2
$341K Buy
4,766
+50
+1% +$3.58K 0.11% 139
2019
Q1
$323K Buy
4,716
+204
+5% +$14K 0.11% 144
2018
Q4
$269K Sell
4,512
-46
-1% -$2.74K 0.1% 145
2018
Q3
$305K Sell
4,558
-120
-3% -$8.03K 0.11% 147
2018
Q2
$303K Sell
4,678
-496
-10% -$32.1K 0.11% 142
2018
Q1
$371K Sell
5,174
-164
-3% -$11.8K 0.14% 118
2017
Q4
$403K Buy
5,338
+325
+6% +$24.5K 0.15% 111
2017
Q3
$365K Hold
5,013
0.14% 113
2017
Q2
$372K Buy
5,013
+127
+3% +$9.42K 0.15% 106
2017
Q1
$357K Sell
4,886
-937
-16% -$68.5K 0.15% 109
2016
Q4
$381K Sell
5,823
-3,473
-37% -$227K 0.17% 113
2016
Q3
$689K Sell
9,296
-318
-3% -$23.6K 0.32% 64
2016
Q2
$704K Hold
9,614
0.34% 60
2016
Q1
$679K Buy
9,614
+210
+2% +$14.8K 0.34% 60
2015
Q4
$626K Buy
9,404
+4,648
+98% +$309K 0.31% 63
2015
Q3
$302K Sell
4,756
-4,874
-51% -$309K 0.17% 97
2015
Q2
$630K Buy
9,630
+1,598
+20% +$105K 0.33% 63
2015
Q1
$558K Sell
8,032
-9
-0.1% -$625 0.3% 72
2014
Q4
$556K Sell
8,041
-159
-2% -$11K 0.31% 72
2014
Q3
$535K Buy
8,200
+207
+3% +$13.5K 0.32% 68
2014
Q2
$545K Sell
7,993
-22
-0.3% -$1.5K 0.32% 75
2014
Q1
$520K Buy
8,015
+4,681
+140% +$304K 0.33% 76
2013
Q4
$217K Buy
+3,334
New +$217K 0.15% 139
2013
Q3
Sell
-7,618
Closed -$436K 142
2013
Q2
$436K Buy
+7,618
New +$436K 0.34% 72