People's United Financial’s Ecolab ECL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
$6.2M Sell
35,092
-6,028
-15% -$1.06M 0.18% 135
2021
Q4
$9.65M Sell
41,120
-5,844
-12% -$1.37M 0.23% 103
2021
Q3
$9.8M Sell
46,964
-34,406
-42% -$7.18M 0.22% 107
2021
Q2
$16.8M Sell
81,370
-976
-1% -$201K 0.38% 75
2021
Q1
$17.6M Buy
82,346
+503
+0.6% +$108K 0.42% 68
2020
Q4
$17.7M Sell
81,843
-4,764
-6% -$1.03M 0.44% 65
2020
Q3
$17.3M Buy
86,607
+970
+1% +$194K 0.48% 62
2020
Q2
$17M Buy
85,637
+4,209
+5% +$837K 0.5% 62
2020
Q1
$12.7M Sell
81,428
-3,934
-5% -$613K 0.44% 70
2019
Q4
$16.5M Sell
85,362
-318
-0.4% -$61.4K 0.45% 63
2019
Q3
$17M Sell
85,680
-5,573
-6% -$1.1M 0.48% 54
2019
Q2
$18M Sell
91,253
-6,050
-6% -$1.19M 0.49% 51
2019
Q1
$17.2M Buy
97,303
+193
+0.2% +$34.1K 0.53% 48
2018
Q4
$14.3M Buy
97,110
+359
+0.4% +$52.9K 0.5% 49
2018
Q3
$15.2M Sell
96,751
-2,297
-2% -$360K 0.47% 48
2018
Q2
$13.9M Sell
99,048
-635
-0.6% -$89.1K 0.36% 79
2018
Q1
$13.7M Buy
99,683
+463
+0.5% +$63.5K 0.43% 61
2017
Q4
$13.3M Buy
99,220
+2,733
+3% +$367K 0.42% 64
2017
Q3
$12.4M Sell
96,487
-5,160
-5% -$664K 0.42% 67
2017
Q2
$13.5M Buy
101,647
+169
+0.2% +$22.4K 0.46% 65
2017
Q1
$12.7M Buy
101,478
+554
+0.5% +$69.4K 0.44% 64
2016
Q4
$11.8M Buy
100,924
+1,616
+2% +$189K 0.44% 64
2016
Q3
$12.1M Buy
99,308
+3,737
+4% +$455K 0.64% 49
2016
Q2
$11.3M Buy
95,571
+2,599
+3% +$308K 0.61% 51
2016
Q1
$10.4M Buy
92,972
+9,512
+11% +$1.06M 0.55% 54
2015
Q4
$9.55M Buy
83,460
+11,909
+17% +$1.36M 0.51% 57
2015
Q3
$7.85M Buy
71,551
+15,151
+27% +$1.66M 0.45% 63
2015
Q2
$6.38M Buy
56,400
+20,534
+57% +$2.32M 0.34% 77
2015
Q1
$4.1M Sell
35,866
-245
-0.7% -$28K 0.21% 113
2014
Q4
$3.77M Buy
36,111
+95
+0.3% +$9.93K 0.19% 118
2014
Q3
$4.14M Buy
36,016
+816
+2% +$93.7K 0.22% 98
2014
Q2
$3.92M Buy
35,200
+30,980
+734% +$3.45M 0.21% 107
2014
Q1
$456K Sell
4,220
-100
-2% -$10.8K 0.03% 331
2013
Q4
$451K Sell
4,320
-16
-0.4% -$1.67K 0.03% 320
2013
Q3
$428K Sell
4,336
-36
-0.8% -$3.55K 0.03% 318
2013
Q2
$373K Buy
+4,372
New +$373K 0.02% 316