Rehmann Capital Advisory Group’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
$215K Buy
2,367
+30
+1% +$2.73K 0.01% 564
2025
Q1
$219K Sell
2,337
-89
-4% -$8.34K 0.01% 559
2024
Q4
$221K Sell
2,426
-375
-13% -$34.1K 0.01% 556
2024
Q3
$294K Buy
2,801
+180
+7% +$18.9K 0.02% 470
2024
Q2
$254K Sell
2,621
-23
-0.9% -$2.23K 0.02% 492
2024
Q1
$238K Buy
+2,644
New +$238K 0.02% 513
2023
Q1
Sell
-2,543
Closed -$200K 554
2022
Q4
$200K Buy
+2,543
New +$200K 0.02% 523
2021
Q1
Sell
-3,149
Closed -$269K 515
2020
Q4
$269K Sell
3,149
-88
-3% -$7.52K 0.03% 397
2020
Q3
$250K Buy
3,237
+91
+3% +$7.02K 0.03% 361
2020
Q2
$231K Buy
+3,146
New +$231K 0.03% 375
2019
Q3
$262K Buy
3,561
+401
+13% +$29.5K 0.03% 271
2019
Q2
$227K Buy
3,160
+315
+11% +$22.6K 0.03% 408
2019
Q1
$195K Buy
2,845
+41
+1% +$2.81K 0.03% 422
2018
Q4
$167K Sell
2,804
-26
-0.9% -$1.55K 0.03% 281
2018
Q3
$190K Buy
2,830
+375
+15% +$25.1K 0.03% 412
2018
Q2
$159K Sell
2,455
-329
-12% -$21.3K 0.02% 433
2018
Q1
$200K Sell
2,784
-203
-7% -$14.6K 0.03% 369
2017
Q4
$225K Sell
2,987
-61
-2% -$4.6K 0.04% 345
2017
Q3
$222K Sell
3,048
-801
-21% -$58.3K 0.04% 338
2017
Q2
$285K Sell
3,849
-1,541
-29% -$114K 0.05% 263
2017
Q1
$394K Buy
5,390
+388
+8% +$28.4K 0.07% 228
2016
Q4
$327K Buy
5,002
+1,599
+47% +$105K 0.06% 251
2016
Q3
$252K Sell
3,403
-525
-13% -$38.9K 0.05% 293
2016
Q2
$288K Sell
3,928
-74
-2% -$5.43K 0.05% 261
2016
Q1
$283K Sell
4,002
-1,341
-25% -$94.8K 0.06% 256
2015
Q4
$356K Buy
5,343
+1,548
+41% +$103K 0.07% 203
2015
Q3
$241K Sell
3,795
-2,144
-36% -$136K 0.05% 265
2015
Q2
$388K Sell
5,939
-89
-1% -$5.81K 0.09% 185
2015
Q1
$418K Sell
6,028
-315
-5% -$21.8K 0.09% 178
2014
Q4
$439K Buy
6,343
+257
+4% +$17.8K 0.1% 172
2014
Q3
$397K Sell
6,086
-437
-7% -$28.5K 0.09% 180
2014
Q2
$445K Buy
6,523
+1,519
+30% +$104K 0.11% 160
2014
Q1
$325K Buy
5,004
+125
+3% +$8.12K 0.09% 193
2013
Q4
$318K Sell
4,879
-596
-11% -$38.8K 0.1% 192
2013
Q3
$325K Buy
5,475
+621
+13% +$36.9K 0.11% 178
2013
Q2
$278K Buy
+4,854
New +$278K 0.1% 180