Renaissance Technologies
CL icon

Renaissance Technologies’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$252M Sell
2,770,410
-144,000
-5% -$13.1M 0.34% 44
2025
Q1
$273M Buy
2,914,410
+106,300
+4% +$9.96M 0.41% 30
2024
Q4
$255M Buy
2,808,110
+1,158,060
+70% +$105M 0.38% 38
2024
Q3
$171M Sell
1,650,050
-193,098
-10% -$20M 0.26% 68
2024
Q2
$179M Sell
1,843,148
-117,000
-6% -$11.4M 0.3% 55
2024
Q1
$177M Buy
1,960,148
+502,375
+34% +$45.2M 0.28% 58
2023
Q4
$116M Sell
1,457,773
-225,000
-13% -$17.9M 0.18% 115
2023
Q3
$120M Sell
1,682,773
-572,918
-25% -$40.7M 0.2% 102
2023
Q2
$174M Sell
2,255,691
-1,433,300
-39% -$110M 0.25% 66
2023
Q1
$277M Buy
3,688,991
+278,100
+8% +$20.9M 0.37% 40
2022
Q4
$269M Sell
3,410,891
-698,495
-17% -$55M 0.37% 41
2022
Q3
$289M Sell
4,109,386
-763,100
-16% -$53.6M 0.41% 34
2022
Q2
$390M Sell
4,872,486
-816,300
-14% -$65.4M 0.46% 31
2022
Q1
$431M Buy
5,688,786
+3,427,400
+152% +$260M 0.51% 28
2021
Q4
$193M Sell
2,261,386
-1,146,695
-34% -$97.9M 0.24% 74
2021
Q3
$258M Buy
3,408,081
+1,529,100
+81% +$116M 0.33% 57
2021
Q2
$153M Buy
1,878,981
+230,700
+14% +$18.8M 0.19% 88
2021
Q1
$130M Sell
1,648,281
-1,400,468
-46% -$110M 0.16% 119
2020
Q4
$261M Sell
3,048,749
-1,460,793
-32% -$125M 0.28% 68
2020
Q3
$348M Sell
4,509,542
-1,082,442
-19% -$83.5M 0.35% 53
2020
Q2
$410M Sell
5,591,984
-1,432,012
-20% -$105M 0.35% 54
2020
Q1
$466M Buy
7,023,996
+2,351,369
+50% +$156M 0.45% 34
2019
Q4
$322M Buy
4,672,627
+109,900
+2% +$7.57M 0.25% 74
2019
Q3
$335M Sell
4,562,727
-326,575
-7% -$24M 0.28% 68
2019
Q2
$350M Sell
4,889,302
-363,100
-7% -$26M 0.31% 57
2019
Q1
$360M Sell
5,252,402
-327,000
-6% -$22.4M 0.33% 46
2018
Q4
$332M Sell
5,579,402
-1,048,398
-16% -$62.4M 0.36% 39
2018
Q3
$444M Sell
6,627,800
-573,100
-8% -$38.4M 0.46% 24
2018
Q2
$467M Sell
7,200,900
-2,022,700
-22% -$131M 0.51% 20
2018
Q1
$661M Buy
9,223,600
+621,700
+7% +$44.6M 0.72% 11
2017
Q4
$649M Sell
8,601,900
-1,002,200
-10% -$75.6M 0.72% 8
2017
Q3
$700M Sell
9,604,100
-149,300
-2% -$10.9M 0.82% 6
2017
Q2
$723M Buy
9,753,400
+2,903,800
+42% +$215M 0.92% 5
2017
Q1
$501M Sell
6,849,600
-1,604,000
-19% -$117M 0.7% 7
2016
Q4
$553M Buy
8,453,600
+1,605,600
+23% +$105M 0.88% 2
2016
Q3
$508M Sell
6,848,000
-944,900
-12% -$70.1M 0.9% 4
2016
Q2
$570M Sell
7,792,900
-2,088,600
-21% -$153M 1.09% 2
2016
Q1
$698M Sell
9,881,500
-181,400
-2% -$12.8M 1.33% 1
2015
Q4
$670M Sell
10,062,900
-1,374,800
-12% -$91.6M 1.46% 2
2015
Q3
$726M Sell
11,437,700
-1,153,100
-9% -$73.2M 1.73% 1
2015
Q2
$824M Sell
12,590,800
-152,300
-1% -$9.96M 1.88% 1
2015
Q1
$884M Buy
12,743,100
+167,700
+1% +$11.6M 1.88% 1
2014
Q4
$870M Buy
12,575,400
+1,552,700
+14% +$107M 2.1% 1
2014
Q3
$719M Buy
11,022,700
+1,417,200
+15% +$92.4M 1.97% 2
2014
Q2
$655M Buy
9,605,500
+2,259,100
+31% +$154M 1.53% 3
2014
Q1
$477M Sell
7,346,400
-2,000
-0% -$130K 1.14% 6
2013
Q4
$479M Sell
7,348,400
-317,100
-4% -$20.7M 1.15% 6
2013
Q3
$455M Sell
7,665,500
-42,300
-0.5% -$2.51M 1.1% 4
2013
Q2
$442M Buy
+7,707,800
New +$442M 1.16% 4