Renaissance Technologies’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$2.86M Sell
27,600
-196,700
-88% -$22.3M ﹤0.01% 1684
2025
Q4
$22.6M Sell
224,300
-446,000
-67% -$48.4M 0.04% 551
2025
Q3
$82.6M Sell
670,300
-184,867
-22% -$22.9M 0.11% 210
2025
Q2
$103M Buy
855,167
+441,700
+107% +$58.9M 0.14% 155
2025
Q1
$60.9M Sell
413,467
-284,500
-41% -$43.4M 0.09% 263
2024
Q4
$113M Buy
697,967
+120,900
+21% +$19.8M 0.17% 129
2024
Q3
$94M Buy
577,067
+297,324
+106% +$44.1M 0.14% 154
2024
Q2
$38.2M Sell
279,743
-226,229
-45% -$31.4M 0.06% 368
2024
Q1
$77.5M Sell
505,972
-310,500
-38% -$46.3M 0.12% 195
2023
Q4
$116M Sell
816,472
-715,225
-47% -$95.4M 0.18% 114
2023
Q3
$201M Buy
1,531,697
+576,400
+60% +$87.6M 0.34% 49
2023
Q2
$152M Buy
955,297
+226,000
+31% +$36.5M 0.22% 87
2023
Q1
$115M Sell
729,297
-320,600
-31% -$48.1M 0.15% 146
2022
Q4
$147M Buy
1,049,897
+193,567
+23% +$27.5M 0.2% 101
2022
Q3
$110M Sell
856,330
-362,500
-30% -$52.3M 0.16% 143
2022
Q2
$172M Sell
1,218,830
-136,300
-10% -$19.5M 0.2% 97
2022
Q1
$188M Buy
1,355,130
+68,000
+5% +$10.4M 0.22% 84
2021
Q4
$224M Sell
1,287,130
-6,000
-0.5% -$1M 0.28% 65
2021
Q3
$214M Buy
1,293,130
+225,100
+21% +$38.8M 0.28% 69
2021
Q2
$192M Buy
1,068,030
+313,600
+42% +$57.2M 0.24% 68
2021
Q1
$146M Sell
754,430
-900,900
-54% -$173M 0.18% 107
2020
Q4
$334M Sell
1,655,330
-707,183
-30% -$146M 0.36% 52
2020
Q3
$497M Buy
2,362,513
+464,660
+24% +$103M 0.5% 37
2020
Q2
$416M Buy
1,897,853
+420,273
+28% +$84M 0.36% 52
2020
Q1
$256M Buy
1,477,580
+621,686
+73% +$103M 0.25% 85
2019
Q4
$131M Sell
855,894
-338,700
-28% -$50.6M 0.1% 218
2019
Q3
$181M Sell
1,194,594
-440,200
-27% -$69.6M 0.15% 130
2019
Q2
$250M Sell
1,634,794
-587,200
-26% -$89.7M 0.22% 94
2019
Q1
$357M Sell
2,221,994
-110,500
-5% -$17.1M 0.32% 50
2018
Q4
$360M Buy
2,332,494
+1,194
+0.1% +$186K 0.39% 33
2018
Q3
$351M Sell
2,331,300
-57,300
-2% -$8.14M 0.36% 37
2018
Q2
$323M Sell
2,388,600
-276,400
-10% -$34.1M 0.35% 38
2018
Q1
$355M Buy
2,665,000
+304,400
+13% +$40.9M 0.39% 31
2017
Q4
$351M Buy
2,360,600
+310,000
+15% +$42.2M 0.39% 33
2017
Q3
$270M Buy
2,050,600
+709,200
+53% +$95.3M 0.32% 39
2017
Q2
$179M Buy
1,341,400
+263,700
+24% +$35.6M 0.23% 73
2017
Q1
$145M Buy
1,077,700
+113,700
+12% +$14.7M 0.2% 94
2016
Q4
$116M Sell
964,000
-75,600
-7% -$8.92M 0.18% 93
2016
Q3
$130M Buy
1,039,600
+730,200
+236% +$95.6M 0.23% 63
2016
Q2
$42.8M Sell
309,400
-844,100
-73% -$109M 0.08% 313
2016
Q1
$145M Sell
1,153,500
-320,300
-22% -$40.7M 0.28% 47
2015
Q4
$187M Sell
1,473,800
-355,100
-19% -$44.1M 0.41% 25
2015
Q3
$211M Buy
1,828,900
+690,200
+61% +$77.5M 0.5% 19
2015
Q2
$118M Buy
1,138,700
+225,200
+25% +$24.3M 0.27% 49
2015
Q1
$101M Sell
913,500
-308,500
-25% -$33.5M 0.21% 79
2014
Q4
$127M Buy
1,222,000
+914,800
+298% +$91.5M 0.31% 39
2014
Q3
$29.5M Sell
307,200
-31,300
-9% -$2.83M 0.08% 300
2014
Q2
$30.9M Sell
338,500
-432,700
-56% -$38.8M 0.07% 311
2014
Q1
$67.9M Sell
771,200
-342,200
-31% -$30M 0.16% 105
2013
Q4
$103M Sell
1,113,400
-282,300
-20% -$25.4M 0.25% 71
2013
Q3
$114M Buy
1,395,700
+204,600
+17% +$17.3M 0.28% 63
2013
Q2
$99M Buy
+1,191,100
New +$102M 0.26% 67

Other funds holding CLX