Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$60.1M Sell
226,060
-1,010
-0.4% -$285K 3.73% 6
2025
Q4
$59.6M Sell
227,070
-1,485
-0.6% -$396K 3.7% 6
2025
Q3
$62.6M Sell
228,555
-857
-0.4% -$233K 3.83% 3
2025
Q2
$61.8M Sell
229,412
-1,671
-0.7% -$425K 3.96% 5
2025
Q1
$58.6M Sell
231,083
-395
-0.2% -$99.6K 3.93% 6
2024
Q4
$54.2M Sell
231,478
-744
-0.3% -$185K 3.68% 7
2024
Q3
$59.3M Buy
232,222
+1,710
+0.7% +$418K 3.87% 6
2024
Q2
$54.9M Sell
230,512
-4,239
-2% -$979K 3.83% 6
2024
Q1
$54.2M Sell
234,751
-504
-0.2% -$107K 3.82% 5
2023
Q4
$46.7M Sell
235,255
-930
-0.4% -$167K 3.58% 7
2023
Q3
$40M Sell
236,185
-15
-0% -$2.73K 3.29% 9
2023
Q2
$44.1M Sell
236,200
-1,485
-0.6% -$256K 3.55% 8
2023
Q1
$39.3M Sell
237,685
-1,270
-0.5% -$198K 3.34% 9
2022
Q4
$34.8M Sell
238,955
-4,092
-2% -$601K 3.05% 8
2022
Q3
$35.1M Buy
243,047
+522
+0.2% +$84.7K 3.16% 8
2022
Q2
$37.3M Buy
242,525
+794
+0.3% +$132K 3.14% 8
2022
Q1
$42.7M Buy
241,731
+4,290
+2% +$806K 3% 9
2021
Q4
$55.7M Buy
237,441
+380
+0.2% +$85.9K 3.93% 4
2021
Q3
$49.5M Buy
237,061
+65
+0% +$14.2K 3.86% 5
2021
Q2
$48.8M Buy
236,996
+470
+0.2% +$102K 3.81% 5
2021
Q1
$50.6M Sell
236,526
-435
-0.2% -$92.6K 4.26% 2
2020
Q4
$51.3M Sell
236,961
-685
-0.3% -$143K 4.58% 3
2020
Q3
$47.5M Buy
237,646
+27
+0% +$5.39K 4.74% 2
2020
Q2
$47.3M Sell
237,619
-580
-0.2% -$112K 5.19% 2
2020
Q1
$37.1M Buy
238,199
+784
+0.3% +$147K 4.96% 2
2019
Q4
$45.8M Sell
237,415
-731
-0.3% -$139K 4.78% 2
2019
Q3
$47.2M Buy
238,146
+348
+0.1% +$69.8K 5.22% 2
2019
Q2
$47M Sell
237,798
-215
-0.1% -$40K 5.15% 2
2019
Q1
$42M Buy
238,013
+662
+0.3% +$108K 4.68% 2
2018
Q4
$35M Sell
237,351
-235
-0.1% -$35.9K 4.43% 3
2018
Q3
$37.2M Sell
237,586
-253
-0.1% -$37.5K 4.17% 4
2018
Q2
$33.4M Buy
237,839
+1,495
+0.6% +$216K 4.01% 4
2018
Q1
$32.4M Buy
236,344
+495
+0.2% +$66.6K 4.08% 3
2017
Q4
$31.6M Hold
235,849
3.93% 3
2017
Q3
$30.3M Buy
235,849
+1,206
+0.5% +$159K 3.88% 3
2017
Q2
$31.1M Buy
234,643
+1,065
+0.5% +$138K 4.12% 3
2017
Q1
$29.3M Sell
233,578
-3,683
-2% -$450K 3.98% 3
2016
Q4
$27.8M Hold
237,261
4.02% 3
2016
Q3
$28.9M Sell
237,261
-200
-0.1% -$24.1K 4.34% 2
2016
Q2
$28.2M Buy
237,461
+3,400
+1% +$396K 4.36% 3
2016
Q1
$26.1M Buy
234,061
+3,440
+1% +$365K 4.23% 3
2015
Q4
$26.4M Buy
230,621
+1,700
+0.7% +$200K 4.43% 3
2015
Q3
$25.1M Buy
228,921
+660
+0.3% +$73.9K 4.33% 3
2015
Q2
$25.8M Sell
228,261
-860
-0.4% -$98.9K 3.78% 4
2015
Q1
$26.2M Buy
229,121
+6,765
+3% +$741K 3.73% 5
2014
Q4
$23.2M Buy
222,356
+115
+0.1% +$12.6K 3.37% 5
2014
Q3
$25.5M Sell
222,241
-8,000
-3% -$901K 3.9% 5
2014
Q2
$25.6M Sell
230,241
-281
-0.1% -$30.1K 3.56% 5
2014
Q1
$24.9M Sell
230,522
-1,045
-0.5% -$109K 3.72% 6
2013
Q4
$24.1M Sell
231,567
-3,936
-2% -$409K 4.03% 4
2013
Q3
$23.3M Sell
235,503
-2,250
-0.9% -$209K 4.08% 5
2013
Q2
$20.3M Buy
+237,753
New +$20.1M 3.08% 7

Other funds holding ECL

S&CO Inc's ECL Position: Q1 2026 in Review

S&CO Inc reduced its Ecolab (ECL) stake by 0.44% in Q1 2026, selling an estimated $285K and leaving 226,060 shares worth $60.1M. The position accounts for 3.73% of the portfolio, ranked #6.

S&CO Inc first reported a position in ECL in Q2 2013 and has held it in 52 quarters since. The position peaked at $62.6M in Q3 2025. 1,691 funds tracked by Wall St. Rank hold ECL as of Q1 2026.

  • S&CO Inc held 226,060 shares of Ecolab worth $60.1M as of Q1 2026.
  • S&CO Inc sold 1,010 Ecolab shares in Q1 2026, an estimated $285K.
  • Ecolab made up 3.73% of S&CO Inc's portfolio in Q1 2026, its #6 holding.
  • S&CO Inc first reported a position in Ecolab in Q2 2013 and has held it in 52 quarters since.
  • S&CO Inc's Ecolab position peaked at $62.6M in Q3 2025.
  • 1,691 funds tracked by Wall St. Rank held Ecolab as of Q1 2026.

Based on S&CO Inc's 13F filing for Q1 2026, filed 7 May 2026.