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SignalPoint Asset Management’s Kimberly-Clark KMB Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2024
Q4
$462K Hold
3,522
0.11% 145
2024
Q3
$502K Sell
3,522
-25
-0.7% -$3.56K 0.12% 152
2024
Q2
$490K Sell
3,547
-75
-2% -$10.4K 0.13% 149
2024
Q1
$469K Sell
3,622
-70
-2% -$9.06K 0.13% 149
2023
Q4
$448K Hold
3,692
0.13% 145
2023
Q3
$446K Hold
3,692
0.14% 133
2023
Q2
$510K Sell
3,692
-15
-0.4% -$2.07K 0.16% 124
2023
Q1
$498K Hold
3,707
0.16% 125
2022
Q4
$503K Sell
3,707
-50
-1% -$6.78K 0.18% 120
2022
Q3
$422K Buy
3,757
+896
+31% +$101K 0.16% 122
2022
Q2
$386K Sell
2,861
-125
-4% -$16.9K 0.14% 142
2022
Q1
$368K Buy
2,986
+3
+0.1% +$370 0.12% 155
2021
Q4
$426K Buy
2,983
+15
+0.5% +$2.14K 0.13% 145
2021
Q3
$393K Hold
2,968
0.13% 149
2021
Q2
$397K Buy
2,968
+275
+10% +$36.8K 0.13% 156
2021
Q1
$374K Buy
2,693
+306
+13% +$42.5K 0.13% 152
2020
Q4
$322K Hold
2,387
0.12% 158
2020
Q3
$352K Hold
2,387
0.15% 142
2020
Q2
$337K Hold
2,387
0.15% 133
2020
Q1
$305K Hold
2,387
0.16% 124
2019
Q4
$328K Buy
2,387
+73
+3% +$10K 0.14% 141
2019
Q3
$329K Buy
2,314
+24
+1% +$3.41K 0.15% 149
2019
Q2
$305K Sell
2,290
-92
-4% -$12.3K 0.15% 168
2019
Q1
$295K Buy
2,382
+1
+0% +$124 0.13% 174
2018
Q4
$271K Sell
2,381
-170
-7% -$19.3K 0.13% 169
2018
Q3
$290K Buy
2,551
+1
+0% +$114 0.13% 171
2018
Q2
$269K Buy
2,550
+1
+0% +$105 0.13% 173
2018
Q1
$281K Buy
2,549
+2
+0.1% +$220 0.14% 168
2017
Q4
$307K Buy
2,547
+85
+3% +$10.2K 0.15% 158
2017
Q3
$289K Buy
+2,462
New +$289K 0.15% 157
2017
Q1
Sell
-2,670
Closed -$305K 184
2016
Q4
$305K Buy
2,670
+350
+15% +$40K 0.08% 199
2016
Q3
$293K Buy
2,320
+35
+2% +$4.42K 0.08% 190
2016
Q2
$314K Hold
2,285
0.13% 169
2016
Q1
$307K Hold
2,285
0.13% 158
2015
Q4
$291K Sell
2,285
-540
-19% -$68.8K 0.13% 139
2015
Q3
$308K Sell
2,825
-35
-1% -$3.82K 0.14% 123
2015
Q2
$306K Hold
2,860
0.13% 135
2015
Q1
$306K Buy
2,860
+76
+3% +$8.13K 0.13% 135
2014
Q4
$322K Hold
2,784
0.15% 118
2014
Q3
$299K Hold
2,784
0.14% 117
2014
Q2
$310K Hold
2,784
0.14% 116
2014
Q1
$307K Hold
2,784
0.14% 117
2013
Q4
$291K Buy
+2,784
New +$291K 0.13% 125