Spectrum Management Group’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2021
Q4
Sell
-101
Closed -$8K 333
2021
Q3
$8K Buy
+101
New +$8.02K ﹤0.01% 302
2020
Q4
Sell
-104
Closed -$8K 226
2020
Q3
$8K Buy
104
+3
+3% +$229 ﹤0.01% 199
2020
Q2
$7K Hold
101
﹤0.01% 206
2020
Q1
$7K Buy
+101
New +$7.12K ﹤0.01% 190
2018
Q1
Sell
-450
Closed -$34K 239
2017
Q4
$34K Hold
450
0.01% 146
2017
Q3
$33K Buy
+450
New +$32.4K 0.01% 194
2016
Q2
Sell
-1,300
Closed -$92K 111
2016
Q1
$92K Hold
1,300
0.04% 108
2015
Q4
$87K Sell
1,300
-500
-28% -$33.3K 0.03% 90
2015
Q3
$114K Hold
1,800
0.06% 76
2015
Q2
$118K Hold
1,800
0.04% 45
2015
Q1
$125K Hold
1,800
0.05% 37
2014
Q4
$125K Hold
1,800
0.05% 41
2014
Q3
$117K Hold
1,800
0.07% 40
2014
Q2
$123K Hold
1,800
0.08% 39
2014
Q1
$117K Hold
1,800
0.08% 39
2013
Q4
$117K Buy
+1,800
New +$115K 0.08% 41

Other funds holding CL