Speece Thorson Capital Group’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-5,849
Closed -$1.02M 41
2021
Q4
$1.02M Hold
5,849
0.2% 40
2021
Q3
$969K Sell
5,849
-29,702
-84% -$4.92M 0.2% 42
2021
Q2
$6.4M Sell
35,551
-169
-0.5% -$30.4K 1.34% 33
2021
Q1
$6.89M Sell
35,720
-190
-0.5% -$36.6K 1.45% 27
2020
Q4
$7.25M Sell
35,910
-513
-1% -$104K 1.72% 26
2020
Q3
$7.66M Buy
36,423
+174
+0.5% +$36.6K 2.03% 23
2020
Q2
$7.95M Sell
36,249
-7,266
-17% -$1.59M 2.29% 22
2020
Q1
$7.54M Sell
43,515
-11,869
-21% -$2.06M 2.6% 18
2019
Q4
$8.5M Sell
55,384
-433
-0.8% -$66.5K 2.2% 19
2019
Q3
$8.48M Sell
55,817
-1,356
-2% -$206K 2.27% 21
2019
Q2
$8.75M Sell
57,173
-288
-0.5% -$44.1K 2.33% 21
2019
Q1
$9.22M Sell
57,461
-9,654
-14% -$1.55M 2.54% 17
2018
Q4
$10.3M Sell
67,115
-18,965
-22% -$2.92M 3.1% 12
2018
Q3
$12.9M Sell
86,080
-22,196
-20% -$3.34M 3% 12
2018
Q2
$14.6M Buy
108,276
+46,151
+74% +$6.24M 3.09% 12
2018
Q1
$8.27M Sell
62,125
-4,127
-6% -$549K 1.76% 30
2017
Q4
$9.85M Sell
66,252
-441
-0.7% -$65.6K 1.96% 27
2017
Q3
$8.8M Buy
66,693
+725
+1% +$95.6K 1.83% 29
2017
Q2
$8.79M Buy
65,968
+319
+0.5% +$42.5K 1.83% 31
2017
Q1
$8.85M Sell
65,649
-14,422
-18% -$1.94M 1.87% 31
2016
Q4
$9.61M Buy
80,071
+38,652
+93% +$4.64M 2.15% 26
2016
Q3
$5.19M Buy
41,419
+377
+0.9% +$47.2K 1.11% 40
2016
Q2
$5.68M Buy
41,042
+570
+1% +$78.9K 1.23% 36
2016
Q1
$5.1M Sell
40,472
-13,587
-25% -$1.71M 1.15% 39
2015
Q4
$6.86M Sell
54,059
-17,066
-24% -$2.16M 1.67% 31
2015
Q3
$8.22M Sell
71,125
-16,148
-19% -$1.87M 2.04% 26
2015
Q2
$9.08M Sell
87,273
-660
-0.8% -$68.7K 2.18% 24
2015
Q1
$9.71M Buy
87,933
+1,190
+1% +$131K 2.28% 25
2014
Q4
$9.04M Sell
86,743
-1,220
-1% -$127K 2.2% 22
2014
Q3
$8.45M Buy
87,963
+3,540
+4% +$340K 2.16% 23
2014
Q2
$7.72M Sell
84,423
-960
-1% -$87.7K 1.96% 28
2014
Q1
$7.52M Sell
85,383
-30
-0% -$2.64K 1.98% 27
2013
Q4
$7.92M Sell
85,413
-1,337
-2% -$124K 2.1% 25
2013
Q3
$7.09M Sell
86,750
-1,210
-1% -$98.9K 1.96% 27
2013
Q2
$7.31M Buy
+87,960
New +$7.31M 2.13% 22