TDAM USA’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
$3.43M Buy
40,197
+1,533
+4% +$131K 0.21% 103
2021
Q3
$2.92M Buy
38,664
+2,178
+6% +$165K 0.19% 106
2021
Q2
$2.9M Sell
36,486
-9,141
-20% -$727K 0.18% 108
2021
Q1
$3.6M Sell
45,627
-1,968
-4% -$155K 0.22% 111
2020
Q4
$4.07M Sell
47,595
-360
-0.8% -$30.8K 0.26% 108
2020
Q3
$3.7M Buy
47,955
+594
+1% +$45.8K 0.25% 108
2020
Q2
$3.43M Sell
47,361
-1,791
-4% -$130K 0.25% 112
2020
Q1
$3.26M Sell
49,152
-4,127
-8% -$274K 0.27% 105
2019
Q4
$3.67M Sell
53,279
-14,572
-21% -$1M 0.24% 115
2019
Q3
$4.99M Sell
67,851
-4,848
-7% -$356K 0.35% 101
2019
Q2
$5.21M Sell
72,699
-5,070
-7% -$363K 0.36% 87
2019
Q1
$5.33M Sell
77,769
-12,531
-14% -$859K 0.38% 87
2018
Q4
$5.38M Sell
90,300
-22,883
-20% -$1.36M 0.39% 78
2018
Q3
$7.45M Sell
113,183
-3,974
-3% -$262K 0.45% 74
2018
Q2
$7.59M Sell
117,157
-74,569
-39% -$4.83M 0.48% 72
2018
Q1
$13.7M Sell
191,726
-11,072
-5% -$794K 0.83% 37
2017
Q4
$15.3M Sell
202,798
-7,533
-4% -$568K 0.88% 35
2017
Q3
$15.3M Sell
210,331
-15,399
-7% -$1.12M 0.9% 34
2017
Q2
$16.7M Sell
225,730
-26,049
-10% -$1.93M 0.86% 35
2017
Q1
$18.4M Sell
251,779
-3,874
-2% -$284K 0.93% 34
2016
Q4
$16.7M Sell
255,653
-9,828
-4% -$643K 0.88% 36
2016
Q3
$19.7M Sell
265,481
-11,584
-4% -$859K 0.98% 30
2016
Q2
$20.3M Sell
277,065
-24,666
-8% -$1.81M 1% 31
2016
Q1
$21.3M Sell
301,731
-91,118
-23% -$6.44M 1.04% 28
2015
Q4
$26.2M Sell
392,849
-9,590
-2% -$639K 1.27% 19
2015
Q3
$25.5M Sell
402,439
-70,576
-15% -$4.48M 1.3% 18
2015
Q2
$30.9M Sell
473,015
-28,771
-6% -$1.88M 1.4% 12
2015
Q1
$34.8M Sell
501,786
-566
-0.1% -$39.2K 1.41% 10
2014
Q4
$34.8M Sell
502,352
-11,624
-2% -$804K 1.47% 11
2014
Q3
$33.5M Sell
513,976
-13,325
-3% -$869K 1.45% 12
2014
Q2
$36M Buy
527,301
+493
+0.1% +$33.6K 1.51% 9
2014
Q1
$34.2M Sell
526,808
-2,984
-0.6% -$194K 1.49% 12
2013
Q4
$34.5M Buy
529,792
+45,203
+9% +$2.95M 1.49% 11
2013
Q3
$28.7M Sell
484,589
-75,782
-14% -$4.49M 1.36% 20
2013
Q2
$32.4M Buy
+560,371
New +$32.4M 1.48% 20