Telemus Capital’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q4
$604K Buy
7,580
+50
+0.7% +$3.99K 0.05% 214
2023
Q3
$535K Hold
7,530
0.05% 209
2023
Q2
$580K Sell
7,530
-24
-0.3% -$1.85K 0.05% 205
2023
Q1
$568K Sell
7,554
-65
-0.9% -$4.89K 0.05% 210
2022
Q4
$609K Buy
7,619
+800
+12% +$64K 0.06% 211
2022
Q3
$479K Buy
6,819
+28
+0.4% +$1.97K 0.05% 207
2022
Q2
$544K Sell
6,791
-1,140
-14% -$91.3K 0.05% 231
2022
Q1
$601K Sell
7,931
-379
-5% -$28.7K 0.05% 211
2021
Q4
$709K Buy
8,310
+51
+0.6% +$4.35K 0.06% 208
2021
Q3
$624K Sell
8,259
-1,327
-14% -$100K 0.05% 218
2021
Q2
$780K Sell
9,586
-611
-6% -$49.7K 0.06% 205
2021
Q1
$811K Sell
10,197
-7
-0.1% -$557 0.06% 218
2020
Q4
$873K Hold
10,204
0.07% 189
2020
Q3
$819K Hold
10,204
0.06% 222
2020
Q2
$752K Buy
10,204
+1,394
+16% +$103K 0.06% 213
2020
Q1
$637K Sell
8,810
-446
-5% -$32.2K 0.05% 221
2019
Q4
$637K Buy
9,256
+446
+5% +$30.7K 0.05% 223
2019
Q3
$648K Hold
8,810
0.05% 212
2019
Q2
$606K Sell
8,810
-9,278
-51% -$638K 0.05% 211
2019
Q1
$1.24M Hold
18,088
0.09% 162
2018
Q4
$1.08M Sell
18,088
-1,251
-6% -$74.5K 0.09% 170
2018
Q3
$1.3M Sell
19,339
-1,070
-5% -$71.7K 0.1% 159
2018
Q2
$1.32M Buy
20,409
+241
+1% +$15.6K 0.1% 168
2018
Q1
$1.45M Buy
20,168
+314
+2% +$22.5K 0.12% 157
2017
Q4
$1.5M Buy
19,854
+10,358
+109% +$782K 0.12% 154
2017
Q3
$692K Sell
9,496
-9,292
-49% -$677K 0.08% 171
2017
Q2
$1.39M Buy
18,788
+553
+3% +$41K 0.14% 125
2017
Q1
$1.34M Buy
18,235
+9,281
+104% +$679K 0.14% 119
2016
Q4
$586K Sell
8,954
-11,981
-57% -$784K 0.08% 181
2016
Q3
$1.55M Sell
20,935
-1,200
-5% -$89K 0.17% 109
2016
Q2
$1.62M Buy
22,135
+11,492
+108% +$841K 0.2% 101
2016
Q1
$752K Buy
10,643
+6,137
+136% +$434K 0.12% 150
2015
Q4
$300K Hold
4,506
0.08% 105
2015
Q3
$286K Hold
4,506
0.07% 105
2015
Q2
$295K Sell
4,506
-1,043
-19% -$68.3K 0.07% 102
2015
Q1
$385K Hold
5,549
0.09% 96
2014
Q4
$384K Hold
5,549
0.09% 101
2014
Q3
$362K Hold
5,549
0.1% 95
2014
Q2
$378K Sell
5,549
-384
-6% -$26.2K 0.1% 92
2014
Q1
$385K Hold
5,933
0.11% 92
2013
Q4
$387K Hold
5,933
0.11% 86
2013
Q3
$352K Buy
+5,933
New +$352K 0.1% 96