Twin Capital Management’s Colgate-Palmolive CL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$1.67M Buy
18,422
+310
+2% +$28.2K 0.18% 137
2025
Q1
$1.7M Buy
18,112
+14,912
+466% +$1.4M 0.2% 127
2024
Q4
$291K Sell
3,200
-78
-2% -$7.09K 0.03% 274
2024
Q3
$340K Buy
+3,278
New +$340K 0.04% 267
2021
Q3
Sell
-7,778
Closed -$633K 298
2021
Q2
$633K Sell
7,778
-220
-3% -$17.9K 0.06% 251
2021
Q1
$630K Sell
7,998
-990
-11% -$78K 0.06% 248
2020
Q4
$769K Buy
+8,988
New +$769K 0.07% 230
2018
Q4
Sell
-10,704
Closed -$717K 284
2018
Q3
$717K Sell
10,704
-38,226
-78% -$2.56M 0.03% 289
2018
Q2
$3.17M Buy
48,930
+8,360
+21% +$542K 0.16% 173
2018
Q1
$2.91M Sell
40,570
-800
-2% -$57.3K 0.15% 180
2017
Q4
$3.12M Sell
41,370
-360
-0.9% -$27.2K 0.15% 178
2017
Q3
$3.04M Buy
+41,730
New +$3.04M 0.16% 184
2016
Q4
Sell
-2,700
Closed -$200K 329
2016
Q3
$200K Sell
2,700
-600
-18% -$44.4K 0.01% 329
2016
Q2
$242K Buy
+3,300
New +$242K 0.02% 341
2014
Q3
Sell
-26,730
Closed -$1.82M 286
2014
Q2
$1.82M Buy
26,730
+230
+0.9% +$15.7K 0.18% 165
2014
Q1
$1.72M Sell
26,500
-2,400
-8% -$156K 0.18% 167
2013
Q4
$1.89M Sell
28,900
-7,220
-20% -$471K 0.2% 160
2013
Q3
$2.14M Sell
36,120
-1,300
-3% -$77.1K 0.23% 133
2013
Q2
$2.14M Buy
+37,420
New +$2.14M 0.23% 128