Wells Fargo’s Clorox CLX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$65.7M Sell
633,542
-9,146
-1% -$1.04M 0.01% 817
2025
Q4
$64.8M Buy
642,688
+55,054
+9% +$5.98M 0.01% 795
2025
Q3
$72.5M Buy
587,634
+45,252
+8% +$5.62M 0.01% 739
2025
Q2
$65.1M Buy
542,382
+90,744
+20% +$12.1M 0.01% 738
2025
Q1
$66.5M Sell
451,638
-30,577
-6% -$4.67M 0.02% 689
2024
Q4
$78.3M Sell
482,215
-65,570
-12% -$10.7M 0.02% 627
2024
Q3
$89.2M Sell
547,785
-9,601
-2% -$1.42M 0.02% 571
2024
Q2
$76.1M Sell
557,386
-271,648
-33% -$37.7M 0.02% 597
2024
Q1
$127M Sell
829,034
-13,231
-2% -$1.98M 0.03% 419
2023
Q4
$120M Sell
842,265
-562,065
-40% -$74.9M 0.03% 418
2023
Q3
$184M Sell
1,404,330
-202,862
-13% -$30.8M 0.06% 287
2023
Q2
$256M Sell
1,607,192
-2,018,139
-56% -$326M 0.07% 241
2023
Q1
$574M Buy
3,625,331
+20,641
+0.6% +$3.1M 0.18% 135
2022
Q4
$506M Sell
3,604,690
-14,646
-0.4% -$2.08M 0.16% 139
2022
Q3
$465M Buy
3,619,336
+62,175
+2% +$8.97M 0.16% 140
2022
Q2
$501M Buy
3,557,161
+82,698
+2% +$11.8M 0.16% 139
2022
Q1
$483M Buy
3,474,463
+434,323
+14% +$66.6M 0.13% 162
2021
Q4
$530M Sell
3,040,140
-36,769
-1% -$6.13M 0.14% 157
2021
Q3
$510M Buy
3,076,909
+20,119
+0.7% +$3.46M 0.12% 178
2021
Q2
$550M Sell
3,056,790
-546,284
-15% -$99.7M 0.12% 168
2021
Q1
$695M Buy
3,603,074
+58,887
+2% +$11.3M 0.16% 138
2020
Q4
$716M Sell
3,544,187
-211,907
-6% -$43.8M 0.17% 128
2020
Q3
$789M Buy
3,756,094
+172,026
+5% +$38.3M 0.22% 104
2020
Q2
$786M Buy
3,584,068
+122,630
+4% +$24.5M 0.23% 100
2020
Q1
$600M Sell
3,461,438
-287,378
-8% -$47.5M 0.21% 109
2019
Q4
$576M Sell
3,748,816
-60,030
-2% -$8.97M 0.16% 139
2019
Q3
$578M Sell
3,808,846
-4,440
-0.1% -$702K 0.16% 132
2019
Q2
$584M Buy
3,813,286
+70,524
+2% +$10.8M 0.17% 133
2019
Q1
$601M Sell
3,742,762
-142,275
-4% -$22.1M 0.18% 128
2018
Q4
$599M Sell
3,885,037
-269,414
-6% -$42M 0.2% 117
2018
Q3
$625M Sell
4,154,451
-123,055
-3% -$17.5M 0.18% 122
2018
Q2
$579M Sell
4,277,506
-319,100
-7% -$39.4M 0.17% 127
2018
Q1
$612M Buy
4,596,606
+293,310
+7% +$39.4M 0.18% 124
2017
Q4
$640M Sell
4,303,296
-53,003
-1% -$7.21M 0.19% 117
2017
Q3
$575M Sell
4,356,299
-56,301
-1% -$7.56M 0.18% 128
2017
Q2
$588M Buy
4,412,600
+202,368
+5% +$27.3M 0.19% 116
2017
Q1
$568M Sell
4,210,232
-771,384
-15% -$99.9M 0.18% 124
2016
Q4
$598M Buy
4,981,616
+1,343,973
+37% +$158M 0.21% 107
2016
Q3
$455M Buy
3,637,643
+25,902
+0.7% +$3.39M 0.17% 136
2016
Q2
$500M Buy
3,611,741
+36,670
+1% +$4.75M 0.19% 124
2016
Q1
$451M Buy
3,575,071
+81,451
+2% +$10.4M 0.18% 128
2015
Q4
$443M Buy
3,493,620
+85,557
+3% +$10.6M 0.18% 127
2015
Q3
$394M Buy
3,408,063
+103,405
+3% +$11.6M 0.17% 140
2015
Q2
$344M Buy
3,304,658
+64,804
+2% +$6.99M 0.13% 182
2015
Q1
$358M Sell
3,239,854
-50,379
-2% -$5.47M 0.14% 180
2014
Q4
$343M Sell
3,290,233
-73,052
-2% -$7.3M 0.13% 189
2014
Q3
$323M Sell
3,363,285
-73,816
-2% -$6.67M 0.14% 186
2014
Q2
$314M Buy
3,437,101
+35,055
+1% +$3.14M 0.13% 200
2014
Q1
$299M Buy
3,402,046
+12,703
+0.4% +$1.12M 0.13% 196
2013
Q4
$314M Sell
3,389,343
-16,480
-0.5% -$1.48M 0.14% 183
2013
Q3
$278M Buy
3,405,823
+237,180
+7% +$20M 0.13% 183
2013
Q2
$263M Buy
+3,168,643
New +$273M 0.14% 188

Other funds holding CLX