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Colgate-Palmolive

1,493 hedge funds and large institutions have $44.6B invested in Colgate-Palmolive in 2020 Q1 according to their latest regulatory filings, with 113 funds opening new positions, 498 increasing their positions, 636 reducing their positions, and 113 closing their positions.

New
Increased
Maintained
Reduced
Closed

66% more call options, than puts

Call options by funds: $372M | Put options by funds: $224M

39% more funds holding in top 10

Funds holding in top 10: 1825 (+7)

0.58% more ownership

Funds ownership: 77.9%78.48% (+0.58%)

0% more first-time investments, than exits

New positions opened: 113 | Existing positions closed: 113

3% less capital invested

Capital invested by funds: $45.9B → $44.6B (-$1.35B)

1% less funds holding

Funds holding: 1,5091,493 (-16)

22% less repeat investments, than reductions

Existing positions increased: 498 | Existing positions reduced: 636

Holders
1,493
Holders Change
-16
Holders Change %
-1.06%
% of All Funds
32.9%
Holding in Top 10
25
Holding in Top 10 Change
+7
Holding in Top 10 Change %
+38.89%
% of All Funds
0.55%
New
113
Increased
498
Reduced
636
Closed
113
Calls
$372M
Puts
$224M
Net Calls
+$148M
Net Calls Change
+$205M
Name Holding Trade Value Shares
Change
Change in
Stake
BAM
401
Bell Asset Management
Australia
$4.13M -$940K -13,323 -18%
BA
402
BCM Advisors
Louisiana
$4.1M
YIA
403
YHB Investment Advisors
Connecticut
$4.06M +$154K +2,186 +4%
WFMPM
404
Woodley Farra Manion Portfolio Management
Indiana
$4.02M -$119K -1,688 -3%
NIM
405
Northeast Investment Management
Massachusetts
$4M +$2.68K +38 +0.1%
ACA
406
Anchor Capital Advisors
Massachusetts
$3.98M -$179K -2,540 -4%
CCT
407
Chemung Canal Trust
New York
$3.96M -$194K -2,747 -4%
TAF
408
Tredje AP-fonden
Sweden
$3.94M -$1.43M -20,345 -25%
PCA
409
Personal Capital Advisors
California
$3.93M -$1.34M -19,021 -24%
ERSOT
410
Employees Retirement System of Texas
Texas
$3.9M
KRS
411
Kentucky Retirement Systems
Kentucky
$3.88M +$1.02M +14,441 +33%
BCCM
412
Bridge Creek Capital Management
Massachusetts
$3.86M -$41.6K -590 -1%
JWM
413
JGP Wealth Management
Oregon
$3.83M -$116K -1,644 -3%
RIM
414
Redpoint Investment Management
Australia
$3.82M -$170K -2,407 -4%
BRM
415
Boston Research & Management
Massachusetts
$3.82M -$63.8K -904 -2%
AF
416
Alerus Financial
North Dakota
$3.73M +$743K +10,535 +23%
ASN
417
Advisory Services Network
Georgia
$3.71M +$137K +1,941 +4%
Mariner
418
Mariner
Kansas
$3.69M +$292K +4,142 +8%
TFA
419
Toth Financial Advisory
Virginia
$3.68M -$161K -2,281 -4%
COPPSERS
420
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$3.63M -$30.8K -436 -0.8%
NMERB
421
New Mexico Educational Retirement Board
New Mexico
$3.58M -$867K -12,300 -19%
DY
422
Dowling & Yahnke
California
$3.57M +$96.5K +1,368 +3%
BFS
423
Bradley Foster & Sargent
Connecticut
$3.56M -$32.4K -460 -0.9%
SMDAM
424
Sumitomo Mitsui DS Asset Management
Japan
$3.56M +$3.67K +52 +0.1%
CG
425
Colony Group
Massachusetts
$3.52M -$4.66K -66 -0.1%

CL Hedge Fund Activity: Q1 2020 in Review

1,493 of the 4,538 institutional investors tracked by Wall St. Rank reported a position in Colgate-Palmolive (CL) for Q1 2020, worth a combined $44.6B — down 2.9% from $45.9B a quarter earlier.

Fund positioning in CL was balanced in Q1 2020: 113 funds opened new positions, 113 closed out, 498 added to existing stakes and 636 trimmed.

The largest buyer was Capital World Investors, opening a new position worth an estimated $882M. The largest seller was Tikehau Investment Management, cutting an estimated $252M.

  • 1,493 institutional investors held Colgate-Palmolive (CL) as of Q1 2020, down from 1,509 in Q4 2019.
  • Funds reported $44.6B of Colgate-Palmolive stock for Q1 2020, down 2.9% quarter-over-quarter.
  • 113 funds opened new Colgate-Palmolive positions in Q1 2020 and 113 closed out, a net change of 0 holders.
  • The largest Colgate-Palmolive buyer in Q1 2020 was Capital World Investors, an estimated $882M added.
  • The largest Colgate-Palmolive seller in Q1 2020 was Tikehau Investment Management, an estimated $252M sold.

Based on aggregated 13F filings for Q1 2020.