EVERETT HARRIS & CO /CA/

SEC CIK
0001009254

CL holding history

COLGATE PALMOLIVE CO

Every 13F filing in which EVERETT HARRIS & CO /CA/ reported holding CL, plus the quarters it sold out. Changes compare share counts with the previous calendar quarter.

CL overviewAll 13F holders of CLFull portfolio

EVERETT HARRIS & CO /CA/: CL holding by quarter
QuarterSharesValue% of portfolioChange in sharesAction
Q2 2026777,970$71.32M0.88%−1,907−0.2%Reduced
Q1 2026779,877$66.47M0.86%−1,264−0.2%Reduced
Q4 2025781,141$61.73M0.75%+2,064+0.3%Added
Q3 2025779,077$62.28M0.77%−2,920−0.4%Reduced
Q2 2025781,997$71.08M0.91%−700−0.1%Reduced
Q1 2025782,697$73.34M0.94%−1,207−0.2%Reduced
Q4 2024783,904$71.26M0.90%−2,691−0.3%Reduced
Q3 2024786,595$81.66M1.01%−5,396−0.7%Reduced
Q2 2024791,991$76.85M0.98%−7,634−1.0%Reduced
Q1 2024799,625$72.01M0.95%−13,808−1.7%Reduced
Q4 2023813,433$64.84M0.93%−13,328−1.6%Reduced
Q3 2023826,761$58.79M0.92%−28,693−3.4%Reduced
Q2 2023855,454$65.9M1.00%−5,005−0.6%Reduced
Q1 2023860,459$64.66M1.05%−31,295−3.5%Reduced
Q4 2022891,754$70.26M1.21%−44,570−4.8%Reduced
Q3 2022936,324$65.78M1.21%−23,731−2.5%Reduced
Q2 2022960,055$76.94M1.33%−52,107−5.1%Reduced
Q1 20221,012,162$76.75M1.09%−60,134−5.6%Reduced
Q4 20211,072,296$91.51M1.27%−3,040−0.3%Reduced
Q3 20211,075,336$81.27M1.28%−2,232−0.2%Reduced
Q2 20211,077,568$87.66M1.40%−4,944−0.5%Reduced
Q1 20211,082,512$85.33M1.48%+1,082,512New