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Colgate-Palmolive Company shares owned by Chevy Chase Trust Holdings

Quarter-by-quarter ownership of Colgate-Palmolive Company (CL) shares owned by Chevy Chase Trust Holdings from 13F filings

Historical chart of Chevy Chase Trust Holdings investment in Colgate-Palmolive Company

Tip: Access up to 7 years of quarterly data

All positions including Colgate-Palmolive Company held by Chevy Chase Trust Holdings consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Colgate-Palmolive Company by Chevy Chase Trust Holdings

Quarter filed Position value Share count Share price at filing
2024-03-31 $42M 464k 90.05
2023-12-31 $37M 470k 79.71
2023-09-30 $34M 475k 71.11
2023-06-30 $38M 488k 77.04
2023-03-31 $1.1M 15k 75.15
2022-12-31 $39M 493k 78.79
2022-09-30 $37M 522k 70.25
2022-06-30 $42M 519k 80.14
2022-03-31 $40M 521k 75.80
2021-12-31 $44M 520k 85.34
2021-09-30 $40M 533k 75.60
2021-06-30 $45M 554k 81.35
2021-03-31 $46M 587k 78.83
2020-12-31 $54M 633k 85.54
2020-09-30 $50M 653k 77.17
2020-06-30 $52M 706k 73.26
2020-03-31 $49M 744k 66.35
2019-12-31 $51M 734k 68.84
2019-09-30 $54M 736k 73.51
2019-06-30 $53M 738k 71.67
2019-03-31 $51M 739k 68.56
2018-12-31 $44M 736k 59.52
2018-09-30 $49M 737k 66.95
2018-06-30 $49M 761k 64.81
2018-03-31 $55M 768k 71.68
2017-12-31 $60M 788k 75.47
2017-09-30 $58M 795k 72.85
2017-06-30 $59M 792k 74.44
2017-03-31 $58M 791k 73.19
2016-12-31 $51M 773k 65.44
2016-09-30 $58M 777k 74.17
2016-06-30 $58M 796k 73.20
2016-03-31 $56M 792k 70.69
2015-12-31 $53M 791k 66.65
2015-09-30 $50M 791k 63.45
2015-06-30 $49M 749k 65.42
2015-03-31 $52M 756k 69.32
2014-12-31 $57M 829k 69.23
2014-09-30 $57M 868k 65.20
2014-06-30 $58M 852k 68.17
2014-03-31 $56M 866k 64.84
2013-12-31 $56M 853k 65.19
2013-09-30 $49M 824k 59.30
2013-06-30 $934k 16k 57.28
2013-03-31 $47M 400k 118.00
2012-12-31 $41M 396k 104.44
2012-09-30 $39M 363k 107.20
2012-06-30 $38M 367k 104.09
2012-03-31 $34M 350k 97.80
2011-12-31 $30M 327k 92.41
2011-09-30 $30M 342k 88.68
2011-06-30 $30M 344k 87.42
2011-03-31 $26M 320k 80.76
2010-12-31 $42M 516k 80.37