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Kimberly-Clark Corporation shares owned by AQR Capital Management

Quarter-by-quarter ownership of Kimberly-Clark Corporation (KMB) shares owned by AQR Capital Management from 13F filings

Historical chart of AQR Capital Management investment in Kimberly-Clark Corporation

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All positions including Kimberly-Clark Corporation held by AQR Capital Management consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Kimberly-Clark Corporation by AQR Capital Management

Quarter filed Position value Share count Share price at filing
2023-12-31 $132M 1.1M 120.81
2023-09-30 $76M 626k 120.82
2023-06-30 $89M 647k 137.49
2023-03-31 $63M 471k 133.94
2022-12-31 $63M 461k 135.75
2022-09-30 $45M 397k 112.27
2022-06-30 $48M 356k 133.91
2022-03-31 $36M 294k 123.16
2021-12-31 $29M 207k 141.94
2021-09-30 $42M 317k 132.32
2021-06-30 $60M 449k 133.78
2021-03-31 $139M 1000k 138.67
2020-12-31 $193M 1.4M 134.11
2020-09-30 $245M 1.7M 146.92
2020-06-30 $283M 2.0M 140.21
2020-03-31 $305M 2.4M 127.87
2019-12-31 $295M 2.2M 136.67
2019-09-30 $332M 2.3M 142.03
2019-06-30 $237M 1.8M 133.28
2019-03-31 $121M 976k 123.90
2018-12-31 $54M 477k 113.94
2018-09-30 $13M 121k 105.34
2018-06-30 $13M 121k 105.34
2018-03-31 $17M 157k 110.13
2017-12-31 $21M 172k 120.66
2017-09-30 $51M 437k 117.68
2017-06-30 $114M 882k 129.11
2017-03-31 $121M 919k 131.63
2016-12-31 $190M 1.7M 114.12
2016-09-30 $258M 2.0M 126.15
2016-06-30 $268M 2.0M 137.48
2016-03-31 $272M 2.0M 134.51
2015-12-31 $249M 2.0M 127.30
2015-09-30 $234M 2.1M 109.04
2015-06-30 $223M 2.1M 105.97
2015-03-31 $223M 2.1M 107.11
2014-12-31 $227M 2.0M 115.54
2014-09-30 $170M 1.6M 107.57
2014-06-30 $169M 1.5M 111.22
2014-03-31 $172M 1.6M 110.25
2013-12-31 $155M 1.5M 104.46
2013-09-30 $133M 1.4M 94.22
2013-06-30 $141M 1.5M 97.14
2013-03-31 $108M 1.1M 97.98
2012-12-31 $105M 1.2M 84.43
2012-09-30 $111M 1.3M 85.78
2012-06-30 $94M 1.1M 83.77
2012-03-31 $79M 1.1M 73.89
2011-12-31 $60M 814k 73.56
2011-09-30 $53M 746k 71.01
2011-06-30 $44M 656k 66.56
2011-03-31 $31M 476k 65.27
2010-12-31 $32M 510k 63.04