COLGATE PALMOLIVE CO - Common Stock (CL)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CL on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
818M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
667M
Holdings value
$53.3B
% of all portfolios
0.033%
Grand Portfolio weight change
-0.001%
Number of holders
1812
Number of buys
691
Number of sells
-923
Average Value change %
0%
Average buys %
+0.005%
Average sells %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of COLGATE PALMOLIVE CO - Common Stock (CL)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10.05% $7.72B 82.2M The Vanguard Group 31 Jan 2025

Institutional Holders of COLGATE PALMOLIVE CO - Common Stock (CL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 667M $53.3B -$850M $79.94 1,812
2025 Q2 675M $61.3B +$558M $90.90 1,890
2025 Q1 671M $62.9B -$603M $93.70 1,919
2024 Q4 676M $61.5B -$21.5M $90.91 1,916
2024 Q3 671M $69.6B -$49.6M $103.81 1,895
2024 Q2 668M $64.8B -$588M $97.04 1,808
2024 Q1 676M $60.8B +$736M $90.05 1,754
2023 Q4 666M $53.1B -$154M $79.71 1,733
2023 Q3 665M $47.3B +$451M $71.11 1,613
2023 Q2 660M $50.9B -$546M $77.04 1,670
2023 Q1 668M $50.2B +$570M $75.15 1,646
2022 Q4 661M $52.1B +$132M $78.79 1,684
2022 Q3 662M $46.5B -$69.8M $70.25 1,600
2022 Q2 663M $53.1B +$456M $80.14 1,653
2022 Q1 659M $50B -$151M $75.83 1,614
2021 Q4 661M $56.4B +$39.3M $85.34 1,693
2021 Q3 659M $49.8B +$254M $75.58 1,576
2021 Q2 656M $53.3B +$35.1M $81.35 1,624
2021 Q1 655M $51.6B -$945M $78.83 1,600
2020 Q4 667M $57B -$231M $85.51 1,642
2020 Q3 671M $51.7B -$71.1M $77.15 1,524
2020 Q2 670M $49.1B +$28M $73.26 1,511
2020 Q1 669M $44.4B +$351M $66.36 1,483
2019 Q4 667M $45.9B -$145M $68.84 1,499
2019 Q3 667M $49B +$455M $73.51 1,436
2019 Q2 661M $47.4B +$1.09B $71.67 1,448
2019 Q1 659M $45.2B +$158M $68.54 1,435
2018 Q4 658M $39.1B +$10M $59.52 1,421
2018 Q3 656M $43.8B +$86.1M $66.95 1,386
2018 Q2 658M $42.6B +$459M $64.81 1,409
2018 Q1 649M $46.4B -$344K $71.68 1,430
2017 Q4 650M $48.9B -$428M $75.45 1,469
2017 Q3 651M $47.4B -$12.2M $72.85 1,350
2017 Q2 654M $48.5B -$137M $74.13 1,365
2017 Q1 657M $48.1B +$3.98B $73.19 1,362
2016 Q4 652M $42.6B -$432M $65.44 1,353
2016 Q3 652M $48.3B -$294M $74.14 1,293
2016 Q2 656M $48B -$435M $73.20 1,277
2016 Q1 662M $46.8B -$365M $70.65 1,255
2015 Q4 668M $44.5B -$235M $66.62 1,247
2015 Q3 669M $42.5B +$637M $63.46 1,209
2015 Q2 658M $43B -$322M $65.41 1,223
2015 Q1 665M $46.1B -$155M $69.34 1,216
2014 Q4 668M $46.2B +$512M $69.19 1,234
2014 Q3 651M $42.4B -$645M $65.22 1,181
2014 Q2 660M $45B +$239M $68.18 1,185
2014 Q1 659M $42.7B +$91.1M $64.87 1,164