Portfolio Holdings Detail for ISIN IE00BZ0PKS76
Stock Name / FundiShares Edge MSCI USA Multifactor UCITS
IssuerBlackrock
Entity holding fund iShares IV Public Limited Company
Entity TypeUmbrella investment company with variable capital and having segregated liability between its funds
Entity LEI 549300ZP07LMR36K1T02
ETF TickerFSUS(GBX) LSE
ETF TickerIBCY(EUR) F
ETF TickerIBCY.DE(EUR) CXE
ETF TickerIFSU.MI(EUR) CXE
ETF TickerIFSU(EUR) ETF Plus
ETF TickerFSUS.L(GBP) LSE

Holdings detail for CL

Stock NameColgate-Palmolive Company
TickerCL(USD) NYSE
TYPECommon Stock
CountryUSA
ISINUS1941621039
LEIYMEGZFW4SBUSS5BQXF88

Show aggregate CL holdings

News associated with CL

Stocks Finish Higher on Benign CPI and Strength in Tech
The S&P 500 Index ($SPX ) (SPY ) Wednesday closed up +0.49%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.20%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed up +1.13%. March E-mini S&P futures (ESH25 ) are up +0.39%, and March E-mini Nasdaq futures... - 2025-03-13 11:24:56
Stocks Finish Higher on Benign CPI and Strength in Tech
The S&P 500 Index ($SPX ) (SPY ) Wednesday closed up +0.49%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.20%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed up +1.13%. March E-mini S&P futures (ESH25 ) are up +0.39%, and March E-mini Nasdaq futures... - 2025-03-13 10:37:31
Stocks Finish Higher on Benign CPI and Strength in Tech
The S&P 500 Index ($SPX ) (SPY ) Wednesday closed up +0.49%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.20%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed up +1.13%. March E-mini S&P futures (ESH25 ) are up +0.39%, and March E-mini Nasdaq futures... - 2025-03-13 10:13:40
Stocks Finish Higher on Benign CPI and Strength in Tech
The S&P 500 Index ($SPX ) (SPY ) Wednesday closed up +0.49%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.20%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed up +1.13%. March E-mini S&P futures (ESH25 ) are up +0.39%, and March E-mini Nasdaq futures... - 2025-03-13 08:47:55
Stocks Finish Higher on Benign CPI and Strength in Tech
The S&P 500 Index ($SPX ) (SPY ) Wednesday closed up +0.49%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.20%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed up +1.13%. March E-mini S&P futures (ESH25 ) are up +0.39%, and March E-mini Nasdaq futures... - 2025-03-13 07:48:30
Stocks Finish Higher on Benign CPI and Strength in Tech
The S&P 500 Index ($SPX ) (SPY ) Wednesday closed up +0.49%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.20%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed up +1.13%. March E-mini S&P futures (ESH25 ) are up +0.39%, and March E-mini Nasdaq futures... - 2025-03-13 06:04:26
XLP, PM, CL, TGT: ETF Inflow Alert
Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel, one standout is the The Consumer Staples Select Sector SPDR Fund (Symbol: XLP) where we have detected an approximate $370.7 million dollar inflow -- that's a 2.3% increa - 2025-03-12 14:50:50
Congressmember Shelley Moore Capito's New Portfolio Holdings
Quiver's Shelley Moore Capito Strategy is an automated trading strategy that tracks the performance of stocks that are being held by U.S. Congressmember Shelley Moore Capito (or their family).This strategy is rebalanced when new trades or annual reports are reported. The strategy - 2025-03-07 20:00:07
Analysts Set Colgate-Palmolive (NYSE:CL) Price Target at $101.61
Colgate-Palmolive (NYSE:CL – Get Free Report) has been assigned an average rating of “Hold” from the twenty-one analysts that are currently covering the stock, MarketBeat Ratings reports. One research analyst has rated the stock with a sell recommendation, nine have assigned a hold recommendation and eleven have given a buy recommendation to the company. The […] - 2025-03-06 06:45:28
Colgate-Palmolive (NYSE:CL) Shares Sold by Sigma Planning Corp
Sigma Planning Corp cut its position in Colgate-Palmolive (NYSE:CL – Free Report) by 14.0% during the 4th quarter, according to the company in its most recent filing with the Securities & Exchange Commission. The fund owned 5,956 shares of the company’s stock after selling 969 shares during the quarter. Sigma Planning Corp’s holdings in Colgate-Palmolive […] - 2025-02-27 09:05:06
Van ECK Associates Corp Decreases Stock Position in Colgate-Palmolive (NYSE:CL)
Van ECK Associates Corp cut its holdings in Colgate-Palmolive (NYSE:CL – Free Report) by 96.0% during the 4th quarter, Holdings Channel.com reports. The institutional investor owned 1,466 shares of the company’s stock after selling 35,344 shares during the quarter. Van ECK Associates Corp’s holdings in Colgate-Palmolive were worth $133,000 at the end of the most […] - 2025-02-24 08:22:50
Colgate-Palmolive (NYSE:CL) Short Interest Down 5.2% in January
Colgate-Palmolive (NYSE:CL – Get Free Report) was the recipient of a large decline in short interest in the month of January. As of January 31st, there was short interest totalling 9,560,000 shares, a decline of 5.2% from the January 15th total of 10,080,000 shares. Based on an average daily volume of 4,750,000 shares, the short-interest […] - 2025-02-19 08:59:34
Congressmember Shelley Moore Capito's New Portfolio Holdings
Quiver's Shelley Moore Capito Strategy is an automated trading strategy that tracks the performance of stocks that are being held by U.S. Congressmember Shelley Moore Capito (or their family).This strategy is rebalanced when new trades or annual reports are reported. The strategy - 2025-02-14 20:00:07
See Which Of The Latest 13F Filers Holds Colgate-Palmolive
At Holdings Channel, we have reviewed the latest batch of the 27 most recent 13F filings for the 12/31/2024 reporting period, and noticed that Colgate-Palmolive Co. (Symbol: CL) was held by 13 of these funds. When hedge fund managers appear to be thinking alike, we find it is a - 2025-02-10 14:49:01
Fund Update: AMF Tjanstepension AB Just Disclosed New Holdings
AMF Tjanstepension AB just filed a portfolio update, which we received from a 13F disclosure. This disclosure reflects the funds' holdings for the 12-31-2024 report period. You can see the full portfolio on Quiver Quantitative, and track moves made by other funds. - 2025-02-07 14:12:09
Sum Up The Parts: MGV Could Be Worth $146
Looking at the underlying holdings of the ETFs in our coverage universe at ETF Channel, we have compared the trading price of each holding against the average analyst 12-month forward target price, and computed the weighted average implied analyst target price for the ETF itself. - 2025-02-06 11:53:44
UBS Group Cuts Colgate-Palmolive (NYSE:CL) Price Target to $100.00
Colgate-Palmolive (NYSE:CL – Free Report) had its price target trimmed by UBS Group from $104.00 to $100.00 in a research note issued to investors on Monday,Benzinga reports. The brokerage currently has a buy rating on the stock. CL has been the topic of several other reports. Wells Fargo & Company dropped their price objective on […] - 2025-02-06 08:40:51
JPMorgan Chase & Co. Lowers Colgate-Palmolive (NYSE:CL) Price Target to $97.00
Colgate-Palmolive (NYSE:CL – Free Report) had its price objective reduced by JPMorgan Chase & Co. from $103.00 to $97.00 in a report published on Monday morning,Benzinga reports. JPMorgan Chase & Co. currently has an overweight rating on the stock. CL has been the topic of several other research reports. Piper Sandler lowered their price target […] - 2025-02-06 08:40:50
Stifel Nicolaus Has Lowered Expectations for Colgate-Palmolive (NYSE:CL) Stock Price
Colgate-Palmolive (NYSE:CL – Free Report) had its target price lowered by Stifel Nicolaus from $95.00 to $93.00 in a report issued on Monday morning,Benzinga reports. The brokerage currently has a hold rating on the stock. A number of other research firms also recently weighed in on CL. JPMorgan Chase & Co. decreased their price target […] - 2025-02-06 08:40:49
Do Wall Street Analysts Like Colgate-Palmolive Stock?
Although Colgate-Palmolive has lagged behind the broader market over the past 52 weeks, Wall Street analysts remain moderately optimistic about the stock's prospects. - 2025-02-05 16:39:22
Do Wall Street Analysts Like Colgate-Palmolive Stock?
Although Colgate-Palmolive has lagged behind the broader market over the past 52 weeks, Wall Street analysts remain moderately optimistic about the stock's prospects. - 2025-02-05 14:25:25
Do Wall Street Analysts Like Colgate-Palmolive Stock?
Although Colgate-Palmolive has lagged behind the broader market over the past 52 weeks, Wall Street analysts remain moderately optimistic about the stock's prospects. - 2025-02-05 12:35:47
Colgate-Palmolive (NYSE:CL) Earns Outperform Rating from Raymond James
Colgate-Palmolive (NYSE:CL – Get Free Report)‘s stock had its “outperform” rating reaffirmed by research analysts at Raymond James in a note issued to investors on Monday,Benzinga reports. They presently have a $105.00 price objective on the stock, down from their previous price objective of $110.00. Raymond James’ price objective would suggest a potential upside of […] - 2025-02-05 06:20:54
Colgate-Palmolive (NYSE:CL) Price Target Lowered to $104.00 at Morgan Stanley
Colgate-Palmolive (NYSE:CL – Free Report) had its price target cut by Morgan Stanley from $111.00 to $104.00 in a research note published on Monday,Benzinga reports. They currently have an overweight rating on the stock. Several other brokerages have also commented on CL. StockNews.com lowered Colgate-Palmolive from a “buy” rating to a “hold” rating in a […] - 2025-02-04 08:40:53
After-Hours Earnings Report for February 3, 2025 : PLTR, NXPI, WWD, RMBS, JJSF, CSWC, SNCY, FLXS, ACM, BRBR, CBT, CLX
The following companies are expected to report earnings after hours on 02/03/2025. Visit our Earnings Calendar for a full list of expected earnings releases.Palantir Technologies Inc. (PLTR)is reporting for the quarter ending December 31, 2024. The consensus earnings per share f - 2025-02-03 19:00:01
Stocks Retreat on Tariff Anxiety
The S&P 500 Index ($SPX ) (SPY ) Friday closed down -0.50%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.75%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed down -0.14%. March E-mini S&P futures (ESH25 ) are down by -0.53%, and March E-mini Nasdaq... - 2025-02-03 14:54:37
Stocks Retreat on Tariff Anxiety
The S&P 500 Index ($SPX ) (SPY ) Friday closed down -0.50%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.75%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed down -0.14%. March E-mini S&P futures (ESH25 ) are down by -0.53%, and March E-mini Nasdaq... - 2025-02-03 14:21:10
Stocks Retreat on Tariff Anxiety
The S&P 500 Index ($SPX ) (SPY ) Friday closed down -0.50%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.75%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed down -0.14%. March E-mini S&P futures (ESH25 ) are down by -0.53%, and March E-mini Nasdaq... - 2025-02-03 12:52:57
Stocks Retreat on Tariff Anxiety
The S&P 500 Index ($SPX ) (SPY ) Friday closed down -0.50%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.75%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed down -0.14%. March E-mini S&P futures (ESH25 ) are down by -0.53%, and March E-mini Nasdaq... - 2025-02-03 12:23:28
Stocks Retreat on Tariff Anxiety
The S&P 500 Index ($SPX ) (SPY ) Friday closed down -0.50%, the Dow Jones Industrials Index ($DOWI ) (DIA ) closed down -0.75%, and the Nasdaq 100 Index ($IUXX ) (QQQ ) closed down -0.14%. March E-mini S&P futures (ESH25 ) are down by -0.53%, and March E-mini Nasdaq... - 2025-02-03 06:11:06

iShares Edge MSCI USA Multifactor UCITS CL holdings

DateNumber of CL Shares HeldBase Market Value of CL SharesLocal Market Value of CL SharesChange in CL Shares HeldChange in CL Base ValueCurrent Price per CL Share HeldPrevious Price per CL Share Held
2025-03-11 (Tuesday)226USD 21,267CL holding decreased by -768USD 21,2670USD -768 USD 94.1018 USD 97.5
2025-03-10 (Monday)226USD 22,035CL holding increased by 172USD 22,0350USD 172 USD 97.5 USD 96.7389
2025-03-07 (Friday)226USD 21,863CL holding increased by 1127USD 21,8630USD 1,127 USD 96.7389 USD 91.7522
2025-03-05 (Wednesday)226USD 20,736CL holding increased by 156USD 20,7360USD 156 USD 91.7522 USD 91.062
2025-03-04 (Tuesday)226USD 20,580CL holding decreased by -395USD 20,5800USD -395 USD 91.062 USD 92.8097
2025-03-03 (Monday)226USD 20,975CL holding increased by 371USD 20,9750USD 371 USD 92.8097 USD 91.1681
2025-02-28 (Friday)226USD 20,604CL holding increased by 219USD 20,6040USD 219 USD 91.1681 USD 90.1991
2025-02-27 (Thursday)226USD 20,385CL holding increased by 7USD 20,3850USD 7 USD 90.1991 USD 90.1681
2025-02-26 (Wednesday)226USD 20,378CL holding decreased by -480USD 20,3780USD -480 USD 90.1681 USD 92.292
2025-02-25 (Tuesday)226USD 20,858CL holding increased by 493USD 20,8580USD 493 USD 92.292 USD 90.1106
2025-02-24 (Monday)226USD 20,365CL holding increased by 145USD 20,3650USD 145 USD 90.1106 USD 89.469
2025-02-21 (Friday)226USD 20,220CL holding increased by 361USD 20,2200USD 361 USD 89.469 USD 87.8717
2025-02-20 (Thursday)226USD 19,859CL holding increased by 102USD 19,8590USD 102 USD 87.8717 USD 87.4204
2025-02-19 (Wednesday)226USD 19,757CL holding increased by 233USD 19,7570USD 233 USD 87.4204 USD 86.3894
2025-02-18 (Tuesday)226USD 19,524CL holding increased by 79USD 19,5240USD 79 USD 86.3894 USD 86.0398
2025-02-17 (Monday)226USD 19,445USD 19,4450USD 0 USD 86.0398 USD 86.0398
2025-02-14 (Friday)226USD 19,445CL holding decreased by -387USD 19,4450USD -387 USD 86.0398 USD 87.7522
2025-02-13 (Thursday)226USD 19,832CL holding increased by 231USD 19,8320USD 231 USD 87.7522 USD 86.7301
2025-02-12 (Wednesday)226USD 19,601CL holding decreased by -145USD 19,6010USD -145 USD 86.7301 USD 87.3717
2025-02-11 (Tuesday)226USD 19,746CL holding increased by 319USD 19,7460USD 319 USD 87.3717 USD 85.9602
2025-02-10 (Monday)226USD 19,427CL holding decreased by -181USD 19,4270USD -181 USD 85.9602 USD 86.7611
2025-02-07 (Friday)226USD 19,608CL holding increased by 244USD 19,6080USD 244 USD 86.7611 USD 85.6814
2025-02-06 (Thursday)226USD 19,364CL holding decreased by -212USD 19,3640USD -212 USD 85.6814 USD 86.6195
2025-02-05 (Wednesday)226USD 19,576CL holding increased by 27USD 19,5760USD 27 USD 86.6195 USD 86.5
2025-02-04 (Tuesday)226USD 19,549CL holding decreased by -120USD 19,5490USD -120 USD 86.5 USD 87.031
2025-02-03 (Monday)226USD 19,669CL holding increased by 75USD 19,6690USD 75 USD 87.031 USD 86.6991
2025-01-31 (Friday)226USD 19,594CL holding decreased by -947USD 19,5940USD -947 USD 86.6991 USD 90.8894
2025-01-30 (Thursday)226USD 20,541CL holding increased by 298USD 20,5410USD 298 USD 90.8894 USD 89.5708
2025-01-29 (Wednesday)226USD 20,243CL holding decreased by -65USD 20,2430USD -65 USD 89.5708 USD 89.8584
2025-01-28 (Tuesday)226USD 20,308CL holding decreased by -305USD 20,3080USD -305 USD 89.8584 USD 91.208
2025-01-27 (Monday)226USD 20,613CL holding increased by 752USD 20,6130USD 752 USD 91.208 USD 87.8805
2025-01-24 (Friday)226USD 19,861CL holding decreased by -7USD 19,8610USD -7 USD 87.8805 USD 87.9115
2025-01-23 (Thursday)226USD 19,868CL holding increased by 82USD 19,8680USD 82 USD 87.9115 USD 87.5487
2025-01-22 (Wednesday)226USD 19,786USD 19,786
2025-01-21 (Tuesday)226USD 19,940USD 19,940
Share price and value of shares held is calculated on the adjusted close price of each day (row). Changes between days reflect the gain/loss of the portfolio as a result of changes in the adjusted close price and changes in the holdings

Share Trades of CL by Blackrock for IE00BZ0PKS76

Show aggregate share trades of CL

DateActionQuantityMarket HighMarket LowLikely Trade PriceLikely Trade Value (Profit/Loss)Average Price previous trades
Market high and low price is on the date.

* (if shown) = market close price used not a projected price. This is used when we do not have market data available to calculate a projection

The likely trade price/value is our estimate on the likely price the trade took place at and is not the actual trade price. The likely LOSS/GAIN is our estimate. Where a profit/loss value is shown in the Likely Trade Value column, this is derived from matching trades between periods eg the most recent previous BUY is matched with the SELL for the same number of shares and the difference between the likely BUY price and likely SELL price is calculated. Where a profit or loss is shown in the Average Price of Previous Trades column, this is dervied using the likely trade price compared to the average of previous trades based on adjusted close

Shorting History of CL

DateShorted VolumeShort Exempt VolumeTotal Shares Traded% Shorted
2025-03-121,571,3889374,025,80639.0%
2025-03-11960,2371231,802,44953.3%
2025-03-101,722,93511,8222,968,72258.0%
2025-03-072,220,6763,2313,675,63060.4%
2025-03-06795,5559711,832,84643.4%
2025-03-05480,0754281,090,50844.0%
2025-03-04986,4158252,067,80847.7%
2025-03-03671,2402271,425,94747.1%
2025-02-28613,4027,3341,197,32351.2%
2025-02-27615,4172,5781,157,86453.2%
2025-02-26696,4563,7831,350,20151.6%
2025-02-25738,9731,1991,845,45740.0%
2025-02-24755,514121,654,26645.7%
2025-02-21644,6678091,603,08440.2%
2025-02-20404,089561,369,26729.5%
2025-02-19493,9686,7191,426,72534.6%
2025-02-18627,9017111,217,87951.6%
2025-02-141,120,5879051,615,45069.4%
2025-02-13752,0731361,516,83349.6%
2025-02-12638,43101,168,33954.6%
2025-02-11504,7888631,379,26336.6%
2025-02-10680,0892791,473,71246.1%
2025-02-07700,7371711,300,51653.9%
2025-02-06692,0813,9071,617,70142.8%
2025-02-05682,9949211,567,83343.6%
2025-02-04803,9432771,479,84654.3%
2025-02-031,294,3187,5112,809,02846.1%
2025-01-312,622,2108744,531,65757.9%
2025-01-301,098,48802,137,93651.4%
2025-01-29621,2623,8911,132,35654.9%
2025-01-28952,9602,0771,738,83454.8%
2025-01-27800,9463,4571,847,34843.4%
2025-01-24840,8062,2762,062,98040.8%
2025-01-23801,0497372,598,09230.8%
2025-01-221,200,9224632,054,90358.4%
2025-01-211,078,2874,8891,779,67460.6%
2025-01-17672,5529291,204,10755.9%
2025-01-16496,3865,1581,038,54047.8%
2025-01-15602,1322,4501,512,82339.8%
2025-01-14506,6292,2241,180,68742.9%
2025-01-13979,8624324,154,30023.6%
2025-01-101,039,9935992,060,59450.5%
2025-01-08610,0041041,726,89935.3%
2025-01-07597,1751,2181,937,95830.8%
2025-01-06845,8111,1442,168,61939.0%

The data here is derived from FINRA daily shorted trade data. The Daily Short Sale Volume is the total volume of short trades that meet certain criteria on each trade date by 6 PM ET on the trade date. The detail trade data is derived from the monthly shorted trade data which will differ in aggregate. The detail trade data is derived from the transaction level data and includes ALL trades (including exempt) and the aggregation period extends beyond 6pm.

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Disclaimer

All information is provided as is without warranty and should be used for indicative purposes only. You should independently check data before making any investment decision. This information is derived from third party sources and we cannot guarantee that their data is current, accurate, complete, free from defects etc and we therefore accept no responsibility for how it may be used. We accept no liability for the reliability or accuracy of the data provided. We are not making recommendations for any financial instruments listed on this website.