Christopher Davis - Davis Selected Advisers
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    112
Portfolio value:    $21,781,443,023
Holdings Activity Buys Sells    History
Holding/activity history for  Colgate-Palmolive (CL)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2016   Q2 0 0.00 Sell 100.00% 0.04 SEC
2016   Q1 118,075 0.04 Reduce 35.85% 0.02 $70.65 $8,342,000 SEC
2015   Q4 184,048 0.05 Add 1.11% <0.01 $66.62 $12,261,000 SEC
2015   Q3 182,023 0.05 Reduce 1.60% <0.01 $63.46 $11,551,000 SEC
2015   Q2 184,979 0.04 Reduce 1.13% <0.01 $65.41 $12,099,000 SEC
2015   Q1 187,097 0.05 Reduce 3.10% <0.01 $69.34 $12,973,000 SEC
2014   Q4 193,077 0.05 Reduce 3.83% <0.01 $69.19 $13,359,000 SEC
2014   Q3 200,761 0.04 Add 3.66% <0.01 $65.23 $13,096,000 SEC
2014   Q2 193,664 0.04 Add 0.58% <0.01 $68.19 $13,205,000 SEC
2014   Q1 192,539 0.04 Add 2.86% <0.01 $64.87 $12,490,000 SEC
2013   Q4 187,187 0.03 Add 8.55% <0.01 $65.21 $12,206,000 SEC
2013   Q3 172,451 0.03 Add 741.51% 0.03 $59.30 $10,226,000 SEC
2013   Q2 20,493 <0.01 Buy <0.01 $57.29 $1,174,000 SEC
2010   Q4 0 0.00 Sell 100.00% <0.01 SEC
2010   Q3 5,612 <0.01 Buy <0.01 $76.80 $431,000 SEC