Colgate-Palmolive logo

Colgate-Palmolive

CLNYSE

Colgate-Palmolive is a household & personal products company in the consumer defensive sector on NYSE, led by Noel R. Wallace, with a market cap of $63.1B. As of Q3 2025, 82% of shares are held by 1,781 institutional investors, with VANGUARD GROUP INC as the largest holder at 10.26%.

Chief Executive OfficerNoel R. Wallace
Market Cap$63.1B
Household & Personal Products
Consumer Defensive
Employees34.0K
Country
United States of America

Overview

Overview of institutional ownership in CL as of Q3 2025 with a market cap of $64.6B

All Institutions

Institutions
1,781
Value Held
$53.1B
Shares Held
663.9M
Avg Position
$29.8M
Median Position
$800.5K

Hedge Funds

Hedge Funds
77
Value Held
$1.7B
Shares Held
21.1M
Avg Position
$21.9M
Median Position
$2.6M

Ownership Breakdown

Institutional (non-HF): 79.50%Institutional (non-HF)Hedge Funds: 2.61%Retail & Other: 17.88%Retail & Other
Institutional (non-HF)
79.5%
$51.4B
Hedge Funds
2.61%
$1.7B
Retail & Other
17.88%
$11.6B

Based on market cap of $64.6B as of Q3 2025. Institutional (non-HF) excludes hedge funds to avoid double counting.

Biggest Investors

Institutions with the largest positions in CL as of Q3 2025

InstitutionPosition Value
$6.6B
0.10% of portfolio
B
BlackRock, Inc.
Institution
$5.5B
0.10% of portfolio
$3.9B
0.14% of portfolio
$2.6B
0.28% of portfolio
$1.7B
0.11% of portfolio
MORGAN STANLEY logo
MORGAN STANLEY
RIA/Wealth
$1.5B
0.09% of portfolio
GQG Partners LLC logo
GQG Partners LLC
Long Only Manager
$908.6M
1.40% of portfolio
$840.6M
0.15% of portfolio
$719.1M
0.09% of portfolio
Invesco Ltd. logo
Invesco Ltd.
ETF Provider
$676.9M
0.11% of portfolio

Net Capital Flow

Institutional buying and selling activity for CL in Q3 2025

Traded
+$231.8M
Buyers
689
Sellers
914
Total Bought
+$3.5B
Total Sold
$3.2B
Avg Position
$27.0M

Biggest Buyers

InstitutionNet Bought
+$304.9M
+3.8M shares
+$208.8M
+2.6M shares
+$205.7M
+2.6M shares
A
Amundi
Institution
+$143.3M
+1.9M shares
TWO SIGMA INVESTMENTS LLC logo
TWO SIGMA INVESTMENTS LLC
Hedge FundMulti-Strategy
+$133.1M
+1.7M shares
UBS Group AG logo
UBS Group AG
Institution
+$119.4M
+1.5M shares
S
Swedbank AB
Institution
+$117.5M
+1.5M shares
+$106.5M
+1.3M shares
TWO SIGMA ADVISERS, LLC logo
TWO SIGMA ADVISERS, LLC
Hedge FundMulti-Strategy
+$102.5M
+1.3M shares
CITADEL ADVISORS LLC logo
CITADEL ADVISORS LLC
Hedge FundMulti-Strategy
+$100.0M
+1.3M shares

Biggest Sellers

InstitutionNet Sold
$336.2M
4.2M shares
$311.9M
3.9M shares
GQG Partners LLC logo
GQG Partners LLC
Long Only Manager
$228.8M
2.9M shares
MORGAN STANLEY logo
MORGAN STANLEY
RIA/Wealth
$139.2M
1.7M shares
$126.7M
1.6M shares
BALYASNY ASSET MANAGEMENT LLC logo
BALYASNY ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
$108.5M
1.2M shares
A
AXA
Institution
$101.4M
1.1M shares
$94.7M
1.2M shares
$90.1M
1.1M shares
$86.6M
1.1M shares

Entry and Exit Activity

Institutions that initiated new positions or completely exited CL in Q3 2025

New Positions
38
New Value
$14.0M
Exited Positions
181
Exited Value
$420.0M

New Positions

InstitutionPosition Value
A
AMIRAL GESTION
Institution
$1.7M
21.0K shares
$1.6M
20.2K shares
$1.5M
18.3K shares
D
Delta Global Management LP
Hedge FundMarket Neutral
$1.2M
14.6K shares
$967.5K
12.1K shares
T
TEMA ETFS LLC
Institution
$947.8K
11.9K shares
$583.5K
7.3K shares
$556.3K
7.0K shares
$552.5K
6.9K shares
$535.9K
6.7K shares

Exited Positions

InstitutionPrevious Position
BALYASNY ASSET MANAGEMENT LLC logo
BALYASNY ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
$108.5M
1.2M shares
A
AXA
Institution
$101.4M
1.1M shares
$62.4M
686.1K shares
Point72 Europe  LLP logo
Point72 Europe LLP
Digital Asset Manager
$21.8M
239.9K shares
Hudson Bay Capital Management LP logo
Hudson Bay Capital Management LP
Hedge FundMulti-Strategy
$9.6M
105.7K shares
$8.1M
88.7K shares
$6.3M
69.4K shares
Night Squared LP logo
Night Squared LP
Hedge FundLong/Short
$6.1M
67.7K shares
$5.2M
57.7K shares
$5.2M
56.9K shares

Options Activity

Institutions with the largest Call and Put options positions in CL as of Q3 2025

Call Positions
32
Call Value
$230.4M
Put Positions
30
Put Value
$263.5M

Call Positions

InstitutionPosition Value
$41.9M
5.2K contracts
CAPITAL FUND MANAGEMENT S.A. logo
CAPITAL FUND MANAGEMENT S.A.
Hedge FundQuant Macro
$41.0M
5.1K contracts
CITADEL ADVISORS LLC logo
CITADEL ADVISORS LLC
Hedge FundMulti-Strategy
$30.2M
3.8K contracts
S
Squarepoint Ops LLC
Hedge FundQuant
$21.5M
2.7K contracts
$17.0M
2.1K contracts
$11.0M
1.4K contracts
D
Delta Accumulation, LLC
Hedge FundVol Arbitrage
$10.7M
1.0K contracts
MILLENNIUM MANAGEMENT LLC logo
MILLENNIUM MANAGEMENT LLC
Hedge FundMulti-Strategy
$8.1M
1.0K contracts
TUDOR INVESTMENT CORP ET AL logo
TUDOR INVESTMENT CORP ET AL
Hedge FundMulti-Strategy
$7.5M
936.0 contracts
$5.6M
706.0 contracts

Put Positions

InstitutionPosition Value
$84.5M
10.6K contracts
CITADEL ADVISORS LLC logo
CITADEL ADVISORS LLC
Hedge FundMulti-Strategy
$61.1M
7.6K contracts
CAPITAL FUND MANAGEMENT S.A. logo
CAPITAL FUND MANAGEMENT S.A.
Hedge FundQuant Macro
$27.6M
3.4K contracts
$20.6M
2.6K contracts
$13.2M
1.7K contracts
UBS Group AG logo
UBS Group AG
Institution
$12.2M
1.5K contracts
$8.9M
1.1K contracts
$5.4M
675.0 contracts
Verition Fund Management LLC logo
Verition Fund Management LLC
Hedge FundMulti-Strategy
$4.1M
517.0 contracts
CAPSTONE INVESTMENT ADVISORS, LLC logo
CAPSTONE INVESTMENT ADVISORS, LLC
Hedge FundMulti-Strategy
$3.9M
484.0 contracts

Most Committed Institutions

Institutions with CL as the highest % of their portfolio as of Q3 2025

InstitutionPortfolio Weight
6.51%
$281.0M
4.77%
$8.8M
3.78%
$20.5M
B
Baypointe Partners LLC
Hedge FundLong/Short
3.65%
$8.0M
3.61%
$20.3M
3.32%
$338.2M
3.07%
$645.7M
2.97%
$61.2M
2.37%
$17.8M
AMI ASSET MANAGEMENT CORP logo
AMI ASSET MANAGEMENT CORP
Long Only Manager
2.31%
$41.4M

Hedge Fund Spotlight

Discover hedge funds investing in CL

Kinneret Advisory, LLC logo
Kinneret Advisory, LLC
Hedge FundMulti-Strategy
Portfolio ManagerMony "Nmn" Rueven
Portfolio Value
$1.2B
Positions
235
Last Reported
Q3 2025
AddressNew York, NY
Sector Allocation
Technology: 36.30%TechnologyFinancial Services: 17.90%Financial ServicesHealthcare: 13.00%HealthcareCommunication Services: 9.60%Communication ServicesConsumer Cyclical: 8.20%Industrials: 6.00%Consumer Defensive: 4.90%Real Estate: 2.00%Basic Materials: 1.70%Utilities: 0.30%Energy: 0.10%
Colgate-Palmolive logo

Position in Colgate-Palmolive

Market Value
$1.4M
Shares Held
17.0K
Portfolio Weight
0.12%
Owned Since
2018-Q4
Top HoldingSectorMarket ValueWeight
1
Nvidia logo
Nvidia
NVDA
Semiconductors
Technology
$115.0M9.78%
Software - Infrastructure
Technology
$94.1M8.00%
Internet Content & Information
Communication Services
$53.9M4.59%

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