Company Holdings | All | PCH | CLX |
Direct | Indirect Ownership | Total | |
Shares | 35,312 | 31,627 | 66,939 |
Value | $4,392,459.68 | $2,600,270.33 | $6,992,730.01 |
Ticker |
Trans. Date |
Trans. Type |
Shares |
Ownership Type |
Issue Type |
Price |
Trans. Value |
Total Shares Owned |
---|---|---|---|---|---|---|---|---|
PCH | 05/04/2020 | AAP | 6,500 | Indirect | COM | $33.00 | $214,500.00 | 15,841 |
PCH | 02/02/2016 | AAP | 5,000 | Indirect | COM | $28.00 | $140,000.00 | 8,750 |
CLX | 02/01/2013 | DDS | 10,678 | Indirect | COM | $79.24 | $846,124.72 | 15,786 |
CLX | 01/30/2013 | DDS | 600 | Indirect | COM | $79.00 | $47,400.00 | 26,464 |
CLX | 01/22/2013 | DDS | 10,000 | Indirect | COM | $77.01 | $770,063.00 | 27,064 |
CLX | 12/19/2012 | DDS | 10,000 | Indirect | COM | $76.10 | $760,951.00 | 37,064 |
CLX | 07/20/2011 | DDS | 21,122 | Direct | COM | $75.05 | $1,585,149.07 | 35,312 |
CLX | 07/15/2011 | DDS | 600 | Direct | COM | $75.00 | $45,000.00 | 79,398 |
CLX | 07/15/2011 | DDS | 40,607 | Direct | COM | $74.79 | $3,037,172.14 | 38,791 |
CLX | 04/11/2011 | DDS | 18,879 | Direct | COM | $70.11 | $1,323,553.83 | 45,006 |
CLX | 04/08/2011 | DDS | 22,000 | Indirect | COM | $69.07 | $1,519,614.80 | 17,966 |
CLX | 12/11/2009 | DDS | 34,708 | Direct | COM | $63.01 | $2,187,006.61 | 36,362 |
CLX | 07/29/2009 | DDS | 25,000 | Direct | COM | $60.10 | $1,502,552.50 | 21,504 |
CLX | 07/28/2009 | DDS | 22,216 | Direct | COM | $60.02 | $1,333,493.18 | 21,504 |
CLX | 07/28/2009 | DDS | 5,287 | Direct | COM | $60.02 | $317,346.89 | 43,720 |
CLX | 11/05/2008 | DDS | 23,375 | Direct | COM | $61.94 | $1,447,847.50 | 24,216 |
CLX | 11/07/2007 | DDS | 16 | Indirect | COM | $64.00 | $1,024.00 | 34,923 |
CLX | 11/07/2007 | DDS | 23,000 | Direct | COM | $64.00 | $1,472,000.00 | 14,712 |
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Transaction Type Key First letter: A = Acquired, D = Disposed Second letter: A = Grant, award or other acquisition pursuant to Rule 16b-3(d) C = Conversion of derivative security | D = Disposition to the issuer of issuer equity securities pursuant to Rule 16b-3(e) | E = Expiration of short derivative position | F = Payment of exercise price or tax liability by delivering or withholding securities incident to the receipt, exercise or vesting of a security issued in accordance with Rule 16b-3. | G = Gift | H = Expiration (or cancellation) of long derivative position with value received | I = Discretionary transaction in accordance with Rule 16b-3(f) | J = Other | L = Small acquisition under Rule 16a-6 | M = Exercise or conversion of derivative security exempted pursuant to Rule 16b-3 | O = Exercise of out-of-the-money derivative security | P = Open market or private purchase | S = Open market or private sale | U = Disposition pursuant to a tender of shares in a change of control transaction | W = Acquisition or disposition by will or the laws of descent and distribution | X = Exercise of in-the-money or at-the-money derivative security | Z = Deposit into or withdrawal from voting trust |
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