CALERES INC - COMMON STOCK (CAL)

Historical Holders from Q2 2015 to Q3 2025

Symbol
CAL on NYSE
CUSIP
129500104
Type / Class
Equity / COMMON STOCK
Shares outstanding
34.1M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
34.2M
Holdings value
$418M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
186
Number of buys
93
Number of sells
-91
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CALERES INC - COMMON STOCK (CAL)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 15.9% -8.24% $86.9M -$7.37M 5.35M -7.81% BlackRock, Inc. Mar 31, 2025
FMR LLC 14.4% +85% $79.8M $38.2M 4.91M +91.9% FMR LLC Apr 30, 2025
VANGUARD GROUP INC 7.41% $40.5M 2.49M The Vanguard Group Mar 31, 2025
PRINCIPAL GLOBAL INVESTORS 4.9% $26.5M 1.63M PRINCIPAL GLOBAL INVESTORS Mar 31, 2025

Institutional Holders of CALERES INC - COMMON STOCK (CAL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 5.97K $77.8K -$12.2K $13.04 1
2025 Q2 34.2M $418M +$1.73M $12.22 186
2025 Q1 33.5M $577M +$31.4M $17.23 183
2024 Q4 31.4M $727M -$76.2M $23.16 198
2024 Q3 32.3M $1.07B -$17.4M $33.05 202
2024 Q2 32.7M $1.1B -$44M $33.60 208
2024 Q1 33.5M $1.37B +$42.6M $41.03 195
2023 Q4 964K $29.6M +$1.09M $30.73 3
2023 Q3 31.8M $915M -$3.67M $28.76 173
2023 Q2 32.1M $767M +$8.81M $23.93 162
2023 Q1 31.5M $681M -$7.19M $21.63 164
2022 Q4 31.9M $710M +$12M $22.28 195
2022 Q3 31.1M $754M -$10.6M $24.22 204
2022 Q2 31.5M $826M -$7.41M $26.24 198
2022 Q1 32.3M $626M +$21.9M $19.33 181
2021 Q4 31M $703M -$11.8M $22.68 191
2021 Q3 31.4M $698M -$5.6M $22.22 168
2021 Q2 31.9M $871M +$34.4M $27.29 169
2021 Q1 30.8M $670M +$35.9M $21.80 155
2020 Q4 29.3M $460M +$5.38M $15.65 141
2020 Q3 29.7M $284M -$21M $9.56 146
2020 Q2 31.4M $262M -$27.8M $8.34 128
2020 Q1 36.6M $191M -$66.9M $5.20 131
2019 Q4 39.6M $941M -$17M $23.75 159
2019 Q3 40.2M $941M +$22.7M $23.41 168
2019 Q2 39.6M $789M -$6.64M $19.92 154
2019 Q1 41.1M $1.01B +$42.9M $24.69 168
2018 Q4 38.7M $1.08B -$27.9M $27.83 176
2018 Q3 40.1M $1.44B +$11M $35.86 190
2018 Q2 39.6M $1.36B +$85M $34.39 190
2018 Q1 38.9M $1.31B +$11.5M $33.60 186
2017 Q4 38.1M $1.28B +$10.4M $33.48 168
2017 Q3 38.2M $1.17B +$11.6M $30.52 173
2017 Q2 38.2M $1.06B +$19.6M $27.78 155
2017 Q1 37.6M $994M +$146M $26.42 166
2016 Q4 36.6M $1.2B -$3.55M $32.82 195
2016 Q3 37M $934M +$2.36M $25.29 166
2016 Q2 37.2M $902M -$17.5M $24.21 186
2016 Q1 37.7M $1.07B -$11.3M $28.29 183
2015 Q4 38M $1.02B -$7.61M $26.82 194
2015 Q3 38.2M $1.17B +$21.7M $30.53 181
2015 Q2 36.5M $1.16B +$1.16B $31.78 178