COMMERCE BANCSHARES INC /MO/ - $5 Par Value Common Stock (CBSH)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CBSH on Nasdaq
CUSIP
200525103
Type / Class
Equity / $5 Par Value Common Stock
Shares outstanding
133M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
95.1M
Holdings value
$5.91B
% of all portfolios
0.005%
Grand Portfolio weight change
+0%
Number of holders
482
Number of buys
226
Number of sells
-209
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of COMMERCE BANCSHARES INC /MO/ - $5 Par Value Common Stock (CBSH)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10.06% $754M 13.5M The Vanguard Group Mar 31, 2025
Aristotle Capital Management, LLC 4.86% $403M 6.48M Aristotle Capital Management, LLC Jun 30, 2025
STATE STREET CORP 4.8% -10% $359M -$35.8M 6.43M -9.06% STATE STREET CORPORATION Mar 31, 2025

Institutional Holders of COMMERCE BANCSHARES INC /MO/ - $5 Par Value Common Stock (CBSH)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 4.84K $289K -$515K $59.76 2
2025 Q2 95.1M $5.91B +$95.9M $62.17 482
2025 Q1 93.4M $5.81B -$86.8M $62.23 458
2024 Q4 94.7M $5.9B +$371M $62.31 461
2024 Q3 88.6M $5.26B -$142M $59.40 439
2024 Q2 91M $5.08B +$102M $55.78 391
2024 Q1 89.2M $4.75B -$116M $53.20 378
2023 Q4 234K $12.5M +$9.61K $53.41 4
2023 Q3 85.5M $4.1B -$59.3M $47.98 375
2023 Q2 83.4M $4.07B -$9.36M $48.70 382
2023 Q1 86.1M $5.03B +$25.5M $58.35 405
2022 Q4 85.2M $5.8B +$380M $68.07 416
2022 Q3 80.8M $5.35B -$68.6M $66.16 379
2022 Q2 82.8M $5.42B -$43.6M $65.65 379
2022 Q1 83.3M $5.96B +$89.7M $71.59 363
2021 Q4 82.1M $5.64B +$277M $68.74 384
2021 Q3 76.9M $5.36B -$19.8M $69.68 370
2021 Q2 77.2M $5.75B -$93.2M $74.56 380
2021 Q1 77.3M $5.92B +$84.2M $76.61 368
2020 Q4 75.4M $4.95B +$249M $65.70 360
2020 Q3 74.3M $4.18B -$36.6M $56.29 343
2020 Q2 74.8M $4.45B -$82.6M $59.47 343
2020 Q1 76.5M $3.86B -$110M $50.35 333
2019 Q4 78M $5.29B +$203M $67.94 348
2019 Q3 73.9M $4.48B +$58.8M $60.65 327
2019 Q2 72.7M $4.33B +$202M $59.66 340
2019 Q1 70.4M $4.09B -$46.5M $58.06 350
2018 Q4 71M $4B +$206M $56.37 345
2018 Q3 64.2M $4.24B -$145M $66.02 349
2018 Q2 66.7M $4.32B +$31.8M $64.71 325
2018 Q1 73.7M $4.42B +$59.3M $59.91 303
2017 Q4 66.4M $3.71B +$170M $55.84 296
2017 Q3 63.2M $3.65B -$8.85M $57.77 296
2017 Q2 64M $3.64B +$51.2M $56.83 279
2017 Q1 62.6M $3.52B +$472M $56.16 295
2016 Q4 61.3M $3.54B +$77.6M $57.81 300
2016 Q3 59.9M $2.95B +$24.9M $49.26 274
2016 Q2 59.6M $2.85B +$44.9M $47.90 262
2016 Q1 57.7M $2.59B +$21.3M $44.95 253
2015 Q4 58M $2.47B +$85.2M $42.54 262
2015 Q3 55.9M $2.55B -$120M $45.56 251
2015 Q2 58M $2.71B -$87.9M $46.77 243
2015 Q1 60.4M $2.55B +$155M $42.32 228
2014 Q4 56.9M $2.47B +$136M $43.49 240
2014 Q3 53M $2.36B -$30.9M $44.65 227
2014 Q2 54M $2.51B +$2.73M $46.50 234
2014 Q1 53.9M $2.5B +$6.7M $46.42 232