CLPS Inc - COM (CLPS) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2018 to Q4 2025

Type / Class
Equity / COM
Symbol
CLPS on Nasdaq
Price per share
$0.80
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
15,830
Total reported value
$16,141
% of total 13F portfolios
0%
Share change
+5
Value change
+$5
Number of holders
4
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 4 institutional investors reported holding 15,830 shares of CLPS Inc - COM (CLPS).

Institutional Holders of CLPS Inc - COM (CLPS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 444 $356 +$180 $0.80 2
2025 Q3 15,830 $16,141 +$5 $1.02 4
2025 Q2 15,825 $14,717 -$26,488 $0.93 4
2025 Q1 41,177 $47,480 -$97,749 $1.15 5
2024 Q4 126,099 $145,812 +$120,010 $1.16 6
2024 Q3 21,926 $30,762 -$118,681 $1.40 5
2024 Q2 106,493 $93,918 +$65,813 $0.88 4
2024 Q1 31,801 $33,820 -$30,317 $1.06 4
2023 Q4 60,804 $63,554 -$3,236 $1.04 5
2023 Q3 63,914 $64,645 +$12,733 $1.00 5
2023 Q2 50,067 $58,703 +$1,088 $1.17 6
2023 Q1 48,989 $55,281 -$13,558 $1.14 4
2022 Q4 61,044 $68,877 -$5,856 $1.12 4
2022 Q3 64,481 $85,000 +$29,726 $1.32 5
2022 Q2 39,866 $62,000 +$14,193 $1.54 5
2022 Q1 25,859 $57,000 -$259,601 $2.17 4
2021 Q4 160,014 $313,000 -$318,165 $1.96 5
2021 Q3 264,399 $763,000 +$16,300 $2.89 8
2021 Q2 254,069 $1,093,000 +$417,810 $4.30 6
2021 Q1 150,291 $761,000 -$213,732 $5.05 5
2020 Q4 292,191 $888,000 +$633,510 $3.04 8
2020 Q3 88,007 $241,000 +$63,557 $2.71 7
2020 Q2 64,778 $139,000 +$134,999 $2.11 6
2020 Q1 2,000 $4,000 -$1,562,004 $2.00 1
2019 Q4 313,712 $1,572,000 +$162,403 $5.01 4
2019 Q3 280,719 $1,426,000 +$672,104 $5.08 5
2019 Q2 143,492 $810,000 +$256,425 $5.64 5
2019 Q1 87,971 $900,000 +$68,282 $10.28 5
2018 Q4 93,992 $227,000 -$4,509 $2.42 7
2018 Q3 91,032 $986,000 +$325,885 $10.78 6
2018 Q2 53,712 $694,000 +$694,000 $12.92 7