CALERES INC - COM (CAL)

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
33 M
Holdings value Q1 2024
$1.35 B
Value change Q1 2024
+$40.6 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
183
Number of buys Q1 2024
86
Number of sells Q1 2024
-92
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
129500104
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 33 M $1.35 B +$40.6 M $41.03 183
2023 Q4 32.3 M $992 M +$27.1 M $30.73 186
2023 Q3 31.8 M $914 M -$3.67 M $28.76 176
2023 Q2 32 M $765 M +$8.81 M $23.93 161
2023 Q1 31.4 M $680 M -$7.19 M $21.63 163
2022 Q4 31.8 M $709 M +$12 M $22.28 194
2022 Q3 31.1 M $754 M -$10.6 M $24.22 204
2022 Q2 31.5 M $826 M -$7.42 M $26.24 195
2022 Q1 32.3 M $625 M +$21.9 M $19.33 180
2021 Q4 31 M $703 M -$11.8 M $22.68 190
2021 Q3 31.4 M $697 M -$5.6 M $22.22 170
2021 Q2 31.9 M $870 M +$34.4 M $27.29 169
2021 Q1 30.7 M $669 M +$35.9 M $21.80 155
2020 Q4 29.3 M $459 M +$5.38 M $15.65 141
2020 Q3 29.7 M $284 M -$21 M $9.56 144
2020 Q2 31.3 M $261 M -$27.8 M $8.34 128
2020 Q1 36.5 M $190 M -$66.9 M $5.20 131
2019 Q4 39.6 M $940 M -$17 M $23.75 157
2019 Q3 40.2 M $941 M +$22.7 M $23.41 168
2019 Q2 39.6 M $789 M -$6.64 M $19.92 152
2019 Q1 41.1 M $1.01 B +$42.9 M $24.69 167
2018 Q4 38.7 M $1.08 B -$27.9 M $27.83 175
2018 Q3 40.1 M $1.44 B +$11 M $35.86 190
2018 Q2 39.6 M $1.36 B +$85 M $34.39 188
2018 Q1 38.9 M $1.31 B +$11.5 M $33.60 186
2017 Q4 38.1 M $1.28 B +$10.4 M $33.48 170
2017 Q3 38.2 M $1.17 B +$11.6 M $30.52 173
2017 Q2 38.2 M $1.06 B +$19.6 M $27.78 156
2017 Q1 37.5 M $990 M +$146 M $26.42 166
2016 Q4 36.4 M $1.2 B -$3.55 M $32.82 195
2016 Q3 37 M $934 M +$2.36 M $25.29 167
2016 Q2 37.2 M $902 M -$17.5 M $24.21 186
2016 Q1 37.7 M $1.07 B -$11.3 M $28.29 183
2015 Q4 38 M $1.02 B -$7.61 M $26.82 193
2015 Q3 38.2 M $1.17 B +$21.7 M $30.53 181
2015 Q2 36.5 M $1.16 B +$1.16 B $31.78 178