CHEGG, INC - Common Stock (CHGG)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CHGG on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
108M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
51.5M
Holdings value
$77.7M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
123
Number of buys
58
Number of sells
-75
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 CHEGG, INC - Common Stock (CHGG)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 4.98% -25.6% $8.16M -$2.74M 5.4M -25.2% The Vanguard Group 30 Sep 2025
BlackRock, Inc. 2.1% $2.66M 2.2M BlackRock, Inc. 30 Jun 2025

Institutional Holders of CHEGG, INC - Common Stock (CHGG)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 51.5M $77.7M +$74.6K $1.51 123
2025 Q2 52M $62.9M -$15.9M $1.21 141
2025 Q1 66.8M $42.7M -$15.8M $0.64 151
2024 Q4 80.6M $130M -$5.04M $1.61 179
2024 Q3 82.1M $145M -$25.3M $1.77 186
2024 Q2 94.5M $298M -$27.3M $3.16 205
2024 Q1 94M $712M -$33.1M $7.57 225
2023 Q4 98M $1.11B +$4.8M $11.36 218
2023 Q3 106M $948M -$129M $8.92 238
2023 Q2 113M $1B -$127M $8.88 224
2023 Q1 113M $1.84B -$143M $16.30 257
2022 Q4 116M $2.93B -$57.6M $25.27 297
2022 Q3 118M $2.48B -$44.7M $21.07 260
2022 Q2 121M $2.27B -$211M $18.78 251
2022 Q1 124M $4.51B -$186M $36.28 326
2021 Q4 130M $4B -$1.02B $30.70 320
2021 Q3 142M $9.68B +$38.5M $68.02 402
2021 Q2 142M $11.8B +$190M $83.11 411
2021 Q1 140M $12B +$1.02B $85.66 441
2020 Q4 128M $11.6B +$83.5M $90.33 440
2020 Q3 128M $9.16B +$355M $71.44 422
2020 Q2 134M $8.89B +$237M $67.26 400
2020 Q1 129M $4.63B +$84.2M $35.78 278
2019 Q4 127M $4.82B +$23.7M $37.91 277
2019 Q3 127M $3.81B +$69.2M $29.95 256
2019 Q2 124M $4.8B +$144M $38.59 246
2019 Q1 121M $4.62B +$186M $38.12 275
2018 Q4 117M $3.32B +$30.7M $28.42 223
2018 Q3 116M $3.29B -$75.1M $28.43 218
2018 Q2 118M $3.29B -$39.2M $27.79 191
2018 Q1 121M $2.49B +$47.4M $20.66 189
2017 Q4 119M $1.94B +$152M $16.32 159
2017 Q3 109M $1.62B +$262M $14.84 152
2017 Q2 90.2M $1.11B +$207M $12.29 154
2017 Q1 73.4M $620M +$77.5M $8.44 103
2016 Q4 70.9M $523M +$35.5M $7.38 111
2016 Q3 64M $453M +$18.9M $7.09 106
2016 Q2 61.7M $308M -$2.73M $5.00 91
2016 Q1 62.5M $279M -$43.7M $4.46 90
2015 Q4 67.9M $457M +$15.6M $6.73 102
2015 Q3 63M $454M +$33.1M $7.21 95
2015 Q2 58.3M $457M +$76.5M $7.84 100
2015 Q1 48.6M $386M +$59.4M $7.95 100
2014 Q4 41.3M $285M +$26.3M $6.91 78
2014 Q3 37.6M $235M +$14.7M $6.24 87
2014 Q2 33.7M $237M +$56.5M $7.04 88
2014 Q1 21M $147M +$37.9K $7.00 74