CONSUMER PORTFOLIO SERVICES, INC. - Common Stock, no par value (CPSS)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CPSS on Nasdaq
Type / Class
Equity / Common Stock, no par value
Shares outstanding
22,099,849
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
10,427,802
Holdings value
$78,729,096
% of all portfolios
0%
Number of holders
55
Number of buys
27
Number of sells
-20
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CONSUMER PORTFOLIO SERVICES, INC. - Common Stock, no par value (CPSS)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BDCM CT, L.L.C. 23.1% $42,555,470 5,127,165 BDCM CT, L.L.C. 22 Aug 2025
Black Diamond Capital Management I, LLLP 23.2% $38,710,096 5,127,165 Black Diamond Capital Management I, LLLP 12 Nov 2025

Institutional Holders of CONSUMER PORTFOLIO SERVICES, INC. - Common Stock, no par value (CPSS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 10,427,802 $78,729,096 -$447,312 $7.55 55
2025 Q2 10,451,265 $102,736,456 +$334,586 $9.83 50
2025 Q1 10,419,465 $90,360,889 -$1,787,444 $8.67 50
2024 Q4 10,625,927 $115,420,333 +$811,817 $10.86 49
2024 Q3 10,566,147 $99,177,160 +$4,738,586 $9.38 51
2024 Q2 10,023,372 $98,251,386 +$636,613 $9.8 47
2024 Q1 9,967,879 $75,407,443 -$1,345,741 $7.56 50
2023 Q4 10,133,777 $94,804,414 +$187,028 $9.37 49
2023 Q3 10,034,178 $91,010,813 -$1,063,446 $9.07 49
2023 Q2 10,224,593 $119,320,577 -$1,329,002 $11.67 49
2023 Q1 10,252,317 $109,613,248 -$1,219,210 $10.69 53
2022 Q4 10,398,874 $92,027,261 -$2,476,138 $8.85 58
2022 Q3 10,690,356 $77,723,084 -$1,973,597 $7.27 55
2022 Q2 10,919,087 $111,916,527 +$12,396,796 $10.25 46
2022 Q1 9,733,540 $98,894,319 +$5,777,850 $10.16 38
2021 Q4 9,161,955 $108,567,241 -$13,981,544 $11.85 26
2021 Q3 7,282,973 $42,466,000 -$130,768 $5.82 22
2021 Q2 7,307,780 $32,885,000 -$393,110 $4.5 22
2021 Q1 7,407,981 $29,852,000 -$243,794 $4.03 21
2020 Q4 7,467,375 $31,660,000 -$112,107 $4.24 22
2020 Q3 11,173,076 $36,874,000 +$8,446 $3.3 19
2020 Q2 11,171,376 $31,613,000 -$293,169 $2.83 20
2020 Q1 11,309,251 $15,379,000 +$20,781 $1.36 20
2019 Q4 11,282,058 $38,020,000 +$1,288,026 $3.37 22
2019 Q3 10,899,853 $39,132,000 +$495,667 $3.59 24
2019 Q2 10,789,412 $41,001,000 +$1,257,974 $3.8 23
2019 Q1 10,639,792 $37,137,000 -$1,817,316 $3.49 33
2018 Q4 11,169,396 $33,623,000 -$319,509 $3.01 33
2018 Q3 11,260,577 $41,666,000 +$6,289,548 $3.7 34
2018 Q2 9,555,893 $38,884,984 -$527,290 $4.07 38
2018 Q1 9,714,069 $36,622,822 -$1,133,680 $3.77 41
2017 Q4 10,201,966 $42,336,781 -$1,382,967 $4.15 40
2017 Q3 10,524,148 $47,993,354 -$410,318 $4.56 38
2017 Q2 10,620,553 $48,320,127 -$267,304 $4.55 42
2017 Q1 10,673,986 $50,271,026 +$4,520,167 $4.71 48
2016 Q4 11,085,467 $56,755,000 +$401,253 $5.12 52
2016 Q3 11,034,010 $50,643,000 -$1,601,949 $4.59 51
2016 Q2 11,458,726 $43,194,000 -$1,995,524 $3.77 52
2016 Q1 11,981,392 $50,677,000 -$2,686,304 $4.23 55
2015 Q4 12,490,881 $64,816,000 +$3,901,484 $5.19 64
2015 Q3 11,692,224 $58,233,000 -$5,339,879 $4.98 64
2015 Q2 12,401,018 $77,504,069 -$4,401,054 $6.25 75
2015 Q1 13,030,394 $90,868,700 -$5,040,426 $6.99 73
2014 Q4 13,512,943 $99,456,618 +$3,421,264 $7.36 75
2014 Q3 13,304,177 $85,273,048 +$2,684,584 $6.41 74
2014 Q2 12,816,074 $97,661,087 +$18,128,496 $7.62 72
2014 Q1 10,447,488 $71,490,139 -$2,856,912 $6.84 62