CORELOGIC INC - COM (CLGX) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2021

Type / Class
Equity / COM
Symbol
CLGX
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CORELOGIC INC - COM (CLGX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q3 0 $0 -$1,004,000 0
2021 Q2 0 $0 -$5,252,254,076 0
2021 Q1 66,962,031 $5,306,744,971 +$159,825,798 $79.25 324
2020 Q4 64,972,477 $5,023,044,745 -$430,628,899 $77.32 315
2020 Q3 71,547,644 $4,841,085,510 -$219,133,896 $67.67 286
2020 Q2 74,624,770 $5,016,512,746 +$416,386,730 $67.22 261
2020 Q1 72,202,768 $2,205,535,955 -$102,300,090 $30.54 227
2019 Q4 71,879,180 $3,141,968,465 -$108,546,053 $43.71 233
2019 Q3 74,023,686 $3,423,910,332 -$47,762,777 $46.27 250
2019 Q2 75,149,730 $3,143,550,692 +$80,679,073 $41.83 240
2019 Q1 73,572,694 $2,741,404,878 +$19,063,495 $37.26 224
2018 Q4 73,148,224 $2,444,171,710 -$88,471,759 $33.42 230
2018 Q3 75,078,314 $3,707,389,675 -$37,593,344 $49.41 249
2018 Q2 75,685,398 $3,925,502,877 +$29,197,164 $51.90 249
2018 Q1 75,234,835 $3,399,800,299 +$128,619,667 $45.23 243
2017 Q4 73,087,537 $3,374,965,951 -$66,475,402 $46.21 252
2017 Q3 74,239,399 $3,431,149,303 -$52,268,781 $46.22 227
2017 Q2 75,521,280 $3,275,858,958 +$38,099,568 $43.38 236
2017 Q1 74,873,718 $3,048,299,914 +$247,945,535 $40.72 239
2016 Q4 75,776,121 $2,791,140,379 -$3,631,330 $36.83 264
2016 Q3 75,824,825 $2,972,805,536 -$13,691,088 $39.22 240
2016 Q2 76,213,499 $2,935,204,394 +$26,772,154 $38.48 240
2016 Q1 75,582,813 $2,622,401,124 -$29,571,625 $34.70 235
2015 Q4 76,564,149 $2,592,537,422 +$37,493,701 $33.86 246
2015 Q3 75,024,565 $2,793,207,446 -$17,304,018 $37.23 236
2015 Q2 74,663,066 $2,962,385,787 -$72,890,480 $39.69 229
2015 Q1 76,827,320 $2,705,927,098 +$46,251,703 $35.27 181
2014 Q4 75,639,003 $2,390,398,155 -$60,243,822 $31.59 182
2014 Q3 77,687,105 $2,102,984,715 -$44,310,108 $27.07 161
2014 Q2 79,114,016 $2,401,871,361 +$2,728,102 $30.36 183
2014 Q1 79,018,711 $2,373,011,872 +$47,857,290 $30.04 205