SKECHERS USA INC - Class A Common Stock, par value $0.001 per share (SKX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SKX
Type / Class
Equity / Class A Common Stock, par value $0.001 per share
Shares outstanding
130M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
299K
Holdings value
$18.8M
% of all portfolios
0%
Grand Portfolio weight change
-0.013%
Number of holders
7
Number of buys
1
Number of sells
-453
Average Value change %
-0.04%
Average buys %
+0%
Average sells %
-0.042%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SKECHERS USA INC - Class A Common Stock, par value $0.001 per share (SKX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 8.6% -12% $547M -$81.9M 11.2M -13% BlackRock, Inc. 31 Mar 2025
FMR LLC 4.3% $345M 5.62M FMR LLC 30 May 2025

Institutional Holders of SKECHERS USA INC - Class A Common Stock, par value $0.001 per share (SKX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 299K $18.8M -$8.14B $63.10 7
2025 Q2 129M $8.16B +$279M $63.10 463
2025 Q1 127M $7.19B +$144M $56.78 467
2024 Q4 123M $8.29B +$112M $67.24 507
2024 Q3 121M $8.11B +$44.2M $66.92 505
2024 Q2 120M $8.3B -$138M $69.12 488
2024 Q1 122M $7.5B +$10.6M $61.26 448
2023 Q4 122M $7.64B -$226M $62.34 422
2023 Q3 127M $6.21B +$50.3M $48.95 379
2023 Q2 125M $6.59B -$18.2M $52.66 363
2023 Q1 125M $5.95B +$17.6M $47.52 330
2022 Q4 125M $5.26B -$38.7M $41.95 319
2022 Q3 127M $4.03B -$114M $31.72 303
2022 Q2 128M $4.55B +$29.8M $35.58 290
2022 Q1 127M $5.19B +$104M $40.76 305
2021 Q4 124M $5.4B +$62.9M $43.40 303
2021 Q3 125M $5.27B +$41.6M $42.12 319
2021 Q2 124M $6.17B -$127M $49.83 303
2021 Q1 128M $5.34B +$231M $41.71 290
2020 Q4 123M $4.42B +$14.2M $35.94 280
2020 Q3 123M $3.71B +$4.56M $30.22 258
2020 Q2 123M $3.85B +$81.1M $31.38 273
2020 Q1 121M $2.86B -$8.36M $23.74 258
2019 Q4 118M $5.09B -$89.3M $43.19 318
2019 Q3 119M $4.43B -$77.7M $37.35 292
2019 Q2 121M $3.81B -$25.6M $31.49 275
2019 Q1 122M $4.1B +$28M $33.61 311
2018 Q4 122M $2.79B +$20.1M $22.89 275
2018 Q3 119M $3.33B +$156M $27.93 278
2018 Q2 114M $3.41B -$325M $30.01 289
2018 Q1 119M $4.64B +$81.4M $38.89 332
2017 Q4 117M $4.44B +$195M $37.84 311
2017 Q3 113M $2.84B -$23.7M $25.09 259
2017 Q2 114M $3.35B +$269M $29.50 267
2017 Q1 106M $2.9B +$310M $27.45 278
2016 Q4 105M $2.59B +$104M $24.58 298
2016 Q3 100M $2.29B -$224M $22.90 293
2016 Q2 107M $3.17B -$26.7M $29.72 330
2016 Q1 111M $3.37B +$30.3M $30.45 338
2015 Q4 110M $3.31B +$1.88B $30.21 329
2015 Q3 36.3M $4.87B -$104M $134.08 318
2015 Q2 38.1M $4.18B -$399M $109.79 303
2015 Q1 42.3M $3.04B -$50.5M $71.91 294
2014 Q4 43.2M $2.39B +$323M $55.25 263
2014 Q3 36.9M $1.97B -$116M $53.31 235
2014 Q2 39.3M $1.8B +$86M $45.70 201
2014 Q1 37.5M $1.37B -$27.5M $36.54 165