CALX · Infrastructure · 13100M509
Calix, Inc.
Q1 2022 · compared with Q4 2021
- Tracked value
- $1.3B
- Tracked filers
- 74
1 filing is from the same family as a larger report and is left out of the total.
Quarter history
Tracked value counts one filer from each family. Net bought is the share change from the previous quarter. History follows the CUSIP on the latest information table, and it starts when that filer’s CIK exists, so a renamed issuer or a new CIK is shorter than ten years.
- Q2 202690 filers · $37$1.7B+$51.9M
- Q1 202689 filers · $49$2.1B+$115M
- Q4 202593 filers · $53$2.0B+$38.7M
- Q3 202594 filers · $61$2.2B+$22.2M
- Q2 202592 filers · $53$1.9B−$10.1M
- Q1 202581 filers · $35$1.3B+$20.1M
- Q4 202477 filers · $35$1.3B−$18.4M
- Q3 202475 filers · $39$1.4B+$43.3M
- Q2 202478 filers · $35$1.3B−$42.0M
- Q1 202478 filers · $33$1.2B+$56.5M
- Q4 202380 filers · $44$1.5B+$203M
- Q3 202379 filers · $46$1.4B−$1.0M
- Q2 202377 filers · $50$1.5B−$77.7M
- Q1 202380 filers · $54$1.7B−$90.7M
- Q4 202277 filers · $68$2.3B+$72.3M
- Q3 202272 filers · $61$2.0B−$18.0M
- Q2 202269 filers · $34$1.1B+$83.5M
- Q1 202274 filers · $43$1.3B+$25.8M
- Q4 202172 filers · $80$2.4B+$160M
- Q3 202168 filers · $49$1.4B+$54.0M
- Q2 202165 filers · $48$1.3B+$21.0M
- Q1 202169 filers · $35$914M+$47.7M
- Q4 202071 filers · $30$737M−$2.8M
- Q3 202061 filers · $18$444M−$11.6M
- Q2 202053 filers · $15$384M+$17.8M
- Q1 202047 filers · $7$166M+$17.8M
- Q4 201947 filers · $8$170M+$6.0M
- Q3 201946 filers · $6$130M−$506K
- Q2 201946 filers · $7$133M+$2.8M
- Q1 201949 filers · $8$154M+$12.8M
- Q4 201849 filers · $10$182M+$20.4M
- Q3 201843 filers · $8$131M−$4.5M
- Q2 201845 filers · $8$128M−$1.3M
- Q1 201843 filers · $7$116MFlat
- Q4 201743 filers · $6$101M−$6.3M
- Q3 201745 filers · $5$92.0M−$3.8M
- Q2 201745 filers · $7$129M−$7.6M
- Q1 201743 filers · $7$144M+$24.6M
- Q4 201643 filers · $8$128M−$1.2M
- Q3 201640 filers · $7$123M+$1.6M
- Q2 201646 filers · $7$114M—
Who owns it
- BlackRockPassive · 0.1% of their software7,446,078 shares$320M+$187M
- AlliancebernsteinGeneralist · 0.4% of their software3,159,255 shares$136M+$24.3M
- Bank of New York MellonPassive · 0.2% of their software1,963,582 shares$84.3M+$29.1M
- State StreetPassive · 0.0% of their software1,732,618 shares$74.3M+$51.2M
- DimensionalPassive · 0.5% of their software1,711,123 shares$73.4MFlat
- Wellington Management GroupGeneralist · 0.2% of their software1,564,912 shares$67.2M+$5.4M
- Renaissance TechnologiesGeneralist · 1.0% of their software1,447,718 shares$62.1M+$1.8M
- InvescoPassive · 0.2% of their software1,094,335 shares$47.0M−$11.0M
- GeodePassive · 0.0% of their software952,907 shares$40.9MFlat
- Whale Rock Capital ManagementSpecialist · 1.1% of their software887,366 shares$38.1M−$107M
- Hood River Capital ManagementGeneralist · 29.8% of their software880,043 shares$37.8M+$2.3M
- Loomis Sayles & CO L PGeneralist · 0.3% of their software849,295 shares$36.4M+$8.0M
- FidelityGeneralist · 0.0% of their software729,833 shares$31.3M+$4.6M
- Northern TrustPassive · 0.1% of their software725,930 shares$31.2M+$11.7M
- Driehaus Capital ManagementGeneralist · 9.4% of their software607,568 shares$26.1M−$116M
- Morgan StanleyGeneralist · 0.0% of their software582,385 shares$25.0M+$35.1M
- Charles Schwab Investment ManagementPassive · 0.1% of their software398,520 shares$17.1M+$744K
- Alyeska Investment GroupGeneralist · 1.7% of their software377,274 shares$16.2MNew · +$30.2M
- Deutsche BankGeneralist · 0.1% of their software334,880 shares$14.4M−$6.8M
- Goldman SachsGeneralist · 0.0% of their software302,077 shares$13.0M+$13.8M
- Marshall WaceGeneralist · 0.4% of their software297,292 shares$12.8M+$5.4M
- Principal Financial GroupGeneralist · 0.1% of their software228,241 shares$9.8M+$10.9M
- State of Wisconsin Investment BoardGeneralist · 0.2% of their software225,700 shares$9.7MFlat
- JPMorgan ChaseGeneralist · 0.0% of their software156,166 shares$6.7M+$8.4M
- Bank of AmericaGeneralist · 0.0% of their software153,218 shares$6.6M+$1.1M
- Rhumbline AdvisersGeneralist · 0.1% of their software151,555 shares$6.5M+$7.3M
- Wells FargoGeneralist · 0.0% of their software136,590 shares$5.9M+$3.4M
- Swiss National BankGeneralist · 0.0% of their software135,700 shares$5.8M+$792K
- Two Sigma InvestmentsGeneralist · 0.2% of their software123,998 shares$5.3MNew · +$9.9M
- Assenagon Asset ManagementGeneralist · 0.1% of their software122,625 shares$5.3M+$3.6M
- AmeripriseGeneralist · 0.0% of their software116,155 shares$5.0M−$40.1M
- Sei Investments COGeneralist · 0.1% of their software101,032 shares$4.3M−$3.6M
- Neuberger Berman GroupGeneralist · 0.0% of their software101,259 shares$4.2M−$1.7M
- Russell Investments GroupGeneralist · 0.1% of their software95,925 shares$4.1M+$830K
- Legal & GeneralPassive · 0.0% of their software81,093 shares$3.5M+$2.5M
- UBS GroupGeneralist · 0.0% of their software76,874 shares$3.3M+$2.3M
- California State Teachers Retirement SystemGeneralist · 0.0% of their software72,548 shares$3.1MFlat
- Manufacturers Life Insurance Company, TheGeneralist · 0.0% of their software67,475 shares$2.9M+$3.2M
- First Trust AdvisorsGeneralist · 0.0% of their software64,533 shares$2.8M−$3.8M
- New York State Common Retirement FundGeneralist · 0.0% of their software59,182 shares$2.5MFlat
- UBS Asset ManagementGeneralist · 0.0% of their software57,150 shares · Not in the total$2.5MFlat
- Millennium ManagementGeneralist · 0.1% of their software55,067 shares$2.4M−$116M
- Voya Investment ManagementGeneralist · 0.0% of their software50,469 shares$2.2M−$2.7M
- Prudential FinancialGeneralist · 0.0% of their software46,411 shares$2.0MFlat
- Jane Street GroupGeneralist · 0.1% of their software46,323 shares$2.0M+$638K
- Allspring Global Investments HoldingsGeneralist · 0.0% of their software18,918 shares$1.5MFlat
- Aqr Capital ManagementGeneralist · 0.0% of their software34,987 shares$1.5MFlat
- AvivaGeneralist · 0.1% of their software31,591 shares$1.4M−$537K
- Citadel AdvisorsGeneralist · 0.0% of their software31,467 shares$1.4MNew · +$2.5M
- Susquehanna International GroupGeneralist · 0.0% of their software28,649 shares$1.2M−$1.0M
- Stifel FinancialGeneralist · 0.0% of their software28,610 shares$1.2MFlat
- Qube Research & TechnologiesGeneralist · 0.2% of their software28,051 shares$1.2M−$13.8M
- State Board of Administration of Florida Retirement SystemGeneralist · 0.0% of their software20,673 shares$887KFlat
- Victory Capital ManagementGeneralist · 0.0% of their software21,257 shares$848KFlat
- Envestnet Asset ManagementGeneralist · 0.0% of their software18,727 shares$804K+$1.0M
- D. E. ShawGeneralist · 0.0% of their software18,205 shares$781K−$4.5M
- Brown AdvisoryGeneralist · 0.0% of their software9,361 shares$749KFlat
- ProShare AdvisorsGeneralist · 0.0% of their software14,554 shares$625KFlat
- Calamos AdvisorsGeneralist · 0.0% of their software10,992 shares$471KNew · +$879K
- Baillie Gifford & COGeneralist · 0.0% of their software10,630 shares$456KNew · +$850K
- LPl FinancialGeneralist · 0.0% of their software10,618 shares$456KFlat
- BarclaysGeneralist · 0.0% of their software10,512 shares$451K−$4.8M
- CitigroupGeneralist · 0.0% of their software9,195 shares$394K−$838K
- Zurcher Kantonalbank (Zurich Cantonalbank)Generalist · 0.0% of their software8,180 shares$351KFlat
- Balyasny Asset ManagementGeneralist · 0.0% of their software7,856 shares$337KNew · +$628K
- Schroder Investment Management GroupGeneralist · 0.0% of their software7,668 shares$318KNew · +$613K
- Ensign Peak AdvisorsGeneralist · 0.0% of their software7,090 shares$304KFlat
- HSBCGeneralist · 0.0% of their software7,045 shares$299KFlat
- Federated HermesGeneralist · 0.0% of their software5,164 shares$222KNew
- Lazard Asset ManagementGeneralist · 0.0% of their software2,000 shares$85KNew
- Pnc Financial Services GroupGeneralist · 0.0% of their software1,390 shares$59KFlat
- National Bank of CanadaGeneralist · 0.0% of their software1,000 shares$43K−$851K
- US Bancorp deGeneralist · 0.0% of their software809 shares$35KFlat
- Royal Bank of CanadaGeneralist · 0.0% of their software241 shares$10K−$1.0M
- Fifth Third BancorpGeneralist · 0.0% of their software106 shares$5KNew
