WhaleCreep

Which hedge funds own SKAA? SKECHERS U S A INC, Q2 2026 13F holders

0 tracked hedge funds disclosed a position in SKAA (SKECHERS U S A INC) in their Q2 2026 13F filings, worth $0 in total.

0
Holders
0
New this quarter
0
Exited this quarter
$0
Combined value
–
Share of managers holding

Holders, Q2 2026

0 rows

Ownership over time

By quarter
QuarterHoldersManagers filingShare holdingCombined value
Q3 20250730.0%$0
Q2 202587311.0%$616m
Q1 20255736.8%$571m
Q4 20246748.1%$594m
Q3 20247739.6%$336m
Q2 202487311.0%$300m
Q1 20245736.8%$352m
Q4 20234735.5%$290m
Q3 20233734.1%$235m
Q2 20234735.5%$132m
Q1 20233734.1%$167m
Q4 20223734.1%$39.4m
Q3 20225746.8%$21.0m
Q2 20223744.1%$5.8m
Q1 20223744.1%$10.3m
Q4 20214745.4%$54.1m
Q3 20212712.8%$24.4m
Q2 20214715.6%$25.1m
Q1 20212702.9%$9.6m
Q4 20203714.2%$1.5m
Q3 20204685.9%$25.3m
Q2 20203684.4%$32.3m
Q1 20203684.4%$48.9m
Q4 20194676.0%$79.7m
Q3 20194606.7%$73.2m
Q2 20192603.3%$19.0m
Q1 20192603.3%$3.0m
Q4 20181601.7%$1.5m
Q3 20182593.4%$5.5m
Q2 20183595.1%$39.1m
Q1 20183595.1%$44.4m
Q4 20173595.1%$50.6m
Q3 20172563.6%$28.6m
Q2 20173565.4%$48.8m
Q1 20171561.8%$4.8m
Q4 20162563.6%$11.9m
Q3 20162523.8%$10.6m
Q2 20162523.8%$2.6m
Q1 20162523.8%$79.4m
Q4 20153525.8%$41.4m
Q3 20154527.7%$174m
Q2 20154527.7%$182m
Q1 20154527.7%$49.5m
Q4 20143525.8%$9.4m
Q3 20142494.1%$8.8m
Q2 20143496.1%$15.3m
Q1 20142474.3%$9.9m
Q4 20131472.1%$10.4m
Q3 20132454.4%$7.7m
Q2 20132434.7%$2.0m
Q1 20130390.0%$0
Q4 20121402.5%$3.2m
Q1 20110320.0%$0
Q4 20102316.5%$864k
Q3 20101263.8%$284k

Who discovered SKAA first?

Earliest meaningful positions among the 17 tracked managers seen opening SKAA since Q3 2010.

4 rows
Egerton Capital (UK) LLPQ2 20151.6%1.6%2Exited by Q4 2015+22%
Anomaly Capital Management, LP high convictionQ4 20221.5%7.6%11Exited by Q3 2025+50%
Duquesne Family Office LLCQ1 20231.1%2.0%3Exited by Q1 2025+42%
Viking Global Investors LPQ1 20240.2%1.0%3Exited by Q2 2025−7.3%

Stock since is the split-adjusted change in the quarter-end price, excluding dividends, from the first reported quarter: the price the 13F filings themselves imply (value ÷ shares), blank across any gap that cannot be accounted for. It describes the stock, not the return any manager earned.

1 already held it when coverage began

Point72 Asset Management, L.P. (Q2 2014)