NASDAQ : CSIQ

Canadian Solar Inc. — Institutional Ownership

$15.2 USD

$0.25 (1.67%)

Volume
1.79M
Average Volume
2.98M
Market Capitalization
$1.03B
P/E Ratio
-10.07
Dividend Yield
0.00%
Price Target
$18.00
Year High
$34.59
Year Low
$9.41
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$1.06
Institutional Ownership Summary
Institutional Ownership %

3.23%

Investors Holding

12

change: -144 | last: 156
Increased Positions

4

change: -64 | last: 68
Reduced Positions

0

change: -42 | last: 42
New Positions

2

change: -27 | last: 29
Sold Positions

127

change: 92 | last: 35
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -39.4288 | last: 0.3943
Total Invested

32.96M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-05-15 MACKENZIE FINANCIAL CORP 4.62M 6.90%
2026-03-20 D. E. Shaw & Co., L.P. 4.37M 6.40%
2025-11-17 Venture Holding S.a.r.l. SPF 6M 8.96%
2025-11-13 MACKENZIE FINANCIAL CORP 4.51M 6.70%
2025-08-14 MACKENZIE FINANCIAL CORP 5.88M 8.80%
2025-07-07 PAG Castle Holdings Pte. Ltd. 10.99M 14.10%
2025-05-13 MACKENZIE FINANCIAL CORP 5.48M 8.50%
2025-04-25 Venture Holding S.a.r.l. SPF 6.95M 10.39%
2025-04-24 BlackRock, Inc. 946.62K 1.40%
2025-02-14 Venture Holding S.a.r.l. SPF 5.12M 7.74%
2025-02-13 MACKENZIE FINANCIAL CORP 5.52M 8.50%
2025-02-05 BlackRock, Inc. 4.5M 6.80%
2025-01-24 PAG Castle Holdings Pte. Ltd. 8.24M 11.10%
2024-03-04 Venture Holding S.a.r.l. SPF 5.38M 8.33%
2024-02-13 Mayo, Van Otterloo & Co. LLC       04-2691242 5.34M 8.26%
2023-02-13 Grantham, Mayo, Van Otterloo & Co. LLC       04-2691242 2.92M 4.55%
2022-02-11 Grantham, Mayo, Van Otterloo & Co. LLC       04-2691242 3.22M 5.05%
2022-02-03 BlackRock, Inc. 181.04M 7.00%
2022-01-31 98-0557567 2.9M 4.60%
2021-02-16 98-0557567 3.47M 5.90%
2021-02-12 Schroder Investment Management Hong Kong - 0.00%
2021-02-12 Schroder Investment Management North America Ltd. 90406.0 0.15%
2021-02-12 Schroder Investment Management Singapore Limited - 0.00%
2021-02-12 Schroder Investment Management Ltd. 145.07K 0.25%
2020-11-27 LION POINT HOLDINGS GP, LLC 2.45M 4.10%
2020-11-27 Lion Point Capital, LP 2.45M 4.10%
2020-11-27 Jim Freeman 2.45M 4.10%
2020-11-27 Didric Cederholm 2.45M 4.10%
2020-10-28 DIDRIC CEDERHOLM 4.55M 7.60%
2020-10-28 LION POINT CAPITAL, LP 4.55M 7.60%
2020-10-28 LION POINT HOLDINGS GP, LLC 4.55M 7.60%
2020-10-28 JIM FREEMAN 4.55M 7.60%
2020-02-13 Schroder Investment Management Ltd. 30275.0 0.05%
2020-02-13 Schroder Investment Management Hong Kong 4.29M 7.25%
2020-02-13 Schroder Investment Management Singapore Limited 51436.0 0.09%
2020-02-12 Morgan Stanley Capital Services LLC 1.68M 2.80%
2020-02-12 Morgan Stanley 1.86M 3.10%
2019-02-12 Morgan Stanley Capital Services LLC 2.98M 5.00%
2019-02-12 Morgan Stanley 3.22M 5.40%
2018-11-29 Morgan Stanley 2.96M 5.00%
2018-09-07 JPMORGAN CHASE & CO13-2624428 1.54M 2.60%
2018-02-08 2. 2.41M 4.20%
2018-01-05 JPMORGAN CHASE & CO13-2624428 4.52M 7.70%
2017-02-10 2. 4.84M 8.40%
2016-01-19 2. 3.27M 5.90%
2015-02-17 Claren Road Asset Management, LLC - 0.00%
2014-10-14 Claren Road Asset Management, LLC 3.2M 5.83%
2014-02-14 Ardsley Partners Fund II, L.P. 628.7K 1.40%
2014-02-14 Fund, L.P. 521.3K 1.10%
2014-02-14 Ardsley Advisory Partners 1.42M 3.10%
2014-02-14 Fund, L.P. 275K 0.60%
2014-02-14 Ardsley Partners I 1.42M 3.10%
2014-02-14 Philip J. Hempleman 1.78M 3.90%
2013-08-19 Ardsley Partners Fund II, L.P. 861.6K 1.90%
2013-08-19 Ardsley Partners I 2.08M 4.50%
2013-08-19 Philip J. Hempleman 2.44M 5.30%
2013-08-19 Fund, L.P. 713.4K 1.50%
2013-08-19 Fund, L.P. 500K 1.10%
2013-08-19 Ardsley Advisory Partners 2.08M 4.50%
2013-06-17 Shawn (Xiaohua) Qu 18.04M 1.00%
2013-06-14 CIM Management, Inc. 3.64M 7.80%
2013-06-14 CIM Group, LLC 3.64M 7.80%
2013-06-14 CIM Holdings, LLC 3.64M 7.80%
2013-06-14 CIM Infrastructure Fund, LP 3.64M 7.80%
2013-06-14 CIM/SP Funding, LLC 3.52M 7.50%
2013-06-14 CIM/SP Solutions, LLC 117.67K 0.30%
2013-06-14 CIM Group, LP 3.64M 7.80%
2013-06-14 CIM Infrastructure GP, LLC 3.64M 7.80%
2013-06-14 SkyPower Holdings, LLC 3.64M 7.80%
2013-06-14 SkyPower Canada Holdings 117.67K 0.30%
2013-06-14 árl 117.67K 0.30%
2013-06-14 SkyPower Services, ULC 117.67K 0.30%
2013-02-14 2 10.0 12.00%
2012-02-10 04-3519872 3.12M 7.10%
2011-02-14 SAM Sustainable Asset Management AG 3.57M 8.36%
2010-02-09 04-3519872 2.16M 5.10%
2009-12-28 SAM Sustainable Asset Management AG 2.12M 4.97%
2009-11-10 SAM Sustainable Asset Management AG 2.36M 5.30%
2009-02-06 04-3519872 2.04M 5.72%
2007-02-27 HSBC HAV2 (III) Limited 2.66M 9.80%
2007-02-27 The HSBC Asian Venture Fund 2 Limited 2.66M 9.80%
2007-02-21 JAFCO Investment (Asia Pacific) Ltd. 1.37M 5.04%
2007-02-21 JAFCO Asia Technology Fund II (Barbados) Limited 1.37M 5.04%
2007-02-21 JAFCO Asia Technology Fund II 1.37M 5.04%
2007-02-14 Shawn (Xiaohua) Qu -- Not applicable 13.67M 11.00%
CSIQ Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $23.77 67.37M $1.6B $1.91B $7.68B $7.37B
2024-12-31 $11.12 66.62M $740.77M $2.25B $5.91B $4.4B
2023-12-31 $26.23 65.38M $1.71B $1.94B $4.48B $4.25B
2022-12-31 $30.90 64.32M $1.99B $981.43M $4.04B $5.05B
2021-12-31 $31.29 61.61M $1.93B $869.83M $3.26B $4.32B
2020-12-31 $51.24 59.58M $3.05B $1.64B $2.89B $4.31B
2019-12-31 $22.10 59.63M $1.32B $1.2B $2.5B $2.62B
2018-12-31 $14.34 61.09M $875.96M $444.3M $2.18B $2.62B
2017-12-31 $17.14 58.17M $996.98M $561.68M $2.49B $2.92B
2016-12-31 $12.18 57.52M $700.65M $511.04M $2.43B $2.62B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-31 $13.85 67.82M $939.28M $1.44B $7.81B $7.3B
2025-12-31 $23.77 67.71M $1.61B $1.91B $7.68B $7.38B
2025-09-30 $13.04 67.62M $881.77M $1.76B $7.4B $6.52B
2025-06-30 $11.04 66.96M $739.27M $1.86B $7.13B $6.01B
2025-03-31 $8.65 66.96M $579.23M $1.58B $6.49B $5.49B
2024-12-31 $11.12 66.95M $744.45M $2.25B $5.91B $4.4B
2024-09-30 $16.76 66.52M $1.11B $2.17B $5.97B $4.92B
2024-06-30 $14.01 66.41M $930.46M $2.18B $4.93B $3.68B
2024-03-31 $19.71 66.16M $1.3B $2.89B $5.18B $3.59B
2023-12-31 $26.23 66.04M $1.73B $2.94B $4.48B $3.27B
2023-09-30 $24.61 66.01M $1.62B $1.92B $4.53B $4.24B
2023-06-30 $38.69 64.91M $2.51B $2.01B $4.93B $5.43B