NYSE : KSS

Kohl's Corporation — Institutional Ownership

$19.3 USD

$0.85 (4.61%)

Volume
2.99M
Average Volume
4.89M
Market Capitalization
$2.19B
P/E Ratio
7.91
Dividend Yield
2.59%
Price Target
$15.00
Year High
$25.22
Year Low
$11.38
Day High
Day Low
Payout Ratio
$0.21
Current Ratio
$1.48
Institutional Ownership Summary
Institutional Ownership %

32.41%

Investors Holding

152

change: -257.0 | last: 409
Increased Positions

59

change: -124.0 | last: 183
Reduced Positions

44

change: -70.0 | last: 114
New Positions

22

change: -33.0 | last: 55
Sold Positions

250

change: 187.0 | last: 63
Total Calls

414.5K

Total Puts

514.3K

Put-Call Ratio

1.24

change: -49.2223 | last: 1.733
Total Invested

643.21M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-07-14 Dimensional Fund Advisors LP 5.58M 4.90%
2026-05-01 Stowers Institute for Medical Research 5.82M 5.20%
2026-05-01 American Century Companies, Inc. 5.82M 5.20%
2026-05-01 American Century Investment Management, Inc. 5.82M 5.20%
2026-04-29 Vanguard Portfolio Management 7.1M 6.32%
2026-04-09 Dimensional Fund Advisors LP 6.34M 5.70%
2026-03-27 The Vanguard Group - 0.00%
2026-02-12 THE GOLDMAN SACHS GROUP, INC. 4.7M 4.20%
2025-11-10 THE GOLDMAN SACHS GROUP, INC. 5.72M 5.10%
2025-07-17 BlackRock, Inc. 16.54M 14.80%
2025-04-17 BlackRock, Inc. 13.41M 12.00%
2025-04-15 Dimensional Fund Advisors LP 5.54M 5.00%
2025-02-14 T. Rowe Price Associates, Inc. 4.91M 4.40%
2025-02-12 FMR LLC 298.78K 0.30%
2024-02-14 52-0556948 9.3M 8.40%
2024-02-09 FMR LLC 8.29M 7.48%
2024-02-09 30-0447847 5.8M 5.20%
2024-02-09 Abigail P. Johnson 8.29M 7.48%
2024-02-08 GIC Private Limited 5.54M 5.01%
2023-02-14 52-0556948 9.01M 8.20%
2022-10-06 JPMORGAN CHASE & CO.13-2624428 3.29M 2.80%
2022-02-14 52-0556948 6.8M 4.80%
2022-01-24 JPMORGAN CHASE & CO.13-2624428 7.49M 5.30%
2022-01-10 The Vanguard Group - 23-1945930 14.07M 10.11%
2021-02-22 Margaret L. Jenkins - 0.00%
2021-02-22 Jeffrey A. Kantor - 0.00%
2021-02-22 Margenett Moore-Roberts - 0.00%
2021-02-22 Cynthia S. Murray - 0.00%
2021-02-22 Thomas A. Kingsbury - 0.00%
2021-02-22 Macellum Badger Fund II, LP 8.44M 5.40%
2021-02-22 Macellum Advisors, LP 8.72M 5.50%
2021-02-22 Macellum Advisors GP, LLC 8.72M 5.50%
2021-02-22 Legion Partners, L.P. I 1.89M 1.20%
2021-02-22 Legion Partners, L.P. II 111.36K 1.00%
2021-02-22 Legion Partners Special Opportunities, L.P. XV 108.4K 1.00%
2021-02-22 Ancora Merlin, LP 48283.0 1.00%
2021-02-22 Ancora Catalyst SPV I LP Series M 601.4K 1.00%
2021-02-22 Ancora Catalyst SPV I LP Series N 424.05K 1.00%
2021-02-22 Ancora Catalyst SPV I LP Series O 417.67K 1.00%
2021-02-22 Ancora Catalyst SPV I LP Series P 423.82K 1.00%
2021-02-22 Ancora Catalyst SPV I SPC Ltd Segregated Portfolio G 592K 1.00%
2021-02-22 Ancora Advisors, LLC 422.26K 1.00%
2021-02-22 Ancora Family Wealth Advisors, LLC 7198.0 1.00%
2021-02-22 The Ancora Group Inc. 422.26K 1.00%
2021-02-22 Inverness Holdings, LLC 7198.0 1.00%
2021-02-22 4010 Partners, LP 39000.0 1.00%
2021-02-22 4010 Capital, LLC 147.4K 1.00%
2021-02-22 4010 General Partner, LLC 39000.0 1.00%
2021-02-22 Steven E. Litt 147.4K 1.00%
2021-02-22 Marjorie L. Bowen 27.0 1.00%
2021-02-22 James T. Corcoran - 0.00%
2021-02-22 David A. Duplantis - 0.00%
2021-02-22 Jonathan Duskin 8.72M 5.50%
2021-02-22 Legion Partners Holdings LLC 2.11M 1.30%
2021-02-22 Legion Partners Asset Management, LLC 2.11M 1.30%
2021-02-22 Christopher S. Kiper 2.11M 1.30%
2021-02-22 Raymond T. White 2.11M 1.30%
2021-02-22 Ancora Alternatives LLC 3.65M 2.30%
2021-02-22 Ancora Holdings, Inc. 4.08M 2.60%
2021-02-22 Frederick DiSanto 4.08M 2.60%
2021-02-22 Macellum Badger Fund, LP 273.61K 1.00%
2021-02-22 Legion Partners, LLC 2.11M 1.30%
2021-02-22 Ancora Catalyst Institutional, LP 553.44K 1.00%
2021-02-22 Ancora Catalyst, LP 43867.0 1.00%
2021-02-22 Ancora Merlin Institutional, LP 549.03K 1.00%
2021-02-16 52-0556948 8.96M 5.60%
2021-02-16 STATE STREET CORPORATION 5.02M 3.18%
2021-02-10 The Vanguard Group - 23-1945930 13.92M 8.83%
2021-01-29 (1) BlackRock, Inc. 13.24M 8.40%
2020-02-13 STATE STREET CORPORATION 8.58M 5.48%
2019-01-31 (1) BlackRock, Inc. 17.61M 10.70%
2017-02-07 52-0556948 7.96M 4.50%
2016-02-22 STATE STREET CORPORATION 9.48M 5.00%
2015-02-12 STATE STREET CORPORATION 11.44M 5.70%
2015-02-10 Lloyd I. Miller, III 1.58M 5.10%
2015-01-29 JPMorgan Chase & Co. 12.35M 6.10%
2014-02-03 STATE STREET CORPORATION 10.88M 5.10%
2013-01-30 (1) BlackRock, Inc. 14.04M 6.10%
2012-10-10 Capital Research Global Investors ** 8.33M 3.60%
2011-05-10 13-3434400 3.25M 11.00%
2011-02-11 Capital Research Global Investors ** 22.12M 7.60%
2010-01-29 BlackRock for purposes of Schedule 13G filings. 18.82M 6.14%
2008-02-13 52-0556948 21.88M 6.90%
2001-02-14 Jennison Associates LLC 16.32M 4.92%
1999-02-11 Delaware limited liability company. 9.07M 5.73%
1997-02-03 Identification #13-2631108 5.69M 7.70%
KSS Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-01-31 $17.47 112M $1.96B $119M $6.63B $8.47B
2025-02-01 $13.21 111M $1.47B $134M $7.16B $8.49B
2024-02-03 $26.40 110M $2.9B $183M $7.38B $10.1B
2023-01-28 $31.49 120M $3.78B $153M $7.57B $11.19B
2022-01-29 $60.16 146M $8.78B $1.59B $6.78B $13.98B
2021-01-30 $44.06 154M $6.79B $2.27B $6.74B $11.25B
2020-02-01 $42.75 157M $6.71B $723M $6.12B $12.11B
2019-02-02 $66.69 164M $10.94B $934M $3.5B $13.5B
2018-02-03 $63.47 167M $10.6B $1.31B $4.51B $13.81B
2017-01-28 $39.00 178M $6.94B $1.07B $4.61B $10.48B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-05-02 $14.66 112M $1.64B $429M $6.53B $7.75B
2026-01-31 $17.47 112M $1.96B $119M $6.63B $8.47B
2025-11-01 $16.27 112M $1.82B $144M $6.8B $8.48B
2025-08-02 $10.73 112M $1.2B $174M $6.86B $7.88B
2025-05-03 $7.50 111M $832.5M $153M $7.37B $8.05B
2025-02-01 $13.21 111M $1.47B $134M $7.16B $8.49B
2024-11-02 $18.10 111M $2.01B $174M $7.78B $9.62B
2024-08-03 $20.21 111M $2.24B $231M $7.48B $9.49B
2024-05-04 $24.18 111M $2.68B $228M $7.6B $10.06B
2024-02-03 $26.40 110M $2.9B $183M $7.38B $10.1B
2023-10-28 $21.81 110M $2.4B $190M $8.05B $10.26B
2023-07-29 $28.23 110M $3.11B $204M $7.99B $10.89B