C. H. Robinson Worldwide, Inc. (CHRW)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM NEW
Shares, Excl. Options Q1 2024
$107M
Holdings value Q1 2024
$8.15B
Value change Q1 2024
-$2.73M
Grand Portfolio weight change Q1 2024
0%
Number of holders
646
Number of Buys Q1 2024
232
Number of Sells Q1 2024
-333
Average Buys Q1 2024 %
+0.002%
Average Sells Q1 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 107M $8.15B -$2.73M $76.14 587
2023 Q4 107M $9.25B -$76.3M $86.39 648
2023 Q3 109M $9.41B -$57.9M $86.13 610
2023 Q2 110M $10.4B -$142M $94.35 627
2023 Q1 113M $11B +$308M $99.37 629
2022 Q4 112M $10.2B +$30.8M $91.56 645
2022 Q3 114M $11B +$52M $96.31 674
2022 Q2 114M $11.6B -$216M $101.37 665
2022 Q1 119M $12.8B +$3.06M $107.71 643
2021 Q4 120M $12.9B -$81.9M $107.63 636
2021 Q3 120M $10.5B +$128M $87.00 577
2021 Q2 120M $11.3B -$4.61M $93.67 600
2021 Q1 121M $11.6B -$190M $95.43 597
2020 Q4 125M $11.7B +$191M $93.87 598
2020 Q3 128M $13B +$34M $102.19 593
2020 Q2 128M $10.1B +$688M $79.06 576
2020 Q1 121M $8.02B -$133M $66.20 566
2019 Q4 125M $9.81B -$96.1M $78.20 593
2019 Q3 129M $10.9B +$474M $84.78 615
2019 Q2 124M $10.4B +$759M $84.35 603
2019 Q1 119M $10.3B -$104M $86.99 638
2018 Q4 121M $10.1B +$275M $84.09 615
2018 Q3 119M $11.6B +$115M $97.92 624
2018 Q2 121M $10.1B -$497M $83.66 614
2018 Q1 127M $11.9B -$290M $93.71 547
2017 Q4 132M $11.8B +$177M $89.09 569
2017 Q3 133M $10.1B +$600M $76.10 507
2017 Q2 128M $8.76B +$388M $68.68 525
2017 Q1 124M $9.56B +$757M $77.29 537
2016 Q4 126M $9.23B +$407M $73.26 553
2016 Q3 121M $8.53B +$379M $70.46 528
2016 Q2 119M $8.81B +$93.4M $74.25 540
2016 Q1 119M $8.63B +$370M $74.23 541
2015 Q4 114M $7.09B -$7.75M $62.02 506
2015 Q3 116M $7.84B -$91.4M $67.78 486
2015 Q2 123M $7.57B -$106M $62.39 476
2015 Q1 129M $9.46B +$983M $73.22 495
2014 Q4 117M $8.79B -$512M $74.89 486
2014 Q3 118M $7.82B +$99.7M $66.32 433
2014 Q2 124M $7.93B +$473M $63.79 441
2014 Q1 121M $6.28B -$54.7M $52.39 447