Csx Corp (CSX)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$1.38B
Holdings value Q1 2024
$51.1B
Value change Q1 2024
-$762M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1698
Number of Buys Q1 2024
706
Number of Sells Q1 2024
-668
Average Buys Q1 2024 %
+0.008%
Average Sells Q1 2024 %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 1.36B $50.5B -$785M $37.07 1,620
2023 Q4 1.42B $49.1B +$378M $34.67 1,671
2023 Q3 1.43B $43.9B -$946M $30.75 1,547
2023 Q2 1.46B $49.7B -$289M $34.10 1,588
2023 Q1 1.48B $44.2B +$721M $29.94 1,512
2022 Q4 1.52B $48.4B +$415M $30.98 1,539
2022 Q3 1.55B $41.4B -$477M $26.64 1,457
2022 Q2 1.59B $45.8B -$312M $29.06 1,500
2022 Q1 1.62B $60.5B -$189M $37.45 1,596
2021 Q4 1.63B $61.3B +$699M $37.60 1,571
2021 Q3 1.64B $48.8B +$471M $29.74 1,387
2021 Q2 1.64B $52.5B +$34.6B $32.08 1,408
2021 Q1 562M $54.1B -$225M $96.42 1,401
2020 Q4 569M $51.6B +$222M $90.75 1,400
2020 Q3 571M $44.3B +$97.4M $77.67 1,250
2020 Q2 570M $39.7B +$185M $69.74 1,182
2020 Q1 565M $32.4B -$114M $57.30 1,173
2019 Q4 571M $41.3B +$661M $72.36 1,267
2019 Q3 602M $41.7B +$363M $69.27 1,158
2019 Q2 610M $47.2B +$1.49B $77.37 1,277
2019 Q1 618M $46.2B -$210M $74.82 1,250
2018 Q4 626M $38.9B -$254M $62.13 1,248
2018 Q3 639M $47.3B -$486M $74.05 1,226
2018 Q2 650M $41.4B -$461M $63.78 1,159
2018 Q1 667M $37.1B +$319M $55.71 1,091
2017 Q4 672M $37B +$917M $55.01 1,105
2017 Q3 635M $34.4B +$404M $54.26 1,038
2017 Q2 646M $35.2B +$1.42B $54.56 1,051
2017 Q1 649M $30.2B +$2.84B $46.55 1,048
2016 Q4 668M $24B +$470M $35.93 990
2016 Q3 664M $20.3B +$533M $30.50 879
2016 Q2 657M $17.1B -$57M $26.08 860
2016 Q1 670M $17.1B +$67M $25.75 859
2015 Q4 677M $17.6B +$357M $25.95 884
2015 Q3 675M $18.2B +$111M $26.90 876
2015 Q2 681M $21.9B +$705M $32.65 920
2015 Q1 670M $22.2B +$488M $33.12 900
2014 Q4 663M $24B -$45.8M $36.23 946
2014 Q3 663M $21.3B -$174M $32.06 880
2014 Q2 669M $20.6B +$504M $30.81 857
2014 Q1 657M $19B +$181M $28.97 852