CHS INC - COMMON STOCK (CHSCP)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COMMON STOCK
Shares, excl. options Q2 2024
20.1K
Holdings value Q2 2024
$618K
Value change Q2 2024
+$84.2K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
3
Number of buys Q2 2024
2
Number of sells Q2 2024
0
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 20.1K $618K +$84.2K $30.68 3
2024 Q1 17.4K $543K -$25.4K $31.54 2
2023 Q4 18.2K $564K +$4.02K $31.00 2
2023 Q3 18.1K $554K +$16.1K $30.70 2
2023 Q2 17.6K $526K -$37.8K $29.95 2
2023 Q1 18.8K $557K +$36.9K $29.59 3
2022 Q4 17.6K $493K +$92K $28.05 3
2022 Q3 14.3K $409K +$116K $28.91 2
2022 Q2 10.3K $303K -$4.22K $29.21 2
2022 Q1 10.4K $336K +$9.15K $32.36 2
2021 Q4 10.1K $312K -$15.5K $30.83 2
2021 Q3 10.6K $328K +$13.1K $31.02 2
2021 Q2 10.2K $306K -$10.8K $30.13 2
2021 Q1 10.5K $318K -$19.1K $30.06 3
2020 Q4 11.2K $335K $0 $30.00 3
2020 Q3 10.8K $310K $0 $28.34 2
2020 Q2 10.8K $299K +$22.1K $27.81 2
2020 Q1 10K $254K -$40.4K $25.66 2
2019 Q4 11.6K $325K +$104K $27.99 2
2019 Q3 7.9K $222K $0 $28.05 2
2019 Q2 7.9K $219K +$1.53K $27.85 2
2019 Q1 7.85K $226K -$18.7K $28.79 1
2018 Q4 44.2K $1.19M -$65.3K $26.81 2
2018 Q3 46.6K $1.38M -$646K $29.63 2
2018 Q2 68.4K $2.03M -$585K $29.69 2
2018 Q1 88.1K $2.64M +$26.1K $29.99 2
2017 Q4 87.3K $2.63M -$353K $30.13 2
2017 Q3 99.2K $2.94M +$294K $29.66 3
2017 Q2 89.3K $2.73M +$28.5K $30.63 2
2017 Q1 88.3K $2.67M +$53.6K $30.28 2
2016 Q4 86.5K $2.53M -$1.4M $29.28 2
2016 Q3 86.3K $2.87M -$35K $33.24 2
2016 Q2 87.3K $2.93M -$36.9K $33.52 2
2016 Q1 88.4K $2.73M -$68K $30.90 2
2015 Q4 90.6K $2.81M +$170K $30.94 2
2015 Q3 85.1K $2.54M -$5.98K $29.88 2
2015 Q2 85.3K $2.56M -$36.6K $30.01 2
2015 Q1 86.5K $2.7M -$3.72K $31.21 3
2014 Q4 86.7K $2.7M -$991K $31.16 2
2014 Q3 120K $3.6M -$20K $30.11 3
2014 Q2 120K $3.8M -$10.5K $31.58 3
2014 Q1 121K $3.69M -$82.5K $30.62 3