CSX CORP - Common Stock, $1 Par Value (CSX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CSX on Nasdaq
Type / Class
Equity / Common Stock, $1 Par Value
Shares outstanding
1.94B
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
1.38B
Holdings value
$48.9B
% of all portfolios
0.033%
Grand Portfolio weight change
-0.001%
Number of holders
1705
Number of buys
765
Number of sells
-680
Average Value change %
0%
Average buys %
+0.006%
Average sells %
-0.009%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CSX CORP - Common Stock, $1 Par Value (CSX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
JPMORGAN CHASE & CO 5.5% $2.99B 107M JPMORGAN CHASE & CO. 31 Dec 2024

Institutional Holders of CSX CORP - Common Stock, $1 Par Value (CSX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.38B $48.9B -$782M $35.51 1,705
2025 Q2 1.41B $45.9B +$539M $32.63 1,680
2025 Q1 1.39B $41B -$2.07B $29.43 1,651
2024 Q4 1.47B $47.3B +$1.13B $32.27 1,712
2024 Q3 1.42B $49B -$350M $34.53 1,656
2024 Q2 1.43B $47.8B -$459M $33.45 1,650
2024 Q1 1.44B $53.3B -$153M $37.07 1,684
2023 Q4 1.44B $49.9B -$399M $34.67 1,659
2023 Q3 1.45B $44.7B -$1.01B $30.75 1,534
2023 Q2 1.48B $50.5B -$651M $34.10 1,572
2023 Q1 1.5B $44.9B -$452M $29.94 1,488
2022 Q4 1.52B $47.1B -$780M $30.98 1,502
2022 Q3 1.55B $41.4B -$1.11B $26.64 1,425
2022 Q2 1.59B $46.1B -$756M $29.06 1,457
2022 Q1 1.62B $60.6B -$527M $37.45 1,557
2021 Q4 1.63B $61.3B -$259M $37.60 1,532
2021 Q3 1.64B $48.9B +$66.1M $29.74 1,341
2021 Q2 1.64B $52.6B +$34B $32.08 1,355
2021 Q1 562M $54.2B -$598M $96.42 1,368
2020 Q4 569M $51.6B -$101M $90.75 1,352
2020 Q3 571M $44.3B +$57.8M $77.67 1,201
2020 Q2 570M $39.7B +$408M $69.74 1,135
2020 Q1 564M $32.3B -$433M $57.30 1,114
2019 Q4 571M $41.3B -$2.18B $72.36 1,211
2019 Q3 602M $41.7B -$651M $69.27 1,104
2019 Q2 610M $47.2B +$91.6M $77.37 1,214
2019 Q1 618M $46.2B -$487M $74.82 1,185
2018 Q4 626M $38.9B -$531M $62.13 1,178
2018 Q3 639M $47.3B -$762M $74.05 1,160
2018 Q2 650M $41.4B -$1.08B $63.78 1,094
2018 Q1 666M $37.1B -$292M $55.71 1,034
2017 Q4 672M $37B -$357M $55.01 1,043
2017 Q3 635M $34.4B -$582M $54.26 966
2017 Q2 646M $35.2B +$932M $54.56 989
2017 Q1 649M $30.2B +$1.73B $46.55 969
2016 Q4 667M $24B +$201M $35.93 909
2016 Q3 664M $20.3B +$295M $30.50 822
2016 Q2 657M $17.1B -$206M $26.08 811
2016 Q1 663M $17.1B -$298M $25.75 806
2015 Q4 677M $17.6B -$26.8M $25.95 822
2015 Q3 668M $18B -$190M $26.90 820
2015 Q2 674M $22B +$369M $32.65 865
2015 Q1 670M $22.2B +$231M $33.12 862
2014 Q4 662M $24B -$301M $36.23 892
2014 Q3 663M $21.3B -$243M $32.06 825
2014 Q2 669M $20.6B +$334M $30.81 814
2014 Q1 657M $19B -$38.2M $28.97 805