CHS INC - PFD (CHSCP) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / PFD
Symbol
CHSCP on Nasdaq
Price per share
$27.70
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
22,533
Total reported value
$670,052
% of total 13F portfolios
0%
Share change
-1,605
Value change
-$47,671
Number of holders
4
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 4 institutional investors reported holding 22,533 shares of CHS INC - PFD (CHSCP).

Institutional Holders of CHS INC - PFD (CHSCP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 190 $5,263 $27.70 1
2025 Q3 22,533 $670,052 -$47,671 $29.75 4
2025 Q2 24,138 $665,394 -$179,978 $27.55 3
2025 Q1 30,669 $852,805 +$54,847 $27.80 4
2024 Q4 28,696 $808,365 +$154,787 $28.21 3
2024 Q3 23,209 $703,280 +$92,871 $30.29 3
2024 Q2 20,143 $617,506 +$84,155 $30.68 3
2024 Q1 17,400 $542,779 -$25,431 $31.54 2
2023 Q4 18,218 $563,898 +$4,022 $31.00 2
2023 Q3 18,088 $553,891 +$16,065 $30.70 2
2023 Q2 17,563 $526,005 -$37,809 $29.95 2
2023 Q1 18,838 $557,402 +$36,898 $29.59 3
2022 Q4 17,591 $493,412 +$91,975 $28.05 3
2022 Q3 14,312 $409,000 +$115,850 $28.91 2
2022 Q2 10,251 $303,000 -$4,223 $29.21 2
2022 Q1 10,393 $336,000 +$9,148 $32.36 2
2021 Q4 10,110 $312,000 -$15,454 $30.83 2
2021 Q3 10,612 $328,000 +$13,064 $31.02 2
2021 Q2 10,189 $306,000 -$10,764 $30.13 2
2021 Q1 10,548 $318,000 -$19,056 $30.06 3
2020 Q4 11,176 $335,000 $0 $30.00 3
2020 Q3 10,819 $310,000 $0 $28.34 2
2020 Q2 10,819 $299,000 +$22,095 $27.81 2
2020 Q1 10,019 $254,000 -$40,357 $25.66 2
2019 Q4 11,613 $325,000 +$103,909 $27.99 2
2019 Q3 7,900 $222,000 $0 $28.05 2
2019 Q2 7,900 $219,000 +$1,534 $27.85 2
2019 Q1 7,850 $226,000 -$18,713 $28.79 1
2018 Q4 44,207 $1,185,000 -$65,315 $26.81 2
2018 Q3 46,642 $1,382,000 -$645,689 $29.63 2
2018 Q2 68,434 $2,032,000 -$584,561 $29.69 2
2018 Q1 88,121 $2,643,000 +$26,060 $29.99 2
2017 Q4 87,252 $2,629,000 -$352,781 $30.13 2
2017 Q3 99,184 $2,942,000 +$294,119 $29.66 3
2017 Q2 89,250 $2,734,000 +$28,496 $30.63 2
2017 Q1 88,320 $2,674,000 +$53,641 $30.28 2
2016 Q4 86,548 $2,534,000 -$1,402,783 $29.28 2
2016 Q3 86,293 $2,868,000 -$35,028 $33.24 2
2016 Q2 87,347 $2,928,000 -$36,875 $33.52 2
2016 Q1 88,447 $2,733,000 -$67,981 $30.90 2
2015 Q4 90,647 $2,805,000 +$170,390 $30.94 2
2015 Q3 85,141 $2,544,000 -$5,976 $29.88 2
2015 Q2 85,341 $2,561,000 -$36,609 $30.01 2
2015 Q1 86,536 $2,701,000 -$3,725 $31.21 3
2014 Q4 86,661 $2,700,000 -$991,231 $31.16 2
2014 Q3 119,573 $3,600,000 -$20,018 $30.11 3
2014 Q2 120,238 $3,796,000 -$10,511 $31.58 3
2014 Q1 120,571 $3,691,000 -$82,504 $30.62 3