CHS INC - PFD (CHSCM)

Historical Holders from Q3 2014 to Q1 2025

Symbol
CHSCM on Nasdaq
CUSIP
12542R704
Type / Class
Equity / PFD
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
27.1K
Holdings value
$672K
Grand Portfolio weight change
0%
Number of holders
4
Number of sells
-1
Average Value change %
0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CHS INC - PFD (CHSCM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 2K $49.1K $24.53 1
2024 Q4 27.1K $672K -$183K $24.79 4
2024 Q3 33.3K $867K +$108K $26.01 4
2024 Q2 29.3K $735K +$1.68K $25.09 4
2024 Q1 29.2K $734K -$205K $25.12 3
2023 Q4 37.6K $926K -$296K $24.63 3
2023 Q3 49.4K $1.24M +$288K $25.03 4
2023 Q2 37.9K $957K $0 $25.25 3
2023 Q1 37.9K $947K -$2.15K $25.00 3
2022 Q4 38K $913K +$1.13K $24.03 4
2022 Q3 38K $939K +$10.9K $24.75 3
2022 Q2 37.5K $962K +$9.27K $25.64 3
2022 Q1 50 $1K $0 $20.00 1
2021 Q4 50 $1K +$1K $20.00 1
2021 Q3 37.1K $1.04M -$202K $28.11 3
2021 Q2 44.3K $1.26M -$269K $28.38 3
2021 Q1 53.8K $1.49M $0 $27.62 2
2020 Q4 53.8K $1.5M -$8.38K $27.81 2
2020 Q3 54.1K $1.42M +$9.02K $26.25 2
2020 Q2 53.8K $1.28M -$33.5K $23.91 2
2020 Q1 55.3K $1.23M -$47.5K $22.10 2
2019 Q4 57.4K $1.53M $0 $26.71 1
2019 Q3 57.4K $1.51M -$43.6K $26.32 1
2019 Q2 58.6K $1.51M $0 $25.84 1
2019 Q1 59.1K $1.53M -$328K $26.19 2
2018 Q4 72.6K $1.75M +$1.45M $24.05 2
2018 Q3 12.5K $329K +$2.7K $26.24 1
2018 Q2 12.4K $329K +$2.65K $26.45 1
2018 Q1 12.3K $332K -$21.4K $26.91 1
2017 Q4 13.1K $348K +$2.78K $26.50 1
2017 Q3 13K $359K +$2.76K $27.55 1
2017 Q2 12.9K $366K +$2.86K $28.31 1
2017 Q1 12.8K $359K -$2.86K $27.99 1
2016 Q4 12.9K $340K -$340K $26.30 1
2016 Q3 24.8K $710K +$13.1K $28.60 3
2016 Q2 24.4K $695K +$8.67K $28.50 3
2016 Q1 24.5K $652K +$25.8K $26.57 4
2015 Q4 23.1K $620K +$1.13K $26.85 3
2015 Q3 23.1K $597K -$11.8K $25.90 3
2015 Q2 23.5K $598K +$293K $25.45 3
2015 Q1 12K $312K $0 $26.00 2
2014 Q4 12K $305K $0 $25.45 2
2014 Q3 12K $306K +$306K $25.50 2