CSG SYSTEMS INTERNATIONAL INC - Class A Common Stock (CSGS)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CSGS on Nasdaq
Type / Class
Equity / Class A Common Stock
Shares outstanding
29,076,833
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
29,151,843
Holdings value
$1,877,281,507
% of all portfolios
0%
Number of holders
283
Number of buys
131
Number of sells
148
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CSG SYSTEMS INTERNATIONAL INC - Class A Common Stock (CSGS) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 15% $249,189,893 4,268,412 BlackRock, Inc. 31 Mar 2025
LSV ASSET MANAGEMENT 4.8% -6% $84,397,253 -$4,226,853 1,395,688 -4.8% LSV ASSET MANAGEMENT 30 Jun 2025
317 filings reported holding CSGS - CSG SYSTEMS INTERNATIONAL INC - Class A Common Stock as of 30 Sep 2025.
CSG SYSTEMS INTERNATIONAL INC - Class A Common Stock (CSGS) has 283 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 29,151,843 shares of stock. of the company stock as of 30 Sep 2025.

Institutional Holders of CSG SYSTEMS INTERNATIONAL INC - Class A Common Stock (CSGS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 29,151,843 $1,877,281,507 +$547,321 $64.38 283
2025 Q2 29,112,332 $1,901,900,716 +$34,385,110 $65.31 294
2025 Q1 28,629,581 $1,731,231,026 -$28,139,273 $60.47 282
2024 Q4 29,111,892 $1,488,347,242 -$4,640,807 $51.11 261
2024 Q3 28,986,476 $1,410,101,704 -$3,453,552 $48.65 253
2024 Q2 29,290,906 $1,205,888,740 -$90,289,817 $41.17 232
2024 Q1 31,418,260 $1,618,997,793 +$36,992,017 $51.54 259
2023 Q4 133,143 $7,084,538 -$1,139,882 $53.21 1
2023 Q3 29,137,764 $1,489,516,726 +$11,995,128 $51.12 219
2023 Q2 28,896,629 $1,524,421,017 -$17,296,942 $52.74 236
2023 Q1 29,193,381 $1,567,686,023 -$7,417,087 $53.70 231
2022 Q4 29,314,503 $1,676,686,282 -$50,163,916 $57.20 241
2022 Q3 29,139,567 $1,540,961,972 -$13,041,509 $52.88 209
2022 Q2 30,468,848 $1,817,501,306 -$18,536,853 $59.68 245
2022 Q1 31,052,285 $1,973,488,281 -$26,283,975 $63.57 252
2021 Q4 31,521,283 $1,814,223,722 +$31,099,385 $57.62 243
2021 Q3 30,767,641 $1,482,668,897 +$23,857,747 $48.20 215
2021 Q2 30,630,041 $1,444,721,924 +$13,138,203 $47.18 204
2021 Q1 30,320,719 $1,360,964,576 -$20,140,766 $44.89 212
2020 Q4 31,095,431 $1,401,045,112 -$6,600,825 $45.07 211
2020 Q3 31,394,094 $1,284,458,860 -$18,096,119 $40.95 218
2020 Q2 31,768,291 $1,313,813,922 -$8,113,472 $41.39 224
2020 Q1 31,926,289 $1,337,547,250 -$40,563,303 $41.85 216
2019 Q4 32,510,065 $1,680,791,961 -$10,890,140 $51.78 231
2019 Q3 32,361,858 $1,671,076,335 -$24,367,762 $51.68 222
2019 Q2 32,891,037 $1,605,611,253 +$40,428,372 $48.83 210
2019 Q1 33,464,691 $1,415,814,877 +$5,984,185 $42.30 216
2018 Q4 33,340,740 $1,059,178,625 -$18,071,927 $31.77 199
2018 Q3 33,637,623 $1,349,652,438 +$32,446,785 $40.14 207
2018 Q2 32,820,036 $1,340,966,320 +$88,348,580 $40.87 211
2018 Q1 31,437,071 $1,423,605,191 +$1,394,044 $45.29 207
2017 Q4 31,289,691 $1,371,182,143 +$13,014,259 $43.82 198
2017 Q3 30,997,568 $1,242,821,599 -$30,864 $40.10 183
2017 Q2 31,144,447 $1,263,854,803 -$11,872,197 $40.58 191
2017 Q1 30,328,079 $1,147,389,038 +$125,461,039 $37.81 199
2016 Q4 31,401,583 $1,519,860,057 +$3,057,268 $48.40 210
2016 Q3 31,879,389 $1,316,787,092 -$32,702,915 $41.33 213
2016 Q2 32,687,541 $1,317,607,886 -$72,437,770 $40.31 221
2016 Q1 33,869,607 $1,529,314,138 -$33,367,204 $45.16 218
2015 Q4 35,076,077 $1,261,963,423 +$28,144,086 $35.98 200
2015 Q3 34,256,052 $1,054,708,302 +$7,880,345 $30.80 188
2015 Q2 33,857,860 $1,071,940,169 -$7,150,961 $31.66 181
2015 Q1 34,649,539 $1,052,818,873 -$935,439 $30.39 179
2014 Q4 34,722,091 $870,580,378 -$33,560,203 $25.07 163
2014 Q3 35,929,035 $944,201,864 +$25,908,041 $26.28 161
2014 Q2 34,926,116 $911,911,811 +$30,704,381 $26.11 158
2014 Q1 33,563,161 $873,986,007 +$10,992,919 $26.04 161