KANSAS CITY SOUTHERN - COM NEW (KSU)

Historical Holders from Q1 2014 to Q1 2025

Symbol
KSU
CUSIP
485170302
Type / Class
Equity / COM NEW
All holders as of December 31, 2024
Q4 2024
13F shares, excl. options
3.9K
Holdings value
$483K
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of KANSAS CITY SOUTHERN - COM NEW (KSU)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 0 $0 -$483K 0
2024 Q4 3.9K $483K $208.88 2
2024 Q3 1 $294 $0 $294.00 1
2024 Q2 1 $294 $0 $294.00 1
2024 Q1 1 $294 $0 $294.00 1
2023 Q4 1 $294 $0 $294.00 1
2023 Q3 1 $294 $0 $294.00 1
2023 Q2 1 $294 $0 $294.00 1
2023 Q1 1 $294 $0 $294.00 1
2022 Q4 1 $294 +$294 $294.00 1
2022 Q1 5.52K $1.46M -$733K $264.01 1
2021 Q4 2.92K $598K -$20.6B $266.67 3
2021 Q3 79.4M $21.5B +$181M $270.64 709
2021 Q2 80.2M $22.7B +$271M $283.37 758
2021 Q1 80.1M $21.1B +$345M $263.92 773
2020 Q4 76M $15.5B -$420M $204.13 721
2020 Q3 78.6M $14.2B -$570M $180.83 695
2020 Q2 82.7M $12.3B -$285M $149.29 665
2020 Q1 84.7M $10.8B -$172M $127.18 623
2019 Q4 87.6M $13.4B -$113M $153.16 669
2019 Q3 88M $11.7B +$99.6M $133.01 593
2019 Q2 87.5M $10.7B +$262M $121.82 580
2019 Q1 87.1M $10.1B -$225M $115.98 594
2018 Q4 89.6M $8.56B -$6.78M $95.45 556
2018 Q3 89.4M $10.1B -$128M $113.28 603
2018 Q2 90.6M $9.6B +$120M $105.96 578
2018 Q1 90.1M $9.89B -$33.9M $109.85 563
2017 Q4 90.9M $9.57B +$358M $105.22 581
2017 Q3 86.2M $9.36B -$93.6M $108.68 526
2017 Q2 90.1M $9.43B -$135M $104.65 499
2017 Q1 87.5M $7.51B +$597M $85.76 503
2016 Q4 92.3M $7.82B -$83.7M $84.85 515
2016 Q3 93M $8.67B -$224M $93.32 498
2016 Q2 95.5M $8.6B -$580M $90.09 494
2016 Q1 102M $8.76B -$14.8M $85.45 475
2015 Q4 104M $7.74B +$152M $74.67 451
2015 Q3 100M $9.08B +$70.9M $90.88 471
2015 Q2 95.5M $8.71B +$43.3M $91.20 471
2015 Q1 100M $10.2B -$39.1M $102.08 470
2014 Q4 100M $12.2B +$11.9M $122.03 477
2014 Q3 101M $12.2B +$327M $121.20 444
2014 Q2 98.6M $10.6B +$132M $107.51 454
2014 Q1 98.4M $10B -$104M $102.06 452