CHS INC - PREFERRED STOCK (CHSCL)

Historical Portfolio Holders from Q1 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / PREFERRED STOCK
Shares, excl. options Q1 2024
89.4 K
Holdings value Q1 2024
$2.3 M
Value change Q1 2024
-$629 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
1
Number of buys Q1 2024
1
Number of sells Q1 2024
-1
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
12542R803
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 89.4 K $2.3 M -$629 K $25.70 1
2023 Q4 114 K $2.89 M +$293 K $25.29 2
2023 Q3 103 K $2.6 M -$26.5 K $25.32 2
2023 Q2 104 K $2.73 M +$471 K $26.28 2
2023 Q1 85.8 K $2.25 M -$443 $26.28 2
2022 Q4 85.9 K $2.23 M -$29.8 K $25.96 4
2022 Q3 81.9 K $2.18 M +$107 K $26.71 3
2022 Q2 77.9 K $2.05 M +$59 K $26.31 3
2022 Q1 258 $8 K +$119 $32.47 2
2021 Q4 76.5 K $2.18 M +$54.1 K $29.49 4
2021 Q3 74.6 K $2.18 M -$90.4 K $29.21 3
2021 Q2 77.7 K $2.27 M -$438 K $29.18 4
2021 Q1 92.7 K $2.67 M -$43.7 K $28.68 4
2020 Q4 94.2 K $2.79 M +$70.6 K $29.54 4
2020 Q3 91.7 K $2.56 M +$85.6 K $27.88 3
2020 Q2 88.6 K $2.28 M +$34.2 K $25.77 3
2020 Q1 87.3 K $2.18 M +$45.5 K $24.96 4
2019 Q4 85.5 K $2.34 M +$271 K $27.37 4
2019 Q3 75.2 K $2.05 M +$88.2 K $27.22 2
2019 Q2 71.9 K $1.96 M -$1.98 M $27.18 2
2019 Q1 145 K $3.94 M -$4.05 M $27.16 3
2018 Q4 312 K $7.88 M -$48.3 K $25.26 3
2018 Q3 314 K $8.57 M +$668 K $27.33 3
2018 Q2 289 K $8.14 M +$596 K $28.14 3
2018 Q1 268 K $7.46 M +$83 K $27.81 3
2017 Q4 265 K $7.46 M -$93.9 K $28.15 3
2017 Q3 268 K $7.7 M +$241 K $28.63 3
2017 Q2 271 K $7.83 M -$111 K $28.89 3
2017 Q1 275 K $7.89 M +$77.9 K $28.72 3
2016 Q4 272 K $7.38 M -$127 K $27.14 3
2016 Q3 276 K $8.14 M +$684 K $29.53 5
2016 Q2 252 K $7.25 M +$578 K $28.75 4
2016 Q1 232 K $6.47 M +$261 K $27.85 4
2015 Q4 223 K $6.02 M +$271 K $27.05 3
2015 Q3 213 K $5.63 M +$1.19 M $26.50 3
2015 Q2 168 K $4.54 M +$1.02 M $27.04 3
2015 Q1 130 K $3.6 M +$3.6 M $27.70 3