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CSX Corp

1,123 hedge funds and large institutions have $32.5B invested in CSX Corp in 2020 Q1 according to their latest regulatory filings, with 88 funds opening new positions, 323 increasing their positions, 496 reducing their positions, and 166 closing their positions.

New
Increased
Maintained
Reduced
Closed
Holders
1,123
Holders Change
-94
Holders Change %
-7.72%
% of All Funds
24.81%
Holding in Top 10
15
Holding in Top 10 Change
+1
Holding in Top 10 Change %
+7.14%
% of All Funds
0.33%
New
88
Increased
323
Reduced
496
Closed
166
Calls
$262M
Puts
$265M
Net Calls
-$3.06M
Net Calls Change
-$13M
Name Holding Trade Value Shares
Change
Shares
Change %
AWM
1101
AllSquare Wealth Management
New York
$6K
EIM
1102
Essex Investment Management
Massachusetts
$6K
LWA
1103
Lenox Wealth Advisors
New York
$6K
CCM
1104
Cribstone Capital Management
Maine
$5K
AF
1105
Allworth Financial
California
$5K
APWM
1106
Atlas Private Wealth Management
New York
$5K
SJIM
1107
St. Johns Investment Management
Florida
$4K -$10.8K -525 -73%
CFD
1108
Creative Financial Designs
Indiana
$4K
LS
1109
Leelyn Smith
Illinois
$4K
Kayne Anderson Rudnick Investment Management
1110
Kayne Anderson Rudnick Investment Management
California
$3K
SQA
1111
Simon Quick Advisors
New Jersey
$3K +$3K +162 New
SCA
1112
Stonebridge Capital Advisors
Minnesota
$2K -$1.9K -108 -49%
LWA
1113
Lowe Wealth Advisors
Maryland
$2K
SC
1114
Solstein Capital
California
$2K +$2K +81 New
WQ
1115
Wealth Quarterback
New Jersey
$1.81K -$5.48K -291 -75%
KFS
1116
Kelly Financial Services
Massachusetts
$1.49K
WA
1117
WBH Advisory
Maryland
$1.14K -$19 -1,017 -2%
EWM
1118
EPG Wealth Management
Georgia
$1K -$2.44K -168 -71%
TF
1119
TimeScale Financial
Massachusetts
$1K
PCTC
1120
Perkins Coie Trust Company
Washington
$1K +$1K +33 New
ED
1121
Exane Derivatives
France
$917
NL
1122
NWAM LLC
Washington
$369 -$40 -2,100 -10%
WIM
1123
Westside Investment Management
California
$38 +$38 +2,025 New
CVA
1124
Ceredex Value Advisors
Florida
-$99.9M -4,140,981 Closed
VM
1125
Valinor Management
New York
-$36.9M -1,529,967 Closed