We are live on ! Find out more
CSX icon

CSX Corp

Name Holding Trade Value Shares
Change
Change in
Stake
PPSG
451
Princeton Portfolio Strategies Group
New Jersey
$852K -$57.2K -6,300 -6%
GIM
452
Greylin Investment Management
Virginia
$844K -$334K -36,750 -27%
BUB
453
BBVA USA Bancshares
Texas
$843K +$29.4K +3,237 +3%
OFS
454
Orrstown Financial Services
Pennsylvania
$838K +$32.5K +3,582 +4%
UCFA
455
United Capital Financial Advisors
Texas
$838K +$56K +6,165 +7%
William Blair & Company
456
William Blair & Company
Illinois
$832K -$39.5K -4,356 -4%
PGIM
457
Pacific Global Investment Management
California
$832K -$327 -36 -0%
GLRA
458
Gerald L. Ray & Associates
Texas
$816K +$6.86K +756 +0.8%
SC
459
Scotia Capital
Ontario, Canada
$802K
CIM
460
CenturyLink Investment Management
Colorado
$800K +$528K +58,134 +169%
ECM
461
Everence Capital Management
Indiana
$798K +$82K +9,030 +11%
ATC
462
Argent Trust Co
Tennessee
$797K -$3.81K -420 -0.5%
CCM
463
Cullen Capital Management
New York
$790K
BCMO
464
Buckingham Capital Management (Ohio)
Ohio
$772K -$110K -12,120 -12%
ID
465
Integral Derivatives
New York
$769K +$808K +88,953 New
ClearBridge Investments
466
ClearBridge Investments
New York
$753K
TMAM
467
Tokio Marine Asset Management
Japan
$749K -$114K -12,507 -13%
ACP
468
Ashfield Capital Partners
California
$747K -$286K -31,518 -27%
WC
469
Whitnell & Co
Illinois
$746K
FMBTD
470
First Midwest Bank Trust Division
Illinois
$743K -$50.2K -5,532 -6%
Walleye Trading
471
Walleye Trading
New York
$743K +$780K +85,902 New
TTWM
472
TCV Trust & Wealth Management
Virginia
$734K -$23.2K -2,550 -3%
CB
473
Chemical Bank
Michigan
$732K -$34.9K -3,849 -4%
MCA
474
Mercer Capital Advisers
New Jersey
$726K +$28.3K +3,120 +4%
BAM
475
Burnham Asset Management
New York
$720K -$203K -22,410 -21%