BlackRock
CSX Corp · NASDAQ
161,062,005 sh · $7.66B
BlackRock
13F filer
$7.66B
161,062,005 sh
Viking Global Investors
13F filer
$766.7M
18,678,052 sh
Bridgewater Associates
13F filer
$106.0M
2,229,965 sh
Markel Group
13F filer
$27.8M
584,500 sh
Renaissance Technologies
13F filer
$20.7M
503,600 sh
Soros Fund Management
13F filer
$19.3M
592,799 sh
Third Point LLC
13F filer
$18.1M
500,000 sh
Two Sigma Investments
13F filer
$2.5M
60,266 sh
BlackRock
CSX Corp · NASDAQ
161,062,005 sh · $7.66B
Markel Group
CSX Corp · NASDAQ
584,500 sh · $27.8M
Bridgewater Associates
CSX Corp · NASDAQ
2,229,965 sh · $106.0M
Two Sigma Investments
CSX Corp · NASDAQ
60,266 sh · $2.5M
BlackRock
CSX Corp · NASDAQ
160,489,835 sh · $6.59B
Viking Global Investors
CSX Corp · NASDAQ
18,678,052 sh · $766.7M
Renaissance Technologies
CSX Corp · NASDAQ
503,600 sh · $20.7M
Markel Group
CSX Corp · NASDAQ
530,000 sh · $21.8M
Bridgewater Associates
CSX Corp · NASDAQ
2,375,228 sh · $97.5M
BlackRock
CSX Corp · NASDAQ
142,515,724 sh · $5.17B