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Union Pacific Corporation shares owned by Chevy Chase Trust Holdings

Quarter-by-quarter ownership of Union Pacific Corporation (UNP) shares owned by Chevy Chase Trust Holdings from 13F filings

Historical chart of Chevy Chase Trust Holdings investment in Union Pacific Corporation

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All positions including Union Pacific Corporation held by Chevy Chase Trust Holdings consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Union Pacific Corporation by Chevy Chase Trust Holdings

Quarter filed Position value Share count Share price at filing
2024-03-31 $86M 348k 245.93
2023-12-31 $86M 351k 245.62
2023-09-30 $72M 352k 203.63
2023-06-30 $74M 360k 204.62
2023-03-31 $2.2M 11k 201.26
2022-12-31 $76M 367k 207.07
2022-09-30 $77M 395k 194.82
2022-06-30 $84M 394k 213.25
2022-03-31 $109M 398k 273.21
2021-12-31 $101M 400k 251.93
2021-09-30 $81M 416k 195.98
2021-06-30 $97M 439k 219.91
2021-03-31 $103M 465k 220.40
2020-12-31 $104M 501k 208.22
2020-09-30 $103M 520k 196.89
2020-06-30 $95M 564k 169.05
2020-03-31 $86M 608k 141.06
2019-12-31 $109M 599k 181.25
2019-09-30 $99M 608k 161.96
2019-06-30 $103M 611k 169.11
2019-03-31 $104M 623k 167.19
2018-12-31 $87M 627k 138.23
2018-09-30 $102M 628k 162.80
2018-06-30 $95M 673k 141.71
2018-03-31 $92M 685k 134.43
2017-12-31 $94M 701k 134.10
2017-09-30 $83M 718k 115.97
2017-06-30 $78M 717k 108.90
2017-03-31 $77M 723k 105.92
2016-12-31 $74M 711k 103.68
2016-09-30 $70M 716k 97.55
2016-06-30 $64M 737k 87.24
2016-03-31 $58M 732k 79.55
2015-12-31 $56M 721k 78.18
2015-09-30 $65M 730k 88.38
2015-06-30 $68M 712k 95.36
2015-03-31 $77M 709k 108.33
2014-12-31 $82M 689k 119.10
2014-09-30 $76M 702k 108.44
2014-06-30 $66M 666k 99.73
2014-03-31 $64M 341k 187.74
2013-12-31 $58M 345k 167.94
2013-09-30 $53M 343k 155.22
2013-06-30 $1.3M 8.7k 154.24
2013-03-31 $48M 338k 142.38
2012-12-31 $45M 354k 125.97
2012-09-30 $39M 324k 118.70
2012-06-30 $35M 295k 119.32
2012-03-31 $30M 282k 107.50
2011-12-31 $28M 261k 105.94
2011-09-30 $21M 259k 81.69
2011-06-30 $27M 263k 104.40
2011-03-31 $25M 255k 98.34
2010-12-31 $43M 464k 92.66