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Chuck Royce’s LSTR Holdings & Trades

First Buy
Q2 2013
Duration Held
52 Quarters
Largest Add
Q2 2013
+2.5 M Shares
Current Position
230,585 Shares
$36.97 M Value

Chuck Royce's LSTR Position Overview

Chuck Royce (via Royce & Associates Lp) currently holds 230,585 shares of Landstar System, Inc. (LSTR) worth $36.97 M, representing 0.36% of the portfolio. First purchased in 2013-Q2, this long-term strategic position has been held for 52 quarters.

Based on 13F filings since 2013, Chuck Royce has maintained a long-term strategic position in LSTR, representing a significant commitment to this investment thesis. Largest addition occurred in Q4 2025, adding 53,793 shares. Largest reduction occurred in Q2 2015, reducing 328,300 shares.

Analysis based on 13F filings available since 2013 Q2

Chuck Royce's Landstar System (LSTR) Holding Value Over Time

Track share changes against reported price movement

Quarterly Landstar System (LSTR) Trades by Chuck Royce

Report Date Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q1 2026 -53,973 Reduce 18.97% 230,585 $160.31
Q4 2025 +53,793 Add 23.31% 284,558 $143.70
Q3 2025 -3,094 Reduce 1.32% 230,765 $122.56
Q2 2025 -29,103 Reduce 11.07% 233,859 $139.02
Q1 2025 -78,495 Reduce 22.99% 262,962 $150.20
Q4 2024 +9,993 Add 3.01% 341,457 $171.86
Q3 2024 +33,962 Add 11.42% 331,464 $188.87
Q2 2024 -23,435 Reduce 7.30% 297,502 $184.48
Q1 2024 -34,566 Reduce 9.72% 320,937 $192.76
Q4 2023 -12,079 Reduce 3.29% 355,503 $193.65
Q3 2023 -3,639 Reduce 0.98% 367,582 $176.94
Q2 2023 -9,872 Reduce 2.59% 371,221 $192.54
Q1 2023 -8,885 Reduce 2.28% 381,093 $179.26
Q4 2022 -55,905 Reduce 12.54% 389,978 $162.90
Q3 2022 -8,627 Reduce 1.90% 445,883 $144.37
Q2 2022 -10,854 Reduce 2.33% 454,510 $145.42
Q1 2022 +25,848 Add 5.88% 465,364 $150.83
Q4 2021 -13,723 Reduce 3.03% 439,516 $179.02
Q3 2021 +18,790 Add 4.33% 453,239 $157.82
Q2 2021 -45,583 Reduce 9.50% 434,449 $158.02
Q1 2021 -12,172 Reduce 2.47% 480,032 $165.06
Q4 2020 -21,978 Reduce 4.27% 492,204 $134.66
Q3 2020 -34,940 Reduce 6.36% 514,182 $125.49
Q2 2020 -6,899 Reduce 1.24% 549,122 $112.31
Q1 2020 -11,332 Reduce 2.00% 556,021 $95.86
Q4 2019 -10,422 Reduce 1.80% 567,353 $113.87
Q3 2019 -32,950 Reduce 5.40% 577,775 $112.58
Q2 2019 -214,838 Reduce 26.02% 610,725 $107.99
Q1 2019 -9,996 Reduce 1.20% 825,563 $109.39
Q4 2018 -81,676 Reduce 8.90% 835,559 $95.67
Q3 2018 -96,911 Reduce 9.56% 917,235 $122.00
Q2 2018 -33,500 Reduce 3.20% 1.01 M $109.20
Q1 2018 -131,639 Reduce 11.16% 1.05 M $109.65
Q4 2017 -93,881 Reduce 7.37% 1.18 M $104.10
Q3 2017 -82,444 Reduce 6.08% 1.27 M $99.65
Q2 2017 +7,100 Add 0.53% 1.36 M $85.60
Q1 2017 -35,400 Reduce 2.56% 1.35 M $85.65
Q4 2016 -125,400 Reduce 8.31% 1.38 M $85.30
Q3 2016 -40,100 Reduce 2.59% 1.51 M $68.08
Q2 2016 +38,400 Add 2.54% 1.55 M $68.66
Q1 2016 -206,740 Reduce 12.04% 1.51 M $64.61
Q4 2015 +13,250 Add 0.78% 1.72 M $58.65
Q3 2015 -88,300 Reduce 4.93% 1.7 M $63.47
Q2 2015 -328,300 Reduce 15.48% 1.79 M $66.87
Q1 2015 -283,940 Reduce 11.81% 2.12 M $66.30
Q4 2014 -50,400 Reduce 2.05% 2.41 M $72.53
Q2 2014 -2,000 Reduce 0.08% 2.46 M $64.00
Q3 2013 -46,860 Reduce 1.87% 2.46 M $55.98
Q2 2013 +2.5 M Add 0.00% 2.5 M $51.50

Chuck Royce's Landstar System Investment FAQs

Chuck Royce first purchased Landstar System, Inc. (LSTR) in Q2 2013, acquiring 2,504,300 shares, as reported in their 13F filing for that period. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

Chuck Royce has held Landstar System, Inc. (LSTR) for 52 quarters since Q2 2013.

Chuck Royce's largest addition to Landstar System, Inc. (LSTR) was in Q2 2013, adding 2,504,300 shares worth $128.97 M.

According to the latest 13F filing for Q1 2026, Chuck Royce's firm, Royce & Associates Lp, owns 230,585 shares of Landstar System, Inc. (LSTR), valued at approximately $36.97 M.

As of the Q1 2026 filing, Landstar System, Inc. (LSTR) represents approximately 0.36% of Chuck Royce's publicly disclosed stock portfolio, making it one of their key holdings.

Chuck Royce's peak holding in Landstar System, Inc. (LSTR) was 2,504,300 shares, as reported at the end of Q2 2013.