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American Homes 4 Rent (AMH)

USD33.57 -0.23 (-0.68%)
US NYSE S&P 500 Real Estate REIT - Residential
Address 23975 Park Sorrento 91302
Calabasas, CA, US
CEO Bryan Smith
IPO 2013-08-01
CIK 1562401 ISIN US02665T3068

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Also trades on London Stock Exchange · 0HEJ.L (USD) New York Stock Exchange · AMH (USD) New York Stock Exchange · AMH-PE (USD) New York Stock Exchange · AMH-PF (USD) New York Stock Exchange · AMH-PG (USD) New York Stock Exchange · AMH-PH (USD)
Description

American Homes 4 Rent (AMH, listed on the NYSE) holds a leading position in the single-family rental housing market. This company is rapidly establishing itself as a nationally recognized brand, highly regarded for providing rental homes that offer superior quality, excellent value, and ensure high tenant satisfaction. Operating as an internally managed Maryland Real Estate Investment Trust (REIT), AMH's core activities involve the strategic acquisition, development, refurbishment, leasing, and ongoing management of attractive single-family properties for rent. By September 30, 2020, its extensive portfolio consisted of 53,229 single-family residences, strategically located across selected submarkets in 22 U.S. states.

News Sentiment (7d)
76 Positive

Based on only 1 article — low confidence

Market Cap & Enterprise Value
Merger & Acquisition History
Target company Ticker Date Filing
ARP OP ARPI 2015-12-22 View
American Homes 4 Rent AMH 2015-12-22 View

Index membership

IndexAddedRemovedStatus
S&P 500 1986-10-23 Active
Technical Outlook
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Signal Summary Loading…
Indicator 1D1W2W3W1M
Each column is computed on that timeframe's candles (1D = daily, 1W ≈ weekly, 1M ≈ monthly), not on the same last day. ▲ bullish · ▼ bearish · — neutral. The Net row counts signals per column; hover any cell (or the indicator name) to see the exact rule behind it.
Day Score & sub-scores
Statistical fingerprint & regime detail
Conditional historical analysis
Customize analysis (advanced)
Indicative levels generated algorithmically. Not financial advice.
Risk Profile
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Price Chart
Averages
Trend
Price
Levels
Draw
USD33.57 -0.23 (-0.68%)
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Volume Profile
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Liquidity & share structure
Average Volume
3M
Beta
0.82
Float Shares
333.86M
Free Float %
91.9%
Price Performance
1D5D1M3M6M YTD1Y3Y5Y10YMax
-1.50% -2.47% +6.12% -0.16% -0.38% -1.65% -16.22% -9.54% -14.21% +77.96% +102.37%
Rolling Volatility
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Drawdown
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Relative Strength
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Monthly Returns Heatmap
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Annual Monthly Returns
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Daily Returns Distribution
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Revenue flow

Revenue by geography

Revenue by segment

From To

Revenue composition

From To

By product

By geography

Financial Statements

Income Statement

Balance Sheet

Cash Flow Statement

Key Metrics

Financial Ratios

Employees

Financial Growth (CAGR)

Market Data

Analyst Consensus (36 ratings, all time) Buy
Price Targets & DCF
Current price
33.57
Low 32.00 -4.7%
Consensus 35.00 +4.3%
Median 35.00 +4.3%
High 37.50 +11.7%
DCF (Unlevered) 115.39 +243.7%
DCF (Levered) 66.30 +97.5%

DCF figures are point estimates: small changes in growth or discount-rate assumptions move them materially. Read them as a reference, not a precise target.

Ratings Trend (MoM) 50% Bullish
Rating 2026-05 Change
Strong Buy 5 0
Buy 7 0
Hold 12 0
Sell 0 0
Strong Sell 0 0
Price Target Summary
Period # Analysts Avg Target
Last Month 2
34.75
+3.5%
Last Quarter 3
34.83
+3.8%
Last Year 17
35.65
+6.2%
All Time 49
39.62
+18.0%
Quality scores
Altman Z-Score
1.49
Distress
Piotroski F-Score
6 / 9
Average
Composite Rating
B+
Overall Score
3 / 5
Medium
DCF Score
5 / 5
High
ROE Score
3 / 5
Medium
ROA Score
4 / 5
High
D/E Score
3 / 5
Medium
P/E Score
2 / 5
Medium
P/Book Score
2 / 5
Medium
Operational MOAT
★ Strong MOAT
  • Revenue growth
    +8.0% Q1'26: +2.8% (vs Q1'25)
  • EPS growth
    +9.3% Q1'26: +16.7% (vs Q1'25)
  • FCF margin
    Q1'26: +38.1% (vs Q1'25)
  • EBIT margin
    Q1'26: +44.5% (vs Q1'25)
  • ROIC
    Q1'26: +6.6% (vs Q1'25)
  • Share dilution
    +0.8% Q1'26: -1.7% (vs Q1'25)
  • Debt / EBITDA
    4.26× Q1'26: 3.81× (vs Q1'25)
Valuation Multiples From To
Price Forecast (3Y) From To
Model
Adjust
P/E
Theoretical Return — If Invested Today

* These projections are based on analyst consensus estimates and user-defined valuation multiples. This table is for informational purposes only and does not constitute a recommendation to buy or sell any security. Past performance is not indicative of future results.

DCF Interactive Model (UFCF)
Projection years:
Market assumptions
WACC components (optional)
Ke (Cost of Equity) = Rf + β (0.83) × ERP
WACC = 70% × Ke + 30% × Kd (4.0%) × (1−t)

Modifying these values recalculates WACC automatically.

Business assumptions
Intrinsic value (base): 119.52 Current price: 33.57
Enterprise Value: Equity Value: Terminal Value: TV as % of EV:

Base values reflect the latest available data for this company and market conditions.

Consensus Estimates
Metric Dec 2015
actual
Dec 2016
actual
Dec 2017
actual
Dec 2018
actual
Dec 2019
actual
Dec 2020
actual
Dec 2021
actual
Dec 2022
actual
Dec 2023
actual
Dec 2024
actual
Dec 2025
actual
Dec 2026
9 Rev. Ana.
5 EPS Ana.
Dec 2027
8 Rev. Ana.
5 EPS Ana.
Dec 2028
3 Rev. Ana.
3 EPS Ana.
Revenue
630.58M
est: 631.30M (-0.1%)
878.89M
est: 880.46M (-0.2%)
960.40M
est: 948.41M (+1.3%)
1.07B
est: 909.00M (+18.0%)
1.13B
est: 1.14B (-1.0%)
1.17B
est: 1.19B (-1.2%)
1.30B
est: 1.31B (-0.6%)
1.49B
est: 1.49B (+0.1%)
1.62B
est: 1.68B (-3.2%)
1.73B
est: 1.74B (-0.4%)
1.87B
est: 1.85B (+0.7%)
1.89B
1.87B – 1.92B
+2.2% YoY
1.97B
1.93B – 2.01B
+3.8% YoY
2.06B
2.05B – 2.06B
+4.7% YoY
EBITDA
280.31M
est: 229.86M (+22.0%)
420.94M
est: 569.62M (-26.1%)
487.06M
est: 468.71M (+3.9%)
532.58M
est: 832.46M (-36.0%)
556.95M
est: 546.75M (+1.9%)
570.44M
est: 442.28M (+29.0%)
640.72M
est: 531.25M (+20.6%)
731.54M
est: 443.37M (+65.0%)
806.26M
est: 1.27B (-36.4%)
874.31M
est: 1.31B (-33.3%)
1.20B
est: 1.40B (-14.0%)
1.43B
1.42B – 1.45B
+2.2% YoY
1.48B
1.45B – 1.51B
+3.8% YoY
1.55B
1.55B – 1.56B
+4.7% YoY
EBIT
50.57M
est: -38.06M (+232.9%)
153.47M
est: 23.72M (+547.1%)
198.97M
est: 201.30M (-1.2%)
224.89M
est: 347.60M (-35.3%)
235.65M
est: 228.29M (+3.2%)
231.39M
est: 184.27M (+25.6%)
271.77M
est: 227.62M (+19.4%)
307.71M
est: 141.08M (+118.1%)
352.71M
est: 861.26M (-59.0%)
400.70M
est: 890.89M (-55.0%)
698.59M
est: 951.08M (-26.5%)
972.19M
961.90M – 987.62M
+2.2% YoY
1.01B
988.52M – 1.03B
+3.8% YoY
1.06B
1.06B – 1.06B
+4.7% YoY
Net Income
-62.30M
est: -52.56M (-18.5%)
6.70M
est: 18.20M (-63.2%)
81.00M
est: 13.54M (+498.2%)
108.27M
est: 164.71M (-34.3%)
141.04M
est: 129.56M (+8.9%)
140.37M
est: 102.42M (+37.1%)
189.09M
est: 148.49M (+27.3%)
273.14M
est: 156.13M (+74.9%)
380.17M
est: 351.03M (+8.3%)
412.43M
est: 328.24M (+25.6%)
452.97M
est: 373.56M (+21.3%)
277.20M
274.32M – 280.09M
-25.8% YoY
280.44M
276.23M – 284.64M
+1.2% YoY
275.28M
231.69M – 318.86M
-1.8% YoY
SGA
26.87M
est: 23.85M (+12.6%)
33.07M
est: 44.96M (-26.4%)
34.73M
est: 43.68M (-20.5%)
36.58M
est: 56.60M (-35.4%)
43.21M
est: 39.30M (+9.9%)
48.52M
est: 35.60M (+36.3%)
56.44M
est: 43.64M (+29.3%)
70.76M
est: 47.82M (+48.0%)
77.62M
est: 78.29M (-0.9%)
86.99M
est: 80.98M (+7.4%)
83.01M
est: 86.45M (-4.0%)
88.37M
87.44M – 89.78M
+2.2% YoY
91.73M
89.86M – 93.60M
+3.8% YoY
96.00M
95.91M – 96.09M
+4.7% YoY
EPS
-0.40
est: -0.34 (-18.7%)
-0.14
est: -0.18 (+23.3%)
-0.08
est: 0.04 (-327.8%)
0.08
est: 0.09 (-6.4%)
0.29
est: 0.27 (+7.4%)
0.28
est: 0.24 (+14.7%)
0.42
est: 0.38 (+10.6%)
0.72
est: 0.57 (+25.3%)
1.01
est: 0.96 (+4.9%)
1.08
est: 0.89 (+21.0%)
1.18
est: 1.02 (+16.1%)
0.75
0.74 – 0.76
-26.5% YoY
0.76
0.74 – 0.77
+1.2% YoY
0.74
0.62 – 0.86
-2.0% YoY
Recent Grade Changes (3M)
Date Firm Previous New Grade Action
2026-04-27 Barclays Equal Weight Equal Weight Maintain
Historical Ratings (3M)
Date Rating Overall DCF ROE ROA D/E P/E P/B
2026-05-12 A- 4/5 5/5 4/5 4/5 3/5 2/5 2/5
2026-05-11 A- 4/5 5/5 4/5 4/5 3/5 2/5 2/5
2026-05-08 B+ 3/5 5/5 3/5 4/5 3/5 2/5 2/5
2026-05-07 A- 4/5 5/5 3/5 5/5 3/5 2/5 2/5
2026-05-06 B+ 3/5 5/5 3/5 4/5 3/5 2/5 2/5
2026-05-05 B+ 3/5 5/5 3/5 4/5 3/5 2/5 2/5
2026-05-04 B+ 3/5 5/5 3/5 4/5 3/5 2/5 2/5
2026-05-01 B+ 3/5 5/5 3/5 4/5 2/5 2/5 2/5
2026-04-30 B+ 3/5 5/5 3/5 4/5 2/5 2/5 2/5
2026-04-29 B+ 3/5 5/5 3/5 4/5 2/5 2/5 2/5
2026-04-28 B+ 3/5 5/5 3/5 4/5 2/5 2/5 2/5
2026-04-27 B+ 3/5 5/5 3/5 5/5 2/5 2/5 2/5
2026-04-24 B+ 3/5 5/5 3/5 5/5 2/5 2/5 2/5
2026-04-23 B+ 3/5 5/5 3/5 5/5 2/5 2/5 2/5
2026-04-22 B+ 3/5 5/5 3/5 5/5 2/5 2/5 2/5
2026-04-21 A- 4/5 5/5 3/5 5/5 2/5 2/5 3/5
2026-04-20 A- 4/5 5/5 3/5 5/5 2/5 2/5 3/5
2026-04-17 B+ 3/5 5/5 3/5 5/5 1/5 2/5 3/5
2026-04-16 B+ 3/5 5/5 3/5 5/5 1/5 2/5 3/5
2026-04-15 B+ 3/5 5/5 3/5 5/5 1/5 2/5 3/5

Owner Earnings

Owner's Earnings (history) From To
Owner alignment
Owner's Earnings TTM
734.55M
OE per share TTM
1.98
Owner's Yield
6.12%
Maintenance CapEx ratio
93.07%
Maint CapEx / Avg PPE
0.9%

Ownership Overview

Ownership breakdown
At a glance
Institutional holders
121
Total invested
535.73M
Insider transactions (90d)
0
Beneficial owners (>5%)
25
Beneficial owners (>5%)
# Reporting person Amount owned % of class Sole voting Shared voting Sole dispositive Shared dispositive Type Citizenship Filing date SEC filing
1 Abrams Capital Management, L.P. 25.00M 4.74% PN Delaware 2014-05-12
2 (1) BlackRock, Inc. 23.49M 7.00% 20.59M 23.49M HC Delaware 2022-02-03
3 Principal Real Estate Investors, LLC 19.45M 6.16% 19.45M 19.45M Delaware 2021-02-16
4 NORGES BANK (THE CENTRAL BANK OF NORWAY) 18.92M 5.44% 2.7K 35.1K OO NORWAY 2022-06-16
5 JPMORGAN CHASE & CO.13-2624428 15.67M 4.60% 14.52M 15.67M HC Delaware 2022-01-05
6 Jason H. Karp 13.34M 6.40% 13.34M 13.34M IN Delaware 2015-12-14
7 Tourbillon Capital Partners, L.P. 13.34M 6.40% 13.34M 13.34M IA, PN Delaware 2015-12-14
8 EJF Capital LLC 11.71M 6.30% 11.71M 11.71M IA Delaware 2014-02-13
9 Emanuel J. Friedman 11.71M 6.30% 11.71M 11.71M IN Delaware 2014-02-13
10 Boston Partners 10.50M 5.06% 9.24M 34.7K 10.50M IA Delaware 2016-02-12
11 SECURITY CAPITAL RESEARCH & MANAGEMENT INC36-4130398 9.48M 3.20% 8.13M 9.48M IA Delaware 2020-02-10
12 Abigail P. Johnson 8.07M 2.73% 8.07M IN United States of America 2019-02-13
13 FMR LLC 8.07M 2.73% 4.39M 8.07M HC Delaware 2019-02-13
14 EJF Debt Opportunities Master Fund, L.P. 7.30M 4.00% 7.30M 7.30M PN Delaware 2014-02-13
15 EJF Debt Opportunities GP, LLC 7.30M 4.00% 7.30M 7.30M CO Delaware 2014-02-13
16 13-3353336 5.08M 1.78% 2.24M 5.08M IA, CO Delaware 2018-02-14
17 Clearbridge Investments, LLC01-0846058 4.05M 1.70% 3.82M 4.05M IA Delaware 2017-02-14
18 EJF Debt Opportunities Master Fund II, LP 3.55M 1.90% 3.55M 3.55M PN Delaware 2014-02-13
19 EJF Debt Opportunities II GP, LLC 3.55M 1.90% 3.55M 3.55M CO Delaware 2014-02-13
20 ClearBridge, LLC52-1268629 3.41M 1.44% 2.81M 3.41M IA Delaware 2017-02-14
21 AEW Capital Management, Inc. 3.38M 5.20% 2.53M 3.38M 3.38M CO Massachusetts 2019-02-13
22 EJF Financial Services Fund, LP 605.4K 0.30% 605.4K 605.4K PN Delaware 2014-02-13
23 EJF Financial Services GP, LLC 605.4K 0.30% 605.4K 605.4K CO Delaware 2014-02-13
24 NAME OF REPORTING 392.0K 9.80% 392.0K 392.0K IA Delaware 2014-02-13
25 Cohen & Steers UK Limited 0.00% IA, CO United Kingdom 2018-02-14

Institutional Activity (13F)

Institutional ownership trend From To
13F snapshot — 2026 Q1
Investors holding
121
-357 vs prev Q
New positions
14
Closed positions
369
Increased
59
Reduced
44
Put/Call ratio
0.00
Calls held
Puts held
Top institutional holders
# Investor Shares / Δ Mkt value / Δ Own% / Δ Weight% / Δ Avg px / Perf. Hold / Status
1 MACQUARIE MANAGEMENT HOLDINGS, INC. 588.6K +588.6K (+100.0%) 18.89B +18.9B (+100.0%) 0.16% +0.159 pp 0.03% +0.029 pp USD32.10 +0.0% 1 qtrs NEW
2 461.7K +461.7K (+100.0%) 14.82B +14.8B (+100.0%) 0.12% +0.125 pp 8.18% +8.184 pp USD32.10 +0.0% 1 qtrs NEW
3 VANGUARD GROUP INC 44.72M +1.3K (+0.0%) 1.44B -51.4M (-3.5%) 12.06% -0.001 pp 0.02% -0.001 pp USD23.20 +38.4% 50 qtrs
4 BLACKROCK, INC. 44.08M +549.9K (+1.3%) 1.41B -32.4M (-2.2%) 11.89% +0.147 pp 0.02% -0.001 pp USD38.18 -15.9% 6 qtrs
5 NORGES BANK 22.14M +22.1M (+100.0%) 710.67M +710.7M (+100.0%) 5.97% +5.972 pp 0.08% +0.076 pp USD32.10 +0.0% 1 qtrs NEW
6 STATE STREET CORP 18.46M +33.9K (+0.2%) 592.51M -20.1M (-3.3%) 4.98% +0.009 pp 0.02% -0.001 pp USD29.55 +8.6% 50 qtrs
7 PRINCIPAL FINANCIAL GROUP INC 15.81M +1.3M (+8.7%) 507.53M +23.7M (+4.9%) 4.26% +0.340 pp 0.26% +0.015 pp USD25.27 +27.0% 41 qtrs
8 FMR LLC 9.13M -98.0K (-1.1%) 292.98M -13.8M (-4.5%) 2.46% -0.027 pp 0.01% -0.001 pp USD30.45 +5.4% 48 qtrs
9 COHEN & STEERS, INC. 8.16M -6.2M (-43.0%) 262.00M -213.9M (-44.9%) 2.20% -1.661 pp 0.47% -0.385 pp USD33.94 -5.4% 18 qtrs
10 GEODE CAPITAL MANAGEMENT, LLC 7.36M +161.7K (+2.2%) 235.57M -3.0M (-1.3%) 1.98% +0.044 pp 0.01% -0.001 pp USD28.30 +13.4% 50 qtrs
11 JPMORGAN CHASE & CO 6.71M -1.2M (-14.9%) 215.34M -46.7M (-17.8%) 1.81% -0.317 pp 0.01% -0.002 pp USD31.15 +3.0% 50 qtrs
12 INVESCO LTD. 6.16M +1.4M (+30.1%) 197.79M +40.3M (+25.6%) 1.66% +0.385 pp 0.03% +0.006 pp USD35.24 -8.9% 48 qtrs
13 CENTERSQUARE INVESTMENT MANAGEMENT LLC 6.14M +864.1K (+16.4%) 196.94M +21.7M (+12.4%) 1.66% +0.233 pp 1.94% +0.183 pp USD35.30 -9.1% 32 qtrs
14 PRICE T ROWE ASSOCIATES INC /MD/ 5.75M -970.3K (-14.4%) 184.61M -38.9M (-17.4%) 1.55% -0.262 pp 0.02% -0.004 pp USD34.99 -8.3% 46 qtrs
15 DIMENSIONAL FUND ADVISORS LP 4.93M +70.7K (+1.5%) 158.28M -3.3M (-2.0%) 1.33% +0.019 pp 0.03% -0.002 pp USD23.09 +39.0% 43 qtrs
16 CBRE INVESTMENT MANAGEMENT LISTED REAL ASSETS LLC 4.85M +2.5M (+104.4%) 155.69M +76.8M (+97.4%) 1.31% +0.668 pp 2.29% +1.161 pp USD33.66 -4.6% 25 qtrs
17 CHARLES SCHWAB INVESTMENT MANAGEMENT INC 4.79M +250.2K (+5.5%) 153.61M +2.8M (+1.9%) 1.29% +0.067 pp 0.02% 0.000 pp USD26.88 +19.4% 50 qtrs
18 BANK OF MONTREAL /CAN/ 4.60M +4.5M (+3,526.2%) 147.66M +143.4M (+3,400.7%) 1.24% +1.207 pp 0.05% +0.050 pp USD32.21 -0.3% 47 qtrs
19 DUFF & PHELPS INVESTMENT MANAGEMENT CO 4.56M +347.0K (+8.2%) 146.26M +6.3M (+4.5%) 1.23% +0.094 pp 1.66% +0.071 pp USD27.98 +14.7% 43 qtrs
20 NORTHERN TRUST CORP 3.78M -288.0K (-7.1%) 121.35M -13.9M (-10.3%) 1.02% -0.078 pp 0.02% -0.002 pp USD29.85 +7.5% 50 qtrs
21 NUVEEN, LLC 3.39M -20.8K (-0.6%) 108.84M -4.6M (-4.0%) 0.91% -0.006 pp 0.03% -0.001 pp USD37.28 -13.9% 4 qtrs
22 GOLDMAN SACHS GROUP INC 3.29M +641.4K (+24.2%) 105.69M +17.5M (+19.9%) 0.89% +0.173 pp 0.01% +0.002 pp USD35.67 -10.0% 50 qtrs
23 AQR CAPITAL MANAGEMENT LLC 3.11M +2.9M (+1,299.8%) 99.92M +92.6M (+1,275.0%) 0.84% +0.780 pp 0.05% +0.048 pp USD32.41 -1.0% 39 qtrs
24 LASALLE INVESTMENT MANAGEMENT SECURITIES LLC 3.06M +167.3K (+5.8%) 98.10M +2.0M (+2.1%) 0.82% +0.045 pp 3.93% +0.157 pp USD35.64 -9.9% 4 qtrs
25 UBS ASSET MANAGEMENT AMERICAS INC 3.01M +70.5K (+2.4%) 96.47M -1.1M (-1.1%) 0.81% +0.019 pp 0.02% -0.001 pp USD35.59 -9.8% 50 qtrs
26 BANK OF NEW YORK MELLON CORP 2.98M -23.2K (-0.8%) 95.76M -4.2M (-4.2%) 0.80% -0.006 pp 0.02% -0.002 pp USD30.82 +4.2% 50 qtrs
27 MASSACHUSETTS FINANCIAL SERVICES CO /MA/ 2.81M -741.8K (-20.9%) 90.04M -27.9M (-23.6%) 0.76% -0.200 pp 0.03% -0.008 pp USD29.88 +7.4% 37 qtrs
28 SUMITOMO MITSUI TRUST HOLDINGS, INC. 2.53M +28.5K (+1.1%) 81.37M -2.0M (-2.4%) 0.68% +0.008 pp 0.05% 0.000 pp USD35.51 -9.6% 50 qtrs
29 DEUTSCHE BANK AG\ 2.52M -499.2K (-16.5%) 80.98M -19.5M (-19.4%) 0.68% -0.135 pp 0.03% -0.007 pp USD36.43 -11.9% 50 qtrs
30 CLEARBRIDGE INVESTMENTS, LLC 2.49M -210.9K (-7.8%) 79.82M -9.9M (-11.0%) 0.67% -0.057 pp 0.06% -0.004 pp USD28.31 +13.4% 43 qtrs
31 LEGAL & GENERAL GROUP PLC 2.47M +271.1K (+12.3%) 79.40M +6.2M (+8.4%) 0.67% +0.073 pp 0.02% +0.001 pp USD28.96 +10.8% 50 qtrs
32 CI INVESTMENTS INC. 2.46M -24.1K (-1.0%) 79.07M -3.6M (-4.4%) 0.66% -0.007 pp 0.35% +0.046 pp USD25.18 +27.5% 35 qtrs
33 MORGAN STANLEY 2.43M +39.9K (+1.7%) 78.09M -1.5M (-1.9%) 0.66% +0.011 pp 0.00% 0.000 pp USD35.27 -9.0% 50 qtrs
34 MILLENNIUM MANAGEMENT LLC 2.14M +322.0K (+17.7%) 68.85M +8.2M (+13.6%) 0.58% +0.087 pp 0.03% +0.003 pp USD36.16 -11.2% 48 qtrs
35 RUSSELL INVESTMENTS GROUP, LTD. 1.96M -526.7K (-21.2%) 63.02M -19.8M (-23.9%) 0.53% -0.142 pp 0.07% -0.025 pp USD35.39 -9.3% 37 qtrs
36 ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 1.94M +616.9K (+46.8%) 62.14M +18.3M (+41.7%) 0.52% +0.166 pp 0.04% +0.009 pp USD34.73 -7.6% 6 qtrs
37 AEW CAPITAL MANAGEMENT L P 1.87M -191.3K (-9.3%) 60.13M -8.5M (-12.4%) 0.51% -0.052 pp 4.35% +0.529 pp USD33.03 -2.8% 25 qtrs
38 JANUS HENDERSON GROUP PLC 1.75M -47.8K (-2.7%) 56.16M -3.6M (-6.0%) 0.47% -0.013 pp 0.03% -0.002 pp USD37.96 -15.4% 35 qtrs
39 MARSHALL WACE, LLP 1.70M +1.7M (+3,587.1%) 54.53M +53.0M (+3,459.6%) 0.46% +0.446 pp 0.05% +0.048 pp USD32.25 -0.5% 4 qtrs
40 SCHRODER INVESTMENT MANAGEMENT GROUP 1.36M -13.3K (-1.0%) 43.86M -758.6K (-1.7%) 0.37% -0.004 pp 0.03% -0.001 pp USD33.96 -5.5% 37 qtrs
41 SEI INVESTMENTS CO 1.35M -106.2K (-7.3%) 43.42M -5.1M (-10.5%) 0.36% -0.029 pp 0.04% -0.009 pp USD33.15 -3.2% 45 qtrs
42 ADELANTE CAPITAL MANAGEMENT LLC 1.30M +388.3K (+42.6%) 41.74M +11.4M (+37.6%) 0.35% +0.105 pp 2.81% +0.785 pp USD32.20 -0.3% 25 qtrs
43 FIRST TRUST ADVISORS LP 1.18M +17.0K (+1.5%) 37.96M -793.4K (-2.0%) 0.32% +0.005 pp 0.03% -0.001 pp USD35.96 -10.7% 50 qtrs
44 ENGINEERS GATE MANAGER LP 1.17M +1.0M (+610.2%) 37.50M +32.0M (+585.7%) 0.32% +0.271 pp 0.44% +0.382 pp USD32.26 -0.5% 6 qtrs
45 FREESTONE GROVE PARTNERS LP 1.15M +809.0K (+237.0%) 36.93M +25.6M (+225.4%) 0.31% +0.218 pp 0.27% +0.182 pp USD32.44 -1.0% 2 qtrs
46 LAND & BUILDINGS INVESTMENT MANAGEMENT, LLC 1.08M +98.8K (+10.1%) 34.66M +2.0M (+6.3%) 0.29% +0.027 pp 5.76% -0.225 pp USD36.24 -11.4% 5 qtrs
47 ALGEBRIS (UK) LTD 1.06M +1.1M (+100.0%) 34.17M +34.2M (+100.0%) 0.29% +0.287 pp 2.68% +2.678 pp USD32.10 +0.0% 1 qtrs NEW
48 BNP PARIBAS ASSET MANAGEMENT HOLDING S.A. 1.05M +445.7K (+74.2%) 33.59M +13.6M (+68.2%) 0.28% +0.120 pp 0.04% -0.013 pp USD35.39 -9.3% 33 qtrs
49 UBS GROUP AG 1.01M -189.8K (-15.8%) 32.58M -7.5M (-18.7%) 0.27% -0.051 pp 0.01% -0.001 pp USD36.68 -12.5% 45 qtrs
50 RHUMBLINE ADVISERS 976.7K -6.3K (-0.6%) 31.35M -1.3M (-4.1%) 0.26% -0.002 pp 0.03% -0.001 pp USD32.07 +0.1% 49 qtrs
51 BANK OF AMERICA CORP /DE/ 952.3K -15.3K (-1.6%) 30.57M -1.6M (-5.0%) 0.26% -0.004 pp 0.00% +0.000 pp USD34.60 -7.2% 50 qtrs
52 RETIREMENT SYSTEMS OF ALABAMA 907.7K -2.7K (-0.3%) 29.14M -1.1M (-3.7%) 0.24% -0.001 pp 0.09% -0.006 pp USD36.46 -12.0% 8 qtrs
53 UNIVERSAL- BETEILIGUNGS- UND SERVICEGESELLSCHAFT MBH 900.7K -16.5K (-1.8%) 28.98M -1.5M (-5.0%) 0.24% -0.005 pp 0.05% -0.004 pp USD37.60 -14.6% 4 qtrs
54 CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM 876.0K -209.1K (-19.3%) 28.12M -8.0M (-22.1%) 0.24% -0.056 pp 0.02% -0.006 pp USD32.89 -2.4% 50 qtrs
55 SWISS NATIONAL BANK 870.5K -88.0K (-9.2%) 27.94M -3.9M (-12.3%) 0.23% -0.024 pp 0.02% -0.002 pp USD29.56 +8.6% 49 qtrs
56 AMUNDI 857.9K +225.6K (+35.7%) 27.54M +7.0M (+34.0%) 0.23% +0.061 pp 0.01% +0.001 pp USD34.67 -7.4% 19 qtrs
57 VOLORIDGE INVESTMENT MANAGEMENT, LLC 819.0K +249.2K (+43.7%) 26.29M +7.3M (+38.8%) 0.22% +0.067 pp 0.09% +0.029 pp USD33.05 -2.9% 6 qtrs
58 VAN LANSCHOT KEMPEN INVESTMENT MANAGEMENT N.V. 790.1K -550.7K (-41.1%) 25.36M -19.2M (-43.1%) 0.21% -0.149 pp 0.22% -0.181 pp USD37.40 -14.2% 17 qtrs
59 GOTHAM ASSET MANAGEMENT, LLC 779.6K +259.0K (+49.8%) 25.02M +7.7M (+44.6%) 0.21% +0.070 pp 0.09% +0.016 pp USD35.19 -8.8% 18 qtrs
60 QUANTINNO CAPITAL MANAGEMENT LP 771.1K +380.0K (+97.2%) 24.75M +11.7M (+90.3%) 0.21% +0.103 pp 0.05% +0.014 pp USD34.45 -6.8% 8 qtrs
61 GREAT WEST LIFE ASSURANCE CO /CAN/ 763.3K +29.4K (+4.0%) 24.51M +676.0K (+2.8%) 0.21% +0.008 pp 0.04% +0.009 pp USD32.46 -1.1% 47 qtrs
62 AMERICAN CENTURY COMPANIES INC 733.7K -8.2K (-1.1%) 23.55M -1.1M (-4.5%) 0.20% -0.002 pp 0.01% -0.001 pp USD36.61 -12.3% 16 qtrs
63 HSBC HOLDINGS PLC 715.5K +139.6K (+24.2%) 22.97M +3.8M (+20.0%) 0.19% +0.038 pp 0.01% +0.001 pp USD34.72 -7.5% 50 qtrs
64 CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 704.3K +60.7K (+9.4%) 22.61M +1.2M (+5.6%) 0.19% +0.016 pp 0.02% +0.001 pp USD28.59 +12.3% 50 qtrs
65 ASSET MANAGEMENT ONE CO., LTD. 690.9K -9.5K (-1.4%) 22.16M -1.1M (-4.8%) 0.19% -0.003 pp 0.06% -0.006 pp USD27.36 +17.3% 50 qtrs
66 JACOBS LEVY EQUITY MANAGEMENT, INC 688.3K +211.0K (+44.2%) 22.09M +6.2M (+39.2%) 0.19% +0.057 pp 0.09% +0.022 pp USD32.90 -2.4% 2 qtrs
67 BARCLAYS PLC 675.9K +329.1K (+94.9%) 21.70M +8.4M (+63.0%) 0.18% +0.089 pp 0.01% +0.002 pp USD33.77 -4.9% 50 qtrs
68 AMERIPRISE FINANCIAL INC 673.4K -64.3K (-8.7%) 21.62M -2.9M (-11.9%) 0.18% -0.017 pp 0.00% -0.001 pp USD35.73 -10.2% 50 qtrs
69 CITADEL ADVISORS LLC 625.8K +277.5K (+79.7%) 20.09M +8.5M (+73.4%) 0.17% +0.075 pp 0.00% +0.001 pp USD32.74 -2.0% 2 qtrs
70 PRUDENTIAL FINANCIAL INC 619.0K -498.3K (-44.6%) 19.95M -17.2M (-46.3%) 0.17% -0.134 pp 0.02% -0.020 pp USD37.45 -14.3% 49 qtrs
71 SILVERCREST ASSET MANAGEMENT GROUP LLC 614.6K -211.0K (-25.6%) 19.73M -7.7M (-28.1%) 0.17% -0.057 pp 0.14% -0.046 pp USD37.44 -14.3% 5 qtrs
72 NOMURA ASSET MANAGEMENT CO LTD 613.5K +38.0K (+6.6%) 19.69M +558.6K (+2.9%) 0.17% +0.010 pp 0.05% 0.000 pp USD30.46 +5.4% 50 qtrs
73 BRITISH COLUMBIA INVESTMENT MANAGEMENT CORP 609.6K +11.1K (+1.9%) 19.57M -331.4K (-1.7%) 0.16% +0.003 pp 0.10% -0.011 pp USD36.03 -10.9% 15 qtrs
74 SUMMITTX CAPITAL, L.P. 605.4K +171.0K (+39.4%) 19.43M +5.0M (+34.5%) 0.16% +0.046 pp 0.59% -0.011 pp USD34.87 -7.9% 4 qtrs
75 COLONY GROUP, LLC 584.7K -57.4K (-8.9%) 18.79M -2.6M (-12.2%) 0.16% -0.016 pp 0.02% -0.013 pp USD36.19 -11.3% 9 qtrs
76 MITSUBISHI UFJ KOKUSAI ASSET MANAGEMENT CO., LTD. 586.4K +51.9K (+9.7%) 18.72M +946.2K (+5.3%) 0.16% +0.014 pp 0.01% 0.000 pp USD33.40 -3.9% 50 qtrs
77 PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO 576.8K -11.8K (-2.0%) 18.51M -1.1M (-5.4%) 0.16% -0.003 pp 0.06% -0.004 pp USD32.55 -1.4% 50 qtrs
78 HOLOCENE ADVISORS, LP 576.2K +453.8K (+371.0%) 18.49M +14.4M (+354.7%) 0.16% +0.122 pp 0.04% +0.030 pp USD32.93 -2.5% 5 qtrs
79 ALBERTA INVESTMENT MANAGEMENT CORP 555.0K +— (+0.0%) 17.82M -638.3K (-3.5%) 0.15% +0.000 pp 0.11% -0.026 pp USD36.24 -11.4% 16 qtrs
80 APOLLO MANAGEMENT HOLDINGS, L.P. 546.9K +546.9K (+100.0%) 17.55M +17.6M (+100.0%) 0.15% +0.148 pp 0.14% +0.144 pp USD32.10 +0.0% 1 qtrs NEW
81 FRANKLIN RESOURCES INC 516.0K +34.0K (+7.1%) 16.56M +538.1K (+3.4%) 0.14% +0.009 pp 0.00% +0.000 pp USD26.74 +20.0% 30 qtrs
82 ALLIANCEBERNSTEIN L.P. 510.0K -103.7K (-16.9%) 16.37M -4.0M (-19.8%) 0.14% -0.028 pp 0.01% -0.001 pp USD33.15 -3.2% 50 qtrs
83 DANSKE BANK A/S 509.2K +236.9K (+87.0%) 16.35M +7.3M (+80.5%) 0.14% +0.064 pp 0.04% +0.016 pp USD34.05 -5.7% 8 qtrs
84 CITIGROUP INC 506.2K +135.6K (+36.6%) 16.25M +3.9M (+31.9%) 0.14% +0.037 pp 0.01% +0.002 pp USD34.07 -5.8% 50 qtrs
85 SWEDBANK AB 500.0K -78.4K (-13.6%) 16.05M -3.2M (-16.6%) 0.13% -0.021 pp 0.02% -0.004 pp USD36.30 -11.6% 9 qtrs
86 RENAISSANCE TECHNOLOGIES LLC 484.2K -423.8K (-46.7%) 15.54M -14.6M (-48.5%) 0.13% -0.114 pp 0.02% -0.016 pp USD35.58 -9.8% 3 qtrs
87 ZURCHER KANTONALBANK (ZURICH CANTONALBANK) 459.7K +129.2K (+39.1%) 14.75M +3.8M (+34.3%) 0.12% +0.035 pp 0.03% +0.007 pp USD33.92 -5.4% 50 qtrs
88 TEACHER RETIREMENT SYSTEM OF TEXAS 459.5K +140.4K (+44.0%) 14.75M +4.1M (+39.0%) 0.12% +0.038 pp 0.05% +0.008 pp USD34.09 -5.8% 23 qtrs
89 STATE OF NEW JERSEY COMMON PENSION FUND D 390.1K -8.5K (-2.1%) 12.52M -731.0K (-5.5%) 0.11% -0.002 pp 0.05% -0.004 pp USD25.94 +23.7% 37 qtrs
90 MITSUBISHI UFJ TRUST & BANKING CORP 374.9K -43.2K (-10.3%) 12.03M -1.9M (-13.4%) 0.10% -0.012 pp 0.03% -0.002 pp USD33.33 -3.7% 26 qtrs
91 MASTERTON CAPITAL MANAGEMENT, LP 350.7K -17.7K (-4.8%) 11.26M -991.8K (-8.1%) 0.09% -0.005 pp 7.85% +1.132 pp USD36.35 -11.7% 7 qtrs
92 CHILTON CAPITAL MANAGEMENT LLC 334.0K -48.4K (-12.6%) 10.72M -2.0M (-15.7%) 0.09% -0.013 pp 0.37% -0.059 pp USD25.47 +26.0% 31 qtrs
93 MACQUARIE GROUP LTD 327.0K -461.5K (-58.5%) 10.50M -15.7M (-60.0%) 0.09% -0.125 pp 0.05% +0.015 pp USD36.35 -11.7% 49 qtrs
94 1832 ASSET MANAGEMENT L.P. 325.9K +15.8K (+5.1%) 10.46M +150.2K (+1.5%) 0.09% +0.004 pp 0.01% 0.000 pp USD36.61 -12.3% 8 qtrs
95 ROBECO INSTITUTIONAL ASSET MANAGEMENT B.V. 298.4K -96.3K (-24.4%) 9.58M -3.5M (-27.0%) 0.08% -0.026 pp 0.01% -0.005 pp USD33.46 -4.1% 36 qtrs
96 CAPITAL INVESTMENT ADVISORS, LLC 296.3K +19.1K (+6.9%) 9.51M +294.4K (+3.2%) 0.08% +0.005 pp 0.14% -0.006 pp USD33.18 -3.3% 2 qtrs
97 ENVESTNET ASSET MANAGEMENT INC 295.3K -42.1K (-12.5%) 9.48M -1.7M (-15.5%) 0.08% -0.011 pp 0.00% 0.000 pp USD30.91 +3.8% 43 qtrs
98 STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMENT SYSTEM 292.9K +2.3K (+0.8%) 9.40M -259.4K (-2.7%) 0.08% +0.001 pp 0.02% 0.000 pp USD21.04 +52.6% 47 qtrs
99 WHITTIER TRUST CO 288.2K +280.8K (+3,765.9%) 9.34M +9.1M (+3,737.5%) 0.08% +0.076 pp 0.10% +0.098 pp USD32.12 -0.1% 26 qtrs
100 ALLIANZ ASSET MANAGEMENT GMBH 285.0K -93.6K (-24.7%) 9.15M -3.4M (-27.3%) 0.08% -0.025 pp 0.01% -0.005 pp USD31.95 +0.5% 30 qtrs
Ownership breakdown by holder

Insider Activity

Insider Activity — Latest Quarter
Ratio by transactions
1.58
Bullish
Ratio by volume
2.86
Bullish
Buys
19
Sells
12
Shares acquired
259.4K
Shares disposed
90.6K
Cash buys
11.00
Cash sales
Net activity
+168,819
Insider buys vs sells (history) From To
Recent insider transactions From To
Date Person Role Transaction A/D Security Shares Price Value Owned after D/I Filing
2026-03-19 Lau Christopher Officer G-Gift D Class A Common Shares 1,075 0.00 311,012 D
2026-03-03 Goldberg David Director P-Purchase A Class A Common Shares 2,000 29.30 58.6K 36,723 I
2026-03-02 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,200 24.20 29.0K 44,717 I
2026-02-25 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,571 24.00 37.7K 43,517 I
2026-02-24 Goldberg David Director P-Purchase A Class A Common Shares 2,000 29.17 58.3K 34,723 I
2026-02-23 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 100 22.90 2.3K 500 I
2026-02-23 BENHAM DOUGLAS N Director P-Purchase A Class A Common Shares 2,000 29.15 58.3K 34,227 D
2026-02-07 Vogt-Lowell Sara H. Officer D-Return D Class A Common Shares 14,928 30.84 460.4K 122,838 D
2026-02-07 Smith Bryan Director / Officer A-Award A Class A Common Shares 47,687 0.00 305,776 D
2026-02-07 Reitz Brian Officer D-Return D Class A Common Shares 1,634 30.84 50.4K 31,625 D
2026-02-07 Lau Christopher Officer D-Return D Class A Common Shares 27,946 30.84 861.9K 312,087 D
2026-01-03 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 1,978 31.92 63.1K 112,292 D
2026-01-03 Smith Bryan Director / Officer F-InKind D Class A Common Shares 3,020 31.92 96.4K 258,089 D
2026-01-03 Reitz Brian Officer F-InKind D Class A Common Shares 446 31.92 14.2K 30,080 D
2026-01-03 Lau Christopher Officer F-InKind D Class A Common Shares 3,906 31.92 124.7K 292,346 D
2026-01-02 Vogt-Lowell Sara H. Officer A-Award A Class A Common Shares 17,858 0.00 117,072 D
2026-01-02 Smith Bryan Director / Officer F-InKind D Class A Common Shares 6,923 31.92 221.0K 261,109 D
2026-01-02 Reitz Brian Officer F-InKind D Class A Common Shares 588 31.92 18.8K 30,526 D
2026-01-02 Lau Christopher Officer F-InKind D Class A Common Shares 4,780 31.92 152.6K 296,252 D
2025-12-09 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 2,300 23.00 52.9K 17,300 I
2025-11-19 BENHAM DOUGLAS N Director P-Purchase A Class A Common Shares 1,000 31.65 31.7K 7,991 I
2025-09-09 HART MATTHEW J Director S-Sale D Class A Common Shares 23,270 34.45 801.5K 61,002 D
2025-08-11 Willoughby Jay Director P-Purchase A Class A Common Shares 1,459 34.25 50.0K 28,055 D
2025-08-05 BENHAM DOUGLAS N Director M-Exempt A Class A Common Shares 10,000 15.26 152.6K 32,227 D
2025-06-12 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 3,000 22.92 68.8K 15,000 I
2025-05-08 BENHAM DOUGLAS N Director S-Sale D Class A Common Shares 1,700 38.37 65.2K 22,227 D
2025-05-07 ZAIST MATTHEW R Director A-Award A Class A Common Shares 4,383 0.00 27,408 D
2025-05-07 Willoughby Jay Director A-Award A Class A Common Shares 4,383 0.00 26,596 D
2025-05-07 Webb Winifred Markus Director A-Award A Class A Common Shares 4,383 0.00 26,596 D
2025-05-07 SWANN LYNN C Director A-Award A Class A Common Shares 4,383 0.00 35,910 D
2025-05-07 Kerrick Michelle C. Director A-Award A Class A Common Shares 4,383 0.00 22,892 D
2025-05-07 HART MATTHEW J Director A-Award A Class A Common Shares 4,383 0.00 52,983 D
2025-05-07 Goldberg David Director A-Award A Class A Common Shares 4,383 0.00 26,696 D
2025-05-07 GUSTAVSON TAMARA HUGHES Director A-Award A Class A Common Shares 4,383 0.00 9,379,924 D
2025-05-07 CORRIGAN JACK E Director A-Award A Class A Common Shares 4,383 0.00 77,311 D
2025-05-07 BENHAM DOUGLAS N Director A-Award A Class A Common Shares 4,383 0.00 23,927 D
2025-05-05 Vogt-Lowell Sara H. Officer M-Exempt D Employee Stock Option (Right to Buy) 7,500 19.40 145.5K 0 D
2025-05-05 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 1,000 23.45 23.5K 9,300 I
2025-03-19 Lau Christopher Officer G-Gift D Class A Common Shares 562 0.00 269,233 D
2025-03-04 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 2,300 23.26 53.5K 8,300 I
2025-03-03 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 200 23.25 4.7K 400 I
2025-02-27 CORRIGAN JACK E Director S-Sale D Class A Common Shares 10,000 36.07 360.7K 97,928 D
2025-02-24 Reitz Brian Officer S-Sale D Class A Common Shares 6,714 35.08 235.5K 26,010 D
2025-02-07 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 1,964 35.53 69.8K 99,214 D
2025-02-07 Smith Bryan Director / Officer F-InKind D Class A Common Shares 2,849 35.53 101.2K 199,109 D
2025-02-07 Singelyn David P. Director F-InKind D Class A Common Shares 8,007 35.53 284.5K 261,965 D
2025-02-07 Reitz Brian Officer F-InKind D Class A Common Shares 388 35.53 13.8K 32,724 D
2025-02-07 Lau Christopher Officer F-InKind D Class A Common Shares 3,676 35.53 130.6K 269,795 D
2025-02-04 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 13,759 34.75 478.1K 101,178 D
2025-02-04 Smith Bryan Director / Officer F-InKind D Class A Common Shares 20,201 34.75 702.0K 201,958 D
2025-02-04 Singelyn David P. Director F-InKind D Class A Common Shares 50,176 34.75 1.74M 269,972 D
2025-02-04 Reitz Brian Officer A-Award A Class A Common Shares 3,423 0.00 34,335 D
2025-02-04 Lau Christopher Officer F-InKind D Class A Common Shares 26,070 34.75 905.9K 273,471 D
2025-02-04 CORRIGAN JACK E Director A-Award A Class A Common Shares 65,602 0.00 107,928 D
2025-02-01 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 1,649 34.63 57.1K 87,840 D
2025-02-01 Smith Bryan Director / Officer F-InKind D Class A Common Shares 2,422 34.63 83.9K 170,818 D
2025-02-01 Singelyn David P. Director F-InKind D Class A Common Shares 5,663 34.63 196.1K 206,057 D
2025-02-01 Reitz Brian Officer F-InKind D Class A Common Shares 8,272 34.63 286.5K 30,912 D
2025-02-01 Lau Christopher Officer F-InKind D Class A Common Shares 3,126 34.63 108.3K 248,200 D
2025-01-03 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 2,176 37.31 81.2K 89,489 D
2025-01-03 Smith Bryan Director / Officer F-InKind D Class A Common Shares 3,225 37.31 120.3K 173,240 D
2025-01-03 Singelyn David P. Director F-InKind D Class A Common Shares 8,542 37.31 318.7K 211,720 D
2025-01-03 Reitz Brian Officer F-InKind D Class A Common Shares 445 37.31 16.6K 39,184 D
2025-01-03 Lau Christopher Officer F-InKind D Class A Common Shares 4,107 37.31 153.2K 251,326 D
2025-01-02 Vogt-Lowell Sara H. Officer A-Award A Class A Common Shares 14,966 0.00 91,665 D
2025-01-02 Smith Bryan Director / Officer A-Award A Class A Common Shares 50,885 0.00 176,465 D
2025-01-02 Reitz Brian Officer A-Award A Class A Common Shares 4,286 0.00 39,629 D
2025-01-02 Lau Christopher Officer A-Award A Class A Common Shares 26,667 0.00 255,433 D
2024-12-13 BENHAM DOUGLAS N Director G-Gift D Class A Common Shares 1,500 0.00 19,544 D
2024-12-09 Smith Bryan Officer S-Sale D Class A Common Shares 40,000 37.80 1.51M 125,580 D
2024-12-05 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 3,286 24.49 80.5K 41,946 I
2024-11-27 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 663 24.43 16.2K 38,660 I
2024-11-05 HART MATTHEW J Director S-Sale D Class A Common Shares 6,895 35.30 243.4K 48,600 D
2024-11-05 CORRIGAN JACK E Director S-Sale D Class A Common Shares 21,000 35.33 741.9K 42,326 D
2024-11-04 KROPP JAMES H Director M-Exempt A Class A Common Shares 10,000 16.48 164.8K 43,361 D
2024-11-04 CORRIGAN JACK E Director S-Sale D Class A Common Shares 51,000 35.24 1.80M 63,326 D
2024-11-01 CORRIGAN JACK E Director S-Sale D Class A Common Shares 28,000 35.01 980.3K 114,326 D
2024-06-07 Lau Christopher Officer G-Gift D Class A Common Shares 560 0.00 228,766
2024-05-21 Singelyn David P. Director / Officer G-Gift D Class A Common Shares 23,547 0.00 220,262
2024-05-20 Singelyn David P. Director / Officer G-Gift D Class A Common Shares 16,507 0.00 243,809
2024-05-15 BENHAM DOUGLAS N Director S-Sale D Class A Common Shares 1,700 36.55 62.1K 21,044
2024-05-10 ZAIST MATTHEW R Director A-Award A Class A Common Shares 4,159 0.00 23,025
2024-05-10 Willoughby Jay Director A-Award A Class A Common Shares 4,159 0.00 22,213
2024-05-10 Webb Winifred Markus Director A-Award A Class A Common Shares 4,159 0.00 22,213
2024-05-10 SWANN LYNN C Director A-Award A Class A Common Shares 4,159 0.00 31,527
2024-05-10 Kerrick Michelle C. Director A-Award A Class A Common Shares 4,159 0.00 18,509
2024-05-10 KROPP JAMES H Director A-Award A Class A Common Shares 4,159 0.00 33,361
2024-05-10 HART MATTHEW J Director A-Award A Class A Common Shares 4,159 0.00 45,495
2024-05-10 Goldberg David Director A-Award A Class A Common Shares 4,159 0.00 22,313
2024-05-10 GUSTAVSON TAMARA HUGHES Director A-Award A Class A Common Shares 4,159 0.00 9,375,541
2024-05-10 CORRIGAN JACK E Director A-Award A Class A Common Shares 4,159 0.00 142,326
2024-05-10 BENHAM DOUGLAS N Director A-Award A Class A Common Shares 4,159 0.00 22,744
2024-05-09 BENHAM DOUGLAS N Director P-Purchase A Series G Perpetual Preferred Shares 500 22.49 11.2K 16,521
2024-05-08 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 2,000 23.47 46.9K 37,997
2024-05-07 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 4,000 23.85 95.4K 35,997
2024-05-06 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 500 22.74 11.4K 1,000
2024-03-08 Smith Bryan Officer S-Sale D Class A Common Shares 50,000 36.77 1.84M 125,580
2024-03-01 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 1,000 24.19 24.2K 5,000
2024-02-29 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 976 24.20 23.6K 3,000
2024-02-28 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 1,000 24.10 24.1K 4,000
2024-02-27 HART MATTHEW J Director M-Exempt A Class A Common Shares 10,000 16.75 167.5K 48,599
2024-02-27 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 1,000 24.00 24.0K 3,000
2024-02-26 Reitz Brian Officer S-Sale D Class A Common Shares 3,000 35.54 106.6K 35,343
2024-02-26 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 100 24.00 2.4K 100
2024-02-21 Singelyn David P. Director / Officer A-Award A Class A Common Shares 46,070 0.00 260,316
2024-02-21 Lau Christopher Officer A-Award A Class A Common Shares 143,968 0.00 229,326
2024-02-20 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 8,557 34.38 294.2K 76,699
2024-02-20 Smith Bryan Officer F-InKind D Class A Common Shares 10,679 34.38 367.1K 125,580
2024-02-20 Singelyn David P. Director / Officer F-InKind D Class A Common Shares 27,071 34.38 930.7K 214,246
2024-02-20 Lau Christopher Officer F-InKind D Class A Common Shares 13,754 34.38 472.9K 85,358
2024-02-20 CORRIGAN JACK E Director A-Award A Class A Common Shares 34,378 0.00 138,167
2024-02-07 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 1,960 34.77 68.1K 68,368
2024-02-07 Smith Bryan Officer F-InKind D Class A Common Shares 2,849 34.77 99.1K 109,118
2024-02-07 Singelyn David P. Director / Officer F-InKind D Class A Common Shares 8,461 34.77 294.2K 179,437
2024-02-07 Reitz Brian Officer F-InKind D Class A Common Shares 438 34.77 15.2K 38,343
2024-02-07 Lau Christopher Officer F-InKind D Class A Common Shares 3,669 34.77 127.6K 71,971
2024-02-01 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 1,646 35.73 58.8K 70,328
2024-02-01 Smith Bryan Officer F-InKind D Class A Common Shares 2,421 35.73 86.5K 111,967
2024-02-01 Singelyn David P. Director / Officer F-InKind D Class A Common Shares 5,984 35.73 213.8K 187,898
2024-02-01 Reitz Brian Officer F-InKind D Class A Common Shares 378 35.73 13.5K 38,781
2024-02-01 Lau Christopher Officer F-InKind D Class A Common Shares 3,119 35.73 111.4K 75,640
2024-01-28 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 2,550 35.07 89.4K 71,974
2024-01-28 Smith Bryan Officer F-InKind D Class A Common Shares 3,121 35.07 109.5K 114,388
2024-01-28 Singelyn David P. Director / Officer F-InKind D Class A Common Shares 3,485 35.07 122.2K 193,882
2024-01-28 Reitz Brian Officer F-InKind D Class A Common Shares 766 35.07 26.9K 39,159
2024-01-28 Lau Christopher Officer F-InKind D Class A Common Shares 3,967 35.07 139.1K 78,759
2024-01-03 Vogt-Lowell Sara H. Officer A-Award A Class A Common Shares 11,645 0.00 74,524
2024-01-03 Smith Bryan Officer A-Award A Class A Common Shares 23,031 0.00 117,509
2024-01-03 Singelyn David P. Director / Officer A-Award A Class A Common Shares 61,747 0.00 197,367
2024-01-03 Reitz Brian Officer A-Award A Class A Common Shares 3,254 0.00 39,925
2024-01-03 Lau Christopher Officer A-Award A Class A Common Shares 23,031 0.00 82,726
2023-12-13 CORRIGAN JACK E Director P-Purchase A Series G Perpetual Preferred Shares 1,000 24.30 24.3K 1,000
2023-11-16 KROPP JAMES H Director M-Exempt A Class A Common Shares 10,000 16.75 167.5K 36,054
2023-11-14 CORRIGAN JACK E Director S-Sale D Class A Common Shares 25,000 36.60 915.0K 103,789
2023-09-14 Smith Bryan Officer M-Exempt A Class A Common Shares 8,107 16.62 134.7K 102,585
2023-09-13 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 2,027 23.25 47.1K 11,027
2023-09-12 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 2,000 23.10 46.2K 31,997
2023-09-11 BENHAM DOUGLAS N Director G-Gift D Class A Common Shares 2,500 0.00 18,585
2023-09-01 Smith Bryan Officer M-Exempt D Employee Stock Option (Right to Buy) 1,820 16.62 30.2K 34,694
2023-08-30 Smith Bryan Officer M-Exempt A Class A Common Shares 13,486 16.62 224.1K 107,964
2023-08-11 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,000 23.20 23.2K 9,000
2023-08-10 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,000 23.30 23.3K 8,000
2023-07-31 Reitz Brian Officer S-Sale D Class A Common Shares 1,800 37.47 67.4K 36,210
2023-06-08 Smith Bryan Officer M-Exempt A Class A Common Shares 25,000 16.03 400.8K 119,478
2023-06-06 Smith Bryan Officer S-Sale D Class A Common Shares 25,000 35.00 875.0K 94,478
2023-05-26 Lau Christopher Officer G-Gift D Class A Common Shares 305 0.00 59,695
2023-05-25 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 3,400 24.10 81.9K 29,997
2023-05-24 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 546 24.25 13.2K 26,597
2023-05-12 Smith Bryan Officer M-Exempt A Class A Common Shares 25,000 16.03 400.8K 119,478
2023-05-09 ZAIST MATTHEW R Director A-Award A Class A Common Shares 4,259 0.00 18,866
2023-05-09 Willoughby Jay Director A-Award A Class A Common Shares 4,259 0.00 18,054
2023-05-09 Webb Winifred Markus Director A-Award A Class A Common Shares 4,259 0.00 18,054
2023-05-09 SWANN LYNN C Director A-Award A Class A Common Shares 4,259 0.00 27,368
2023-05-09 Kerrick Michelle C. Director A-Award A Class A Common Shares 4,259 0.00 14,350
2023-05-09 KROPP JAMES H Director A-Award A Class A Common Shares 4,259 0.00 26,054
2023-05-09 HART MATTHEW J Director A-Award A Class A Common Shares 4,259 0.00 38,599
2023-05-09 Goldberg David Director A-Award A Class A Common Shares 4,259 0.00 18,154
2023-05-09 GUSTAVSON TAMARA HUGHES Director A-Award A Class A Common Shares 4,259 0.00 9,371,382
2023-05-09 CORRIGAN JACK E Director A-Award A Class A Common Shares 4,259 0.00 128,789
2023-05-09 BENHAM DOUGLAS N Director A-Award A Class A Common Shares 4,259 0.00 21,085
2023-05-08 Vogt-Lowell Sara H. Officer S-Sale D Class A Common Shares 8,789 34.88 306.6K 62,879
2023-05-08 BENHAM DOUGLAS N Director S-Sale D Class A Common Shares 8,000 35.00 280.0K 16,826
2023-03-15 Lau Christopher Officer S-Sale D Class A Common Shares 22,896 30.16 690.6K 60,000
2023-03-14 Lau Christopher Officer S-Sale D Class A Common Shares 13,281 30.22 401.4K 82,896
2023-03-07 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,100 24.07 26.5K 26,051
2023-03-06 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,156 24.60 28.4K 24,951
2023-03-03 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,725 24.60 42.4K 23,795
2023-03-02 BENHAM DOUGLAS N Director P-Purchase A Series G Perpetual Preferred Shares 2,000 23.35 46.7K 8,440
2023-02-28 Reitz Brian Officer S-Sale D Class A Common Shares 4,025 31.50 126.8K 38,010
2023-02-21 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 2,074 32.84 68.1K 71,668
2023-02-21 Smith Bryan Officer F-InKind D Class A Common Shares 2,295 32.84 75.4K 94,478
2023-02-21 Reitz Brian Officer F-InKind D Class A Common Shares 648 32.84 21.3K 42,035
2023-02-21 Lau Christopher Officer F-InKind D Class A Common Shares 2,943 32.84 96.6K 96,177
2023-02-07 Vogt-Lowell Sara H. Officer A-Award A Class A Common Shares 11,605 0.00 73,742
2023-02-07 Smith Bryan Officer A-Award A Class A Common Shares 21,724 0.00 96,773
2023-02-07 Singelyn David P. Director / Officer A-Award A Class A Common Shares 58,022 0.00 135,620
2023-02-07 Reitz Brian Officer A-Award A Class A Common Shares 3,259 0.00 42,683
2023-02-07 Lau Christopher Officer A-Award A Class A Common Shares 21,724 0.00 99,120
2023-02-04 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 2,372 34.61 82.1K 62,137
2023-02-04 Smith Bryan Officer F-InKind D Class A Common Shares 2,747 34.61 95.1K 75,049
2023-02-04 Singelyn David P. Director / Officer F-InKind D Class A Common Shares 8,163 34.61 282.5K 77,598
2023-02-04 Reitz Brian Officer F-InKind D Class A Common Shares 772 34.61 26.7K 39,424
2023-02-04 Lau Christopher Officer F-InKind D Class A Common Shares 3,642 34.61 126.0K 77,396
2023-02-01 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 1,123 34.68 38.9K 64,509
2023-02-01 Smith Bryan Officer F-InKind D Class A Common Shares 1,498 34.68 52.0K 77,796
2023-02-01 Singelyn David P. Director / Officer F-InKind D Class A Common Shares 3,932 34.68 136.4K 85,761
2023-02-01 Reitz Brian Officer F-InKind D Class A Common Shares 376 34.68 13.0K 40,196
2023-02-01 Lau Christopher Officer F-InKind D Class A Common Shares 2,128 34.68 73.8K 81,038
2023-01-28 Vogt-Lowell Sara H. Officer F-InKind D Class A Common Shares 1,829 33.73 61.7K 65,632
2023-01-28 Smith Bryan Officer F-InKind D Class A Common Shares 1,993 33.73 67.2K 79,294
2023-01-28 Singelyn David P. Director / Officer F-InKind D Class A Common Shares 2,337 33.73 78.8K 89,693
2023-01-28 Reitz Brian Officer F-InKind D Class A Common Shares 762 33.73 25.7K 40,572
2023-01-28 Lau Christopher Officer F-InKind D Class A Common Shares 2,786 33.73 94.0K 83,166
2022-11-23 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 2,000 23.20 46.4K 22,070
2022-11-22 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 2,000 23.09 46.2K 20,070
2022-11-21 HART MATTHEW J Director M-Exempt A Class A Common Shares 10,000 15.00 150.0K 41,295
2022-11-21 BENHAM DOUGLAS N Director P-Purchase A Series H Perpetual Preferred Shares 1,127 22.90 25.8K 18,070
2022-09-15 Smith Bryan Officer S-Sale D Class A Common Shares 5,519 35.67 196.9K 81,287
2022-09-08 GUSTAVSON TAMARA HUGHES Director P-Purchase A Class A Common Shares 135,644 36.84 5.00M 11,621,725
2022-09-07 GUSTAVSON TAMARA HUGHES Director P-Purchase A Class A Common Shares 269,470 36.42 9.81M 269,470

Executive team

Top executives
EBIT / Employee
403.8K
Shares Outstanding
363.16M

Executive compensation

Executive compensation (annual)
# Year Executive Salary Bonus Stock award Option award Incentive Other Total % Stock-
based
Filing
1 2013 Peter J. Nelson Chief Financial Officer 111.8K 200.0K 474.7K 786.5K 60.36%
2 2013 David Goldberg Executive Vice President 83.8K 150.0K 474.7K 6.0K 714.5K 66.43%
3 2013 Sara Vogt-Lowell Chief Legal Officer 100.6K 100.0K 474.7K 10.2K 685.5K 69.25%
4 2013 David P. Singelyn Chief Executive Officer 139.7K 22.2K 161.9K 0.00%
5 2013 John Corrigan Chief Operating Officer 83.8K 75.0K 158.8K 0.00%
6 2012 Peter J. Nelson Chief Financial Officer 424.7K 424.7K 100.00%
7 2012 Sara Vogt-Lowell Chief Legal Officer 212.0K 212.0K 100.00%
8 2012 David Goldberg Executive Vice President 212.0K 212.0K 100.00%
9 2012 David P. Singelyn Chief Executive Officer 106.0K 106.0K 100.00%
10 2012 John Corrigan Chief Operating Officer 106.0K 106.0K 100.00%
CEO compensation breakdown

Proxy statements

Proxy statements (DEF 14A)
Filing date Form type Filing
2026-03-27 DEFA14A
2026-03-27 DEF 14A
2025-03-26 DEFA14A
2025-03-26 DEF 14A

Recent SEC filings

Recent SEC filings
Filing date Form type Filing
2026-05-06 8-K
2026-04-28 SC 13G
2026-03-27 DEFA14A
2026-03-27 DEF 14A
2026-03-27 ARS
2026-03-26 SC 13G/A
2026-03-24 4
2026-03-09 4
2026-03-04 4
2026-02-27 8-K

Executive team

NameTitleCompensationGender
Bryan Smith Chief Executive Officer & Trustee 2M male
Christopher C. Lau Chief Financial Officer & Senior EVice President 2M male
Sara H. Vogt-Lowell Chief Legal & Administrative Officer and Secretary 1M female
Lisa Phelps Senior Vice President of Human Resources female
Nicholas Fromm Director of Investor Relations
Philip Irby Executive Vice President & Chief Technology Officer male
Raymond F. Huning Executive Vice President of Corporate Tax male
Brian F. Reitz Executive Vice President & Chief Accounting Officer male
Zackory Johnson Executive Vice President & Chief Investment Officer male
Eduardo Nigro Senior Vice President of Marketing & Analytics
Lincoln Palmer Executive Vice President & Chief Operating Officer
ESG Rating
B
REIT - RESIDENTIAL
2023
E (Environmental)
73.1 / 66.6
Company / Sector avg.
S (Social)
73.1 / 64.9
Company / Sector avg.
G (Governance)
72.0 / 67.8
Company / Sector avg.
ESG Total
72.7 / 66.4
Company / Sector avg.
ESG Score History REIT - RESIDENTIAL
Benchmark vs Sector
Political Trading Activity (25M)
Senate Trading Activity

No Senate trading activity found for this company.

House Trading Activity
Transaction Date Disclosed Representative District Owner Type Amount Link
2025-10-31 2025-11-24 Lisa McClain MI09 Spouse Sale $1,001 - $15,000
2025-10-30 2025-11-24 Lisa McClain MI09 Spouse Sale $1,001 - $15,000
2025-10-30 2025-11-24 Lisa McClain MI09 Spouse Purchase $1,001 - $15,000
2025-09-25 2025-10-22 Lisa McClain MI09 Spouse Purchase $1,001 - $15,000
2025-07-11 2025-08-20 Ritchie Torres NY15 Sale (Full) $1,001 - $15,000
2024-09-26 2025-08-20 Ritchie Torres NY15 Purchase $1,001 - $15,000
2022-03-29 2022-05-05 William R. Keating MA09 Purchase $1,001 - $15,000
2019-06-24 2020-04-27 Donna Shalala FL27 -- Sale (Full) $1,001 - $15,000
2019-06-04 2020-04-27 Donna Shalala FL27 -- Purchase $1,001 - $15,000
Market share among peers
Peer comparison — filtered group (TTM)
Your opinion

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These are community opinions and do not constitute buy or sell advice to act on. The results shown are based on aggregated opinions and are not an investment recommendation, nor do they intend to influence any investment decision.

Dividend yield history

Dividend history

Earnings history

Earnings reports

Stock splits