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Public Storage (PSA)

USD319.35 -1.42 (-0.44%)
US NYSE S&P 500 Real Estate REIT - Industrial
Address 701 Western Avenue 91201
Glendale, CA, US
CEO H. Thomas Boyle
IPO 1980-11-18
CIK 1393311 ISIN US74460D1090

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Also trades on London Stock Exchange · 0KS3.L (USD) New York Stock Exchange · PSA (USD) New York Stock Exchange · PSA-PE (USD) New York Stock Exchange · PSA-PF (USD) New York Stock Exchange · PSA-PG (USD) New York Stock Exchange · PSA-PH (USD) New York Stock Exchange · PSA-PI (USD) New York Stock Exchange · PSA-PJ (USD) New York Stock Exchange · PSA-PK (USD) New York Stock Exchange · PSA-PL (USD) New York Stock Exchange · PSA-PM (USD) New York Stock Exchange · PSA-PN (USD) New York Stock Exchange · PSA-PO (USD) New York Stock Exchange · PSA-PP (USD) New York Stock Exchange · PSA-PQ (USD) New York Stock Exchange · PSA-PR (USD) New York Stock Exchange · PSA-PS (USD)
Description

Public Storage (PSA), an esteemed Real Estate Investment Trust (REIT) and a constituent of both the S&P 500 and FT Global 500 indices, concentrates its operations on the acquisition, development, ownership, and management of self-storage properties. By September 30, 2020, the company's substantial holdings included 2,504 self-storage facilities located across 38 U.S. states, collectively providing around 171 million net rentable square feet. Additionally, Public Storage held an approximate 35% common equity interest in Shurgard Self Storage SA (Euronext Brussels:SHUR), an entity that owned and operated 239 self-storage sites under the Shurgard brand in seven Western European countries, encompassing approximately 13 million net rentable square feet. Concurrently, it maintained an approximate 42% common equity interest in PS Business Parks, Inc. (NYSE:PSB), which, as of the same reporting date, managed roughly 28 million rentable square feet of commercial properties. The company's main office is situated in Glendale, California.

Market Cap & Enterprise Value
Merger & Acquisition History
Target company Ticker Date Filing
National Storage Affiliates Trust NSA 2026-05-11 View

Index membership

IndexAddedRemovedStatus
S&P 500 2005-08-18 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
USD319.35 -1.42 (-0.44%)
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Volume Profile
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Liquidity & share structure
Average Volume
1M
Beta
0.96
Float Shares
157.43M
Free Float %
89.7%
Price Performance
1D5D1M3M6M YTD1Y3Y5Y10YMax
+0.38% +5.04% +7.32% +9.48% +18.54% +25.60% +10.51% +14.36% +10.63% +35.61% +2,206.72%
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

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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 analysts) Hold
Price Targets & DCF
Current price
319.35
Low 285.00 -10.8%
Consensus 313.30 -1.9%
Median 310.00 -2.9%
High 349.00 +9.3%
DCF (Unlevered) 468.97 +46.9%
DCF (Levered) 354.32 +11.0%
Ratings Trend (MoM) 37% Bullish
Rating 2026-06 Change
Strong Buy 3 0
Buy 4 0
Hold 12 0
Sell 0 0
Strong Sell 0 0
Price Target Summary
Period # Analysts Avg Target
Last Month 2
315.00
-1.4%
Last Quarter 8
323.50
+1.3%
Last Year 24
313.42
-1.9%
All Time 43
319.77
+0.1%
Quality scores
Altman Z-Score
3.71
Safe zone
Piotroski F-Score
6 / 9
Average
MOAT Score
6 / 10
Developing
Composite Rating
B+
Overall Score
3 / 5
Medium
DCF Score
4 / 5
High
ROE Score
5 / 5
High
ROA Score
5 / 5
High
D/E Score
2 / 5
Medium
P/E Score
2 / 5
Medium
P/Book Score
1 / 5
Low
Operational MOAT
✗ Below peers
  • Revenue growth REIT - Industrial: +6.4%
    +2.7% Q1'26: +2.9% (vs Q1'25)
  • EPS growth REIT - Industrial: +4.6%
    -15.3% Q1'26: +33.1% (vs Q1'25)
  • FCF margin REIT - Industrial: +8.2%
    +55.2% Q1'26: +51.3% (vs Q1'25)
  • EBIT margin REIT - Industrial: +55.8%
    +43.4% Q1'26: +37.2% (vs Q1'25)
  • ROIC REIT - Industrial: +5.7%
    +10.9% Q1'26: +9.6% (vs Q1'25)
  • Share dilution REIT - Industrial: +0.0%
    -0.1% Q1'26: 0.0% (vs Q1'25)
  • Debt / EBITDA REIT - Industrial: 4.47×
    3.16× Q1'26: 3.26× (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 (0.96) × ERP
WACC = 85% × Ke + 15% × Kd (4.2%) × (1−t)

Modifying these values recalculates WACC automatically.

Business assumptions
Intrinsic value (base): 468.97 Current price: 319.35
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 2005
actual
Dec 2006
actual
Dec 2007
actual
Dec 2008
actual
Dec 2009
actual
Dec 2010
actual
Dec 2011
actual
Dec 2012
actual
Dec 2013
actual
Dec 2014
actual
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
7 Rev. Ana.
5 EPS Ana.
Dec 2027
7 Rev. Ana.
6 EPS Ana.
Dec 2028
5 Rev. Ana.
3 EPS Ana.
Dec 2029
2 Rev. Ana.
1 EPS Ana.
Dec 2030
2 Rev. Ana.
1 EPS Ana.
Revenue
1.06B
est: 948.26M (+11.8%)
1.38B
est: 3.06B (-54.9%)
1.81B
est: 2.35B (-22.9%)
1.72B
est: 3.25B (-47.0%)
1.62B
est: 1.43B (+13.4%)
1.61B
est: 2.50B (-35.5%)
1.74B
est: 1.73B (+0.5%)
1.84B
est: 1.94B (-5.2%)
1.96B
est: 1.88B (+4.6%)
2.18B
est: 2.16B (+0.9%)
2.38B
est: 2.39B (-0.5%)
2.56B
est: 2.57B (-0.6%)
2.67B
est: 2.70B (-1.1%)
2.76B
est: 2.76B (+0.1%)
2.86B
est: 2.85B (+0.3%)
2.92B
est: 2.88B (+1.1%)
3.42B
est: 3.42B (-0.1%)
4.18B
est: 4.20B (-0.4%)
4.52B
est: 4.66B (-3.0%)
4.70B
est: 4.71B (-0.4%)
4.82B
est: 4.83B (0.0%)
5.04B
4.93B – 5.18B
+4.5% YoY
5.42B
5.29B – 5.83B
+7.5% YoY
5.60B
5.49B – 5.72B
+3.3% YoY
6.30B
6.08B – 6.71B
+12.4% YoY
7.43B
7.18B – 7.91B
+18.0% YoY
EBITDA
660.47M
est: 583.91M (+13.1%)
797.91M
est: 1.59B (-49.9%)
1.10B
est: 1.35B (-18.5%)
1.11B
est: 2.58B (-57.1%)
1.17B
est: 951.46M (+22.9%)
1.07B
est: 1.08B (-0.8%)
1.22B
est: 1.16B (+4.8%)
1.31B
est: 1.35B (-3.3%)
1.45B
est: 1.38B (+5.5%)
1.59B
est: 1.55B (+3.1%)
1.74B
est: 1.67B (+4.6%)
1.90B
est: 1.89B (+0.3%)
1.92B
est: 2.06B (-6.8%)
2.23B
est: 2.16B (+3.3%)
2.08B
est: 2.13B (-2.0%)
1.97B
est: 2.15B (-8.5%)
2.78B
est: 2.17B (+27.6%)
5.41B
est: 2.50B (+116.2%)
3.34B
est: 3.70B (-9.7%)
3.51B
est: 3.74B (-6.4%)
3.25B
est: 3.83B (-15.3%)
4.01B
3.92B – 4.11B
+4.5% YoY
4.31B
4.20B – 4.63B
+7.5% YoY
4.45B
4.36B – 4.54B
+3.3% YoY
5.00B
4.83B – 5.33B
+12.4% YoY
5.90B
5.70B – 6.28B
+18.0% YoY
EBIT
464.31M
est: 413.79M (+12.2%)
360.34M
est: 457.16M (-21.2%)
474.61M
est: 537.27M (-11.7%)
694.42M
est: 1.15B (-39.8%)
827.27M
est: 548.28M (+50.9%)
718.58M
est: 783.68M (-8.3%)
857.37M
est: 779.76M (+10.0%)
871.98M
est: 911.15M (-4.3%)
1.06B
est: 915.93M (+16.2%)
1.16B
est: 1.04B (+11.4%)
1.32B
est: 1.19B (+10.9%)
1.46B
est: 1.38B (+6.5%)
1.46B
est: 1.53B (-4.7%)
1.75B
est: 1.37B (+27.4%)
1.57B
est: 1.50B (+4.7%)
1.42B
est: 1.55B (-8.6%)
2.06B
est: 1.34B (+53.5%)
4.52B
est: 1.35B (+234.4%)
2.37B
est: 2.86B (-17.1%)
2.38B
est: 2.89B (-17.9%)
2.09B
est: 2.96B (-29.3%)
3.10B
3.03B – 3.18B
+4.5% YoY
3.33B
3.24B – 3.58B
+7.5% YoY
3.44B
3.37B – 3.51B
+3.3% YoY
3.87B
3.73B – 4.12B
+12.4% YoY
4.56B
4.41B – 4.86B
+18.0% YoY
Net Income
456.39M
est: 404.64M (+12.8%)
314.03M
est: 336.97M (-6.8%)
457.54M
est: 503.06M (-9.0%)
935.18M
est: 2.61B (-64.1%)
834.62M
est: 658.70M (+26.7%)
672.04M
est: 667.25M (+0.7%)
823.84M
est: 791.06M (+4.1%)
939.26M
est: 960.11M (-2.2%)
1.05B
est: 999.94M (+5.3%)
1.14B
est: 1.11B (+3.1%)
1.31B
est: 1.26B (+4.2%)
1.45B
est: 1.45B (+0.0%)
1.44B
est: 1.55B (-7.1%)
1.71B
est: 1.66B (+3.0%)
1.52B
est: 1.56B (-2.2%)
1.36B
est: 1.48B (-8.5%)
1.95B
est: 1.53B (+27.3%)
4.35B
est: 1.79B (+143.2%)
2.15B
est: 1.88B (+14.2%)
2.07B
est: 1.77B (+16.8%)
1.78B
est: 1.62B (+10.0%)
1.76B
1.74B – 1.78B
+8.5% YoY
1.76B
1.71B – 1.80B
-0.2% YoY
1.80B
1.71B – 1.88B
+2.3% YoY
1.93B
1.84B – 2.09B
+7.3% YoY
2.04B
1.95B – 2.22B
+6.1% YoY
SGA
21.12M
est: 18.80M (+12.3%)
84.66M
est: 227.43M (-62.8%)
59.75M
est: 81.60M (-26.8%)
62.81M
est: 106.39M (-41.0%)
35.74M
est: 28.26M (+26.4%)
28.94M
est: 42.58M (-32.0%)
42.74M
est: 50.18M (-14.8%)
45.71M
est: 48.54M (-5.8%)
51.50M
est: 49.23M (+4.6%)
55.99M
est: 54.99M (+1.8%)
72.80M
est: 69.84M (+4.2%)
70.08M
est: 70.41M (-0.5%)
69.89M
est: 75.02M (-6.8%)
93.83M
est: 104.75M (-10.4%)
62.15M
est: 61.49M (+1.1%)
64.04M
est: 71.44M (-10.3%)
75.97M
est: 67.62M (+12.3%)
71.67M
est: 75.30M (-4.8%)
80.63M
est: 95.10M (-15.2%)
106.68M
est: 96.20M (+10.9%)
106.68M
est: 98.50M (+8.3%)
102.96M
100.66M – 105.68M
+4.5% YoY
110.68M
107.88M – 119.07M
+7.5% YoY
114.38M
112.04M – 116.72M
+3.3% YoY
128.58M
124.19M – 136.87M
+12.4% YoY
151.66M
146.48M – 161.44M
+18.0% YoY
EPS
1.98
est: 1.58 (+25.3%)
0.33
est: 2.30 (-85.6%)
1.18
est: 0.60 (+98.3%)
4.19
est: 3.13 (+34.1%)
3.48
est: 1.75 (+98.9%)
2.36
est: 2.84 (-16.9%)
3.31
est: 3.17 (+4.4%)
3.93
est: 4.12 (-4.6%)
4.92
est: 4.43 (+11.1%)
5.27
est: 4.98 (+5.8%)
6.10
est: 5.99 (+1.8%)
6.84
est: 6.73 (+1.7%)
6.75
est: 7.04 (-4.1%)
9.84
est: 7.60 (+29.5%)
7.30
est: 7.43 (-1.7%)
6.29
est: 6.60 (-4.7%)
9.91
est: 8.74 (+13.4%)
23.64
est: 24.17 (-2.2%)
11.11
est: 10.71 (+3.7%)
10.68
est: 10.07 (+6.0%)
9.04
est: 9.22 (-2.0%)
9.97
9.91 – 10.10
+8.1% YoY
9.93
9.73 – 10.24
-0.4% YoY
10.36
9.72 – 10.71
+4.3% YoY
10.96
10.47 – 11.87
+5.7% YoY
11.62
11.10 – 12.59
+6.1% YoY
Recent Grade Changes (3M)
Date Firm Previous New Grade Action
2026-05-27 Mizuho Neutral Neutral Maintain
2026-05-18 UBS Neutral Neutral Maintain
2026-05-07 Barclays Overweight Overweight Maintain
2026-05-04 Evercore ISI Group In Line In Line Maintain
2026-04-29 RBC Capital Sector Perform Sector Perform Maintain
2026-04-20 Barclays Overweight Overweight Maintain
Historical Ratings (3M)
Date Rating Overall DCF ROE ROA D/E P/E P/B
2026-06-12 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-11 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-10 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-09 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-08 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-05 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-04 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-03 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-02 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-06-01 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-28 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-27 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-26 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-22 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-21 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-20 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-19 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-18 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-15 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-14 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-13 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-12 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-11 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-08 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-07 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-06 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-05 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-04 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-05-01 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-04-30 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-04-29 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-04-28 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-04-27 B+ 3/5 4/5 5/5 5/5 2/5 2/5 1/5
2026-04-24 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-23 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-22 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-21 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-20 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-17 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-16 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-15 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-14 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-13 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5
2026-04-10 B+ 3/5 4/5 5/5 5/5 1/5 2/5 1/5

Owner Earnings

Owner's Earnings (history) From To
Owner alignment
Owner's Earnings TTM
3.07B
OE per share TTM
17.48
Owner's Yield
5.37%
Maintenance CapEx ratio
12.77%
Maint CapEx / Avg PPE
6.7%

Ownership Overview

Ownership breakdown
At a glance
Institutional holders
1,107
Total invested
39.00B
Insider transactions (90d)
14
Beneficial owners (>5%)
13
Beneficial owners (>5%)
# Reporting person Amount owned % of class Sole voting Shared voting Sole dispositive Shared dispositive Type Citizenship Filing date SEC filing
1 The Vanguard Group - 23-1945930 20.08M 11.45% 405.0K 19.30M 779.4K IA Pennsylvania For 2022-02-10
2 Gustavson 17.65M 10.10% 17.64M 18.1K 17.64M 18.1K IN 2021-08-12
3 (1) BlackRock, Inc. 16.78M 9.60% 15.34M 16.78M HC Delaware 2023-01-24
4 Cohen & Steers, Inc. 14-1904657 12.35M 7.04% 9.02M 12.35M HC, CO Delaware 2022-02-14
5 Cohen & Steers Capital Management, Inc.     13-3353336 12.11M 6.91% 8.98M 12.11M IA, CO Delaware 2022-02-14
6 BlackRock for purposes of Schedule 13G filings. 10.81M 6.37% 10.81M 10.81M HC Delaware 2010-02-01
7 13-3353336 10.27M 5.87% 13.00 10.27M IA, CO Delaware 2021-02-16
8 STATE STREET CORPORATION 8.81M 5.08% 8.81M 8.81M HC BOSTON, MASSACHUSETTS 2017-02-08
9 Public Storage 7.16M 25.90% 7.16M 7.16M CO 2022-04-25
10 Cohen & Steers UK Limited 225.1K 0.13% 32.5K 225.1K IA, CO Delaware 2022-02-14
11 Cohen & Steers Europe S.A. 108.0K 0.06% 33.7K 108.0K IA, CO Belgium 2012-02-14
12 Cohen & Steers Asia Limited 7.7K 0.00% 7.7K 7.7K IA, CO Delaware 2022-02-14
13 Cohen & Steers Ireland Limited 6.4K 0.00% 6.4K 6.4K FI, CO Delaware 2022-02-14

Institutional Activity (13F)

Institutional ownership trend From To
13F snapshot — 2026 Q1
Investors holding
1,107
-22 vs prev Q
New positions
106
Closed positions
130
Increased
528
Reduced
381
Put/Call ratio
1.46
Calls held
274.9K
Puts held
401.9K
Top institutional holders
# Investor Shares / Δ Mkt value / Δ Own% / Δ Weight% / Δ Avg px / Perf. Hold / Status
1 MACQUARIE MANAGEMENT HOLDINGS, INC. 434.8K +434.8K (+100.0%) 112.84B +112.8B (+100.0%) 0.25% +0.248 pp 0.17% +0.170 pp USD259.50 +0.0% 1 qtrs NEW
2 VANGUARD GROUP INC 25.34M +2.3M (+9.9%) 6.58B -86.9M (-1.3%) 14.44% +1.294 pp 0.10% -0.004 pp USD172.09 +50.8% 84 qtrs
3 BLACKROCK, INC. 16.91M +340.7K (+2.1%) 4.39B -397.8M (-8.3%) 9.63% +0.193 pp 0.07% -0.010 pp USD360.37 -28.0% 6 qtrs
4 STATE STREET CORP 10.57M -42.5K (-0.4%) 2.74B -322.4M (-10.5%) 6.02% -0.025 pp 0.09% -0.014 pp USD216.92 +19.6% 51 qtrs
5 NORGES BANK 4.48M +4.5M (+100.0%) 1.16B +1.2B (+100.0%) 2.56% +2.556 pp 0.12% +0.125 pp USD259.50 +0.0% 1 qtrs NEW
6 CAPITAL INTERNATIONAL INVESTORS 4.13M +3.7M (+821.4%) 1.07B +943.4M (+727.8%) 2.36% +2.101 pp 0.17% +0.147 pp USD263.53 -1.5% 12 qtrs
7 GEODE CAPITAL MANAGEMENT, LLC 4.09M +66.4K (+1.7%) 1.06B -100.1M (-8.7%) 2.33% +0.038 pp 0.07% -0.009 pp USD222.23 +16.8% 78 qtrs
8 FMR LLC 4.04M -607.8K (-13.1%) 1.05B -294.1M (-21.9%) 2.30% -0.347 pp 0.05% -0.016 pp USD305.43 -15.0% 70 qtrs
9 COHEN & STEERS, INC. 3.99M +339.9K (+9.3%) 1.04B -19.0M (-1.8%) 2.28% +0.194 pp 1.87% -0.030 pp USD293.61 -11.6% 73 qtrs
10 JPMORGAN CHASE & CO 3.39M +57.1K (+1.7%) 880.11M -83.1M (-8.6%) 1.93% +0.032 pp 0.06% -0.003 pp USD288.68 -10.1% 51 qtrs
11 CHARLES SCHWAB INVESTMENT MANAGEMENT INC 3.10M +126.6K (+4.3%) 805.10M -54.5M (-6.3%) 1.77% +0.072 pp 0.13% -0.012 pp USD247.55 +4.8% 100 qtrs
12 PRICE T ROWE ASSOCIATES INC /MD/ 2.92M -433.6K (-12.9%) 756.83M -210.8M (-21.8%) 1.66% -0.247 pp 0.08% -0.022 pp USD284.65 -8.8% 75 qtrs
13 NORTHERN TRUST CORP 2.36M -45.5K (-1.9%) 612.62M -82.4M (-11.9%) 1.35% -0.026 pp 0.08% -0.011 pp USD239.59 +8.3% 51 qtrs
14 DIMENSIONAL FUND ADVISORS LP 2.21M +18.5K (+0.8%) 574.22M -59.6M (-9.4%) 1.26% +0.011 pp 0.12% -0.016 pp USD178.85 +45.1% 51 qtrs
15 APG ASSET MANAGEMENT US INC. 2.21M +22.7K (+1.0%) 572.89M -62.2M (-9.8%) 1.26% +0.013 pp 4.49% -0.198 pp USD159.93 +62.3% 64 qtrs
16 LEGAL & GENERAL GROUP PLC 1.95M +83.9K (+4.5%) 506.49M -33.0M (-6.1%) 1.11% +0.048 pp 0.11% -0.009 pp USD208.52 +24.4% 75 qtrs
17 BARROW HANLEY MEWHINNEY & STRAUSS LLC 1.79M -146.7K (-7.6%) 465.51M -95.0M (-17.0%) 1.02% -0.084 pp 1.55% -0.235 pp USD285.94 -9.2% 10 qtrs
18 GOLDMAN SACHS GROUP INC 1.55M +414.0 (+0.0%) 402.34M -45.4M (-10.1%) 0.88% +0.000 pp 0.05% -0.005 pp USD290.71 -10.7% 73 qtrs
19 MORGAN STANLEY 1.51M -235.0K (-13.5%) 391.56M -112.2M (-22.3%) 0.86% -0.134 pp 0.02% -0.007 pp USD258.69 +0.3% 51 qtrs
20 CLEARBRIDGE INVESTMENTS, LLC 1.44M +297.4K (+26.0%) 374.45M +43.6M (+13.2%) 0.82% +0.170 pp 0.30% +0.051 pp USD283.92 -8.6% 11 qtrs
21 CENTERSQUARE INVESTMENT MANAGEMENT LLC 1.44M +290.4K (+25.3%) 372.63M +41.7M (+12.6%) 0.82% +0.165 pp 3.68% +0.353 pp USD286.49 -9.4% 32 qtrs
22 INVESCO LTD. 1.29M +271.9K (+26.8%) 333.48M +40.8M (+13.9%) 0.73% +0.155 pp 0.05% +0.005 pp USD260.19 -0.3% 57 qtrs
23 AMERIPRISE FINANCIAL INC 1.19M -49.0K (-3.9%) 304.75M -51.0M (-14.3%) 0.68% -0.028 pp 0.07% -0.013 pp USD292.46 -11.3% 55 qtrs
24 WELLINGTON MANAGEMENT GROUP LLP 1.03M -1.7M (-62.8%) 266.36M -530.1M (-66.6%) 0.59% -0.987 pp 0.05% -0.093 pp USD215.36 +20.5% 68 qtrs
25 BANK OF NEW YORK MELLON CORP 1.01M -46.3K (-4.4%) 261.33M -42.9M (-14.1%) 0.57% -0.027 pp 0.05% -0.013 pp USD183.96 +41.1% 66 qtrs
26 NUVEEN, LLC 871.5K -73.1K (-7.7%) 226.15M -46.7M (-17.1%) 0.50% -0.042 pp 0.06% -0.013 pp USD298.98 -13.2% 4 qtrs
27 SUMITOMO MITSUI TRUST HOLDINGS, INC. 856.3K -16.6K (-1.9%) 222.21M -29.9M (-11.9%) 0.49% -0.010 pp 0.13% -0.015 pp USD228.15 +13.7% 59 qtrs
28 ROYAL BANK OF CANADA 838.0K -113.4K (-11.9%) 217.47M -57.3M (-20.9%) 0.48% -0.065 pp 0.04% -0.010 pp USD290.80 -10.8% 51 qtrs
29 DAIWA SECURITIES GROUP INC. 837.7K +110.0K (+15.1%) 217.38M +7.2M (+3.4%) 0.48% +0.063 pp 0.69% -0.015 pp USD287.30 -9.7% 57 qtrs
30 CANADA PENSION PLAN INVESTMENT BOARD 837.2K -991.0 (-0.1%) 217.25M -24.9M (-10.3%) 0.48% -0.001 pp 0.15% -0.025 pp USD271.56 -4.4% 52 qtrs
31 BANK OF AMERICA CORP /DE/ 826.3K -157.8K (-16.0%) 214.42M -69.8M (-24.6%) 0.47% -0.090 pp 0.02% -0.004 pp USD266.51 -2.6% 52 qtrs
32 MASSACHUSETTS FINANCIAL SERVICES CO /MA/ 825.8K -30.0K (-3.5%) 214.29M -32.9M (-13.3%) 0.47% -0.017 pp 0.07% -0.008 pp USD208.56 +24.4% 51 qtrs
33 FIRST TRUST ADVISORS LP 721.6K +535.5K (+287.7%) 187.25M +133.5M (+248.3%) 0.41% +0.305 pp 0.14% +0.096 pp USD264.18 -1.8% 51 qtrs
34 UBS GROUP AG 668.6K -89.8K (-11.8%) 173.51M -45.6M (-20.8%) 0.38% -0.051 pp 0.03% -0.006 pp USD295.91 -12.3% 45 qtrs
35 AMUNDI 641.5K -142.9K (-18.2%) 166.46M -61.6M (-27.0%) 0.37% -0.082 pp 0.05% -0.028 pp USD295.09 -12.1% 19 qtrs
36 MONTRUSCO BOLTON INVESTMENTS INC. 635.7K -75.6K (-10.6%) 160.18M -39.5M (-19.8%) 0.36% -0.043 pp 2.00% -0.328 pp USD292.54 -11.3% 15 qtrs
37 HSBC HOLDINGS PLC 611.3K +81.4K (+15.4%) 158.76M +5.9M (+3.8%) 0.35% +0.046 pp 0.08% -0.003 pp USD264.90 -2.0% 56 qtrs
38 BARCLAYS PLC 603.8K +138.2K (+29.7%) 156.70M -12.7M (-7.5%) 0.34% +0.079 pp 0.04% -0.006 pp USD282.66 -8.2% 51 qtrs
39 1832 ASSET MANAGEMENT L.P. 519.9K +130.9K (+33.6%) 134.91M +22.5M (+20.1%) 0.30% +0.075 pp 0.10% +0.014 pp USD291.27 -10.9% 24 qtrs
40 AMERICAN CENTURY COMPANIES INC 511.3K -48.5K (-8.7%) 132.69M -29.0M (-17.9%) 0.29% -0.028 pp 0.07% -0.016 pp USD308.66 -15.9% 51 qtrs
41 CAISSE DE DEPOT ET PLACEMENT DU QUEBEC 503.1K +149.5K (+42.3%) 130.56M +28.4M (+27.8%) 0.29% +0.085 pp 0.22% +0.037 pp USD296.79 -12.6% 51 qtrs
42 GREAT WEST LIFE ASSURANCE CO /CAN/ 489.6K -2.6K (-0.5%) 127.12M -14.9M (-10.5%) 0.28% -0.002 pp 0.22% +0.018 pp USD238.03 +9.0% 52 qtrs
43 LASALLE INVESTMENT MANAGEMENT SECURITIES LLC 480.0K -22.2K (-4.4%) 124.56M -20.5M (-14.1%) 0.27% -0.013 pp 4.99% -0.708 pp USD261.49 -0.8% 51 qtrs
44 MITSUBISHI UFJ KOKUSAI ASSET MANAGEMENT CO., LTD. 458.8K +25.4K (+5.8%) 118.58M -6.6M (-5.3%) 0.26% +0.014 pp 0.08% -0.010 pp USD273.90 -5.3% 58 qtrs
45 DUFF & PHELPS INVESTMENT MANAGEMENT CO 449.4K -59.4K (-11.7%) 116.62M -30.4M (-20.7%) 0.26% -0.034 pp 1.32% -0.344 pp USD296.07 -12.4% 15 qtrs
46 RUSSELL INVESTMENTS GROUP, LTD. 448.2K -146.3K (-24.6%) 116.37M -55.3M (-32.2%) 0.26% -0.083 pp 0.13% -0.068 pp USD289.74 -10.4% 37 qtrs
47 PRUDENTIAL FINANCIAL INC 441.9K -20.5K (-4.4%) 114.67M -18.9M (-14.2%) 0.25% -0.012 pp 0.14% -0.020 pp USD290.49 -10.7% 85 qtrs
48 SWISS NATIONAL BANK 432.7K -22.4K (-4.9%) 112.28M -19.2M (-14.6%) 0.25% -0.013 pp 0.07% -0.009 pp USD225.45 +15.1% 51 qtrs
49 CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM 426.6K -81.3K (-16.0%) 110.69M -36.0M (-24.5%) 0.24% -0.046 pp 0.06% -0.025 pp USD202.03 +28.4% 58 qtrs
50 DEUTSCHE BANK AG\ 397.3K -81.1K (-16.9%) 103.09M -35.1M (-25.4%) 0.23% -0.046 pp 0.03% -0.013 pp USD299.90 -13.5% 50 qtrs
51 AQR CAPITAL MANAGEMENT LLC 378.3K -599.7K (-61.3%) 98.16M -183.2M (-65.1%) 0.22% -0.342 pp 0.05% -0.129 pp USD289.11 -10.2% 81 qtrs
52 WELLS FARGO & COMPANY/MN 374.3K -47.4K (-11.2%) 97.12M -24.7M (-20.3%) 0.21% -0.027 pp 0.02% -0.006 pp USD269.55 -3.7% 57 qtrs
53 ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 361.2K +141.9K (+64.7%) 93.74M +30.4M (+48.0%) 0.21% +0.081 pp 0.05% +0.015 pp USD279.46 -7.1% 7 qtrs
54 HIGHTOWER ADVISORS, LLC 354.7K -14.5K (-3.9%) 92.03M -14.6M (-13.7%) 0.20% -0.008 pp 0.10% -0.020 pp USD294.78 -12.0% 53 qtrs
55 ABRDN PLC 341.7K -4.5K (-1.3%) 88.68M -11.2M (-11.2%) 0.19% -0.003 pp 0.14% -0.021 pp USD275.35 -5.8% 34 qtrs
56 CITIGROUP INC 334.7K +100.5K (+42.9%) 86.85M +19.2M (+28.4%) 0.19% +0.057 pp 0.04% +0.008 pp USD270.00 -3.9% 108 qtrs
57 AEW CAPITAL MANAGEMENT L P 333.6K -78.8K (-19.1%) 86.56M -32.5M (-27.3%) 0.19% -0.045 pp 6.26% -0.369 pp USD294.72 -12.0% 22 qtrs
58 CBRE INVESTMENT MANAGEMENT LISTED REAL ASSETS LLC 330.5K +273.4K (+479.3%) 85.76M +69.3M (+420.4%) 0.19% +0.156 pp 1.26% +1.024 pp USD263.81 -1.6% 31 qtrs
59 RHUMBLINE ADVISERS 328.4K -4.0K (-1.2%) 85.21M -10.8M (-11.2%) 0.19% -0.002 pp 0.07% -0.008 pp USD210.27 +23.4% 51 qtrs
60 BNP PARIBAS ARBITRAGE, SNC 322.0K +2.7K (+0.8%) 83.55M -8.7M (-9.4%) 0.18% +0.002 pp 0.04% -0.011 pp USD303.45 -14.5% 51 qtrs
61 BANK JULIUS BAER & CO. LTD, ZURICH 315.3K +110.7K (+54.1%) 82.02M +22.9M (+38.8%) 0.18% +0.063 pp 0.23% +0.060 pp USD278.19 -6.7% 24 qtrs
62 SCHRODER INVESTMENT MANAGEMENT GROUP 299.6K -3.1K (-1.0%) 78.22M -9.1M (-10.4%) 0.17% -0.002 pp 0.06% -0.008 pp USD324.17 -19.9% 51 qtrs
63 ASSET MANAGEMENT ONE CO., LTD. 301.5K -1.8K (-0.6%) 78.19M -9.4M (-10.8%) 0.17% -0.001 pp 0.22% -0.037 pp USD195.31 +32.9% 53 qtrs
64 PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO 295.9K -9.5K (-3.1%) 76.79M -11.4M (-13.0%) 0.17% -0.005 pp 0.24% -0.041 pp USD264.87 -2.0% 51 qtrs
65 SEI INVESTMENTS CO 293.1K -9.4K (-3.1%) 76.06M -11.3M (-12.9%) 0.17% -0.005 pp 0.08% -0.019 pp USD289.00 -10.2% 45 qtrs
66 NOMURA ASSET MANAGEMENT CO LTD 289.7K +9.6K (+3.4%) 75.17M -5.7M (-7.1%) 0.17% +0.006 pp 0.19% -0.021 pp USD233.01 +11.4% 76 qtrs
67 ALLIANCEBERNSTEIN L.P. 288.4K -119.7K (-29.3%) 74.85M -43.0M (-36.5%) 0.16% -0.068 pp 0.02% -0.014 pp USD265.93 -2.4% 61 qtrs
68 NATIONAL PENSION SERVICE 283.8K +28.5K (+11.1%) 73.63M -109.0K (-0.1%) 0.16% +0.016 pp 0.05% -0.003 pp USD259.46 +0.0% 46 qtrs
69 VIRGINIA RETIREMENT SYSTEMS ET AL 272.2K -49.2K (-15.3%) 70.63M -22.2M (-23.9%) 0.16% -0.028 pp 0.42% -0.182 pp USD299.29 -13.3% 4 qtrs
70 CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 259.7K -4.0K (-1.5%) 67.39M -8.8M (-11.5%) 0.15% -0.002 pp 0.07% -0.011 pp USD202.62 +28.1% 52 qtrs
71 WORLDQUANT MILLENNIUM ADVISORS LLC 259.2K +28.1K (+12.2%) 67.26M +512.9K (+0.8%) 0.15% +0.016 pp 0.26% -0.027 pp USD287.08 -9.6% 12 qtrs
72 JANUS HENDERSON GROUP PLC 258.8K +11.0K (+4.4%) 67.18M -4.4M (-6.2%) 0.15% +0.006 pp 0.03% -0.003 pp USD283.56 -8.5% 88 qtrs
73 RAYMOND JAMES FINANCIAL INC 257.7K +54.5K (+26.8%) 66.87M +8.2M (+14.0%) 0.15% +0.031 pp 0.02% +0.002 pp USD290.39 -10.6% 5 qtrs
74 PRINCIPAL FINANCIAL GROUP INC 246.0K +12.4K (+5.3%) 63.84M -3.6M (-5.4%) 0.14% +0.007 pp 0.03% -0.001 pp USD265.25 -2.2% 81 qtrs
75 MILLENNIUM MANAGEMENT LLC 245.8K +38.0K (+18.3%) 63.77M +3.8M (+6.3%) 0.14% +0.022 pp 0.03% +0.001 pp USD286.69 -9.5% 28 qtrs
76 ADELANTE CAPITAL MANAGEMENT LLC 241.2K +6.1K (+2.6%) 62.60M -5.3M (-7.8%) 0.14% +0.004 pp 4.22% -0.323 pp USD301.10 -13.8% 20 qtrs
77 UNIVERSAL- BETEILIGUNGS- UND SERVICEGESELLSCHAFT MBH 210.8K -26.6K (-11.2%) 54.95M -13.6M (-19.9%) 0.12% -0.015 pp 0.09% -0.025 pp USD299.19 -13.3% 5 qtrs
78 NEUBERGER BERMAN GROUP LLC 199.9K -505.6K (-71.7%) 51.87M -151.9M (-74.5%) 0.11% -0.288 pp 0.04% -0.110 pp USD295.78 -12.3% 51 qtrs
79 NEW YORK STATE COMMON RETIREMENT FUND 188.8K -2.5K (-1.3%) 49.00M -6.3M (-11.3%) 0.11% -0.001 pp 0.07% -0.006 pp USD141.61 +83.2% 87 qtrs
80 ZURCHER KANTONALBANK (ZURICH CANTONALBANK) 181.6K +30.1K (+19.9%) 47.12M +3.4M (+7.7%) 0.10% +0.017 pp 0.10% +0.001 pp USD275.14 -5.7% 57 qtrs
81 CITADEL ADVISORS LLC 174.8K +136.1K (+351.7%) 45.36M +34.2M (+305.8%) 0.10% +0.078 pp 0.01% +0.005 pp USD265.21 -2.2% 38 qtrs
82 ENVESTNET ASSET MANAGEMENT INC 172.2K +2.1K (+1.2%) 44.69M -4.4M (-9.0%) 0.10% +0.001 pp 0.01% -0.001 pp USD299.50 -13.4% 51 qtrs
83 HEITMAN REAL ESTATE SECURITIES LLC 170.8K +34.8K (+25.5%) 44.33M +5.0M (+12.8%) 0.10% +0.020 pp 3.12% +0.434 pp USD287.05 -9.6% 20 qtrs
84 SWEDBANK AB 168.2K +— (+0.0%) 43.65M -4.9M (-10.2%) 0.10% +0.000 pp 0.04% -0.007 pp USD296.35 -12.4% 20 qtrs
85 ALLIANZ ASSET MANAGEMENT GMBH 167.9K -50.2K (-23.0%) 43.56M -19.4M (-30.8%) 0.10% -0.029 pp 0.04% -0.026 pp USD291.47 -11.0% 51 qtrs
86 MACQUARIE GROUP LTD 165.8K -337.7K (-67.1%) 43.04M -102.4M (-70.4%) 0.09% -0.193 pp 0.19% +0.018 pp USD318.37 -18.5% 52 qtrs
87 TD ASSET MANAGEMENT INC 162.3K -17.2K (-9.6%) 42.11M -9.7M (-18.8%) 0.09% -0.010 pp 0.03% -0.008 pp USD218.74 +18.6% 51 qtrs
88 HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND 158.0K +67.2K (+74.1%) 41.01M +14.8M (+56.4%) 0.09% +0.038 pp 0.07% +0.021 pp USD280.56 -7.5% 25 qtrs
89 EMPLOYEES RETIREMENT SYSTEM OF TEXAS 147.7K -2.6K (-1.7%) 38.32M -5.1M (-11.7%) 0.08% -0.002 pp 0.31% -0.035 pp USD283.01 -8.3% 84 qtrs
90 NATIXIS 143.2K +57.9K (+68.0%) 37.16M +12.5M (+50.9%) 0.08% +0.033 pp 0.13% +0.018 pp USD282.36 -8.1% 7 qtrs
91 STATE OF TENNESSEE, TREASURY DEPARTMENT 133.7K +40.2K (+43.0%) 36.92M +9.9M (+36.7%) 0.08% +0.023 pp 0.12% +0.028 pp USD290.46 -10.7% 50 qtrs
92 APOLLO MANAGEMENT HOLDINGS, L.P. 140.3K +140.3K (+100.0%) 36.41M +36.4M (+100.0%) 0.08% +0.080 pp 0.30% +0.298 pp USD259.50 +0.0% 1 qtrs NEW
93 STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMENT SYSTEM 138.6K -2.6K (-1.8%) 35.96M -4.8M (-11.8%) 0.08% -0.002 pp 0.06% -0.008 pp USD202.31 +28.3% 51 qtrs
94 TEACHER RETIREMENT SYSTEM OF TEXAS 138.3K +75.3K (+119.6%) 35.89M +17.7M (+97.3%) 0.08% +0.043 pp 0.12% +0.051 pp USD273.44 -5.1% 70 qtrs
95 GOTHAM ASSET MANAGEMENT, LLC 136.5K +90.2K (+194.8%) 35.42M +22.0M (+164.9%) 0.08% +0.051 pp 0.13% +0.071 pp USD271.94 -4.6% 29 qtrs
96 PERPETUAL LTD 136.3K +3.8K (+2.9%) 35.36M -2.9M (-7.6%) 0.08% +0.002 pp 0.51% +0.037 pp USD300.06 -13.5% 12 qtrs
97 LPL FINANCIAL LLC 135.5K +16.4K (+13.8%) 35.16M +766.6K (+2.2%) 0.08% +0.009 pp 0.01% 0.000 pp USD279.51 -7.2% 51 qtrs
98 KBC GROUP NV 129.7K +688.0 (+0.5%) 33.66M -3.6M (-9.7%) 0.07% +0.000 pp 0.08% -0.013 pp USD309.99 -16.3% 68 qtrs
99 AVIVA PLC 129.3K +3.7K (+3.0%) 33.55M -2.7M (-7.5%) 0.07% +0.002 pp 0.06% -0.009 pp USD284.75 -8.9% 51 qtrs
100 GREAT LAKES ADVISORS, LLC 128.0K -5.7K (-4.3%) 33.23M -5.4M (-14.0%) 0.07% -0.003 pp 0.27% -0.052 pp USD292.07 -11.2% 11 qtrs
Ownership breakdown by holder

Insider Activity

Insider Activity — Latest Quarter
Ratio by transactions
2.00
Bullish
Ratio by volume
2.28
Bullish
Buys
14
Sells
7
Shares acquired
39.5K
Shares disposed
17.3K
Cash buys
Cash sales
Net activity
+22,221
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
2026-05-06 WILLIAMS PAUL S Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 Shaukat Tariq M Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 SPOGLI RONALD P Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 Pipes Kristy Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 POLADIAN AVEDICK BARUYR Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 PETHERBRIDGE LUKE J Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 Owen Rebecca L Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 Mitra Shankh Director A-Award A Stock Option (Right to Buy) 3,232 308.98 998.6K 3,232 D
2026-05-06 HAWTHORNE MARIA R Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 HAVNER RONALD L JR Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-05-06 GUSTAVSON TAMARA HUGHES Director A-Award A AO LTIP Units 3,232 308.98 998.6K 3,232 D
2026-04-21 SPOGLI RONALD P Director M-Exempt A LTIP Units 972 0.00 5,910 D
2026-04-20 POLADIAN AVEDICK BARUYR Director M-Exempt D AO LTIP Units 5,163 250.29 1.29M 0 D
2026-04-14 HAVNER RONALD L JR Director G-Gift D Common Shares 734 0.00 6,727 D
2026-04-10 POLADIAN AVEDICK BARUYR Director G-Gift D Common Shares 2,000 0.00 26,163 D
2026-04-01 HAVNER RONALD L JR Director F-InKind D Common Shares 266 276.24 73.5K 7,461 D
2026-03-31 WILLIAMS PAUL S Director A-Award A Common Shares 54 270.88 14.6K 1,432 D
2026-03-31 SPOGLI RONALD P Director A-Award A Common Shares 7 270.88 1.8K 12,828 D
2026-03-31 REYES JOHN Director A-Award A Common Shares 123 270.88 33.3K 3,314 D
2026-03-31 PETHERBRIDGE LUKE J Director A-Award A LTIP Units 128 0.00 336 D
2026-03-31 Mitra Shankh Director A-Award A Common Shares 128 270.88 34.7K 9,024 D
2026-03-31 HAVNER RONALD L JR Director A-Award A LTIP Units 342 0.00 147,699 D
2026-03-15 Vitan Nathaniel A. Officer A-Award A AO LTIP Units 12,986 288.56 3.75M 12,986 D
2026-03-15 RUSSELL JOSEPH D JR Director / Officer A-Award A LTIP Units 10,520 0.00 106,396 D
2026-03-15 Johnson Natalia Officer A-Award A AO LTIP Units 25,551 288.56 7.37M 25,551 D
2026-03-15 Boyle Tom Officer A-Award A AO LTIP Units 34,068 288.56 9.83M 34,068 D
2026-03-12 Owen Rebecca L Director M-Exempt D AO LTIP Units 4,250 210.48 894.5K 6,077 D
2026-03-02 WILLIAMS PAUL S Director M-Exempt D AO LTIP Units 6,000 223.61 1.34M 9,491 D
2026-02-20 Mitra Shankh Director P-Purchase A OP Options 561,293 350.00 196.45M 561,293 D
2026-02-20 HAVNER RONALD L JR Director P-Purchase A OP Options 112,258 350.00 39.29M 112,258 D
2026-02-16 Fisher Joseph D Officer AO LTIP Units 68,886 350.00 24.11M 0 D
2026-02-13 REYES JOHN Director A-Award A LTIP Units 6,980 0.00 76,583 D
2026-02-10 Boyle Tom Officer A-Award A AO LTIP Units 229,621 350.00 80.37M 229,621 D
2026-02-06 REYES JOHN Director M-Exempt D AO LTIP Units 25,000 226.20 5.66M 28,275 D
2026-01-27 RUSSELL JOSEPH D JR Director / Officer A-Award A LTIP Units 25,207 0.00 95,876 D
2026-01-22 REYES JOHN Director M-Exempt A LTIP Units 10,535 0.00 64,306 D
2025-12-31 WILLIAMS PAUL S Director A-Award A Common Shares 77 259.50 20.0K 1,378 D
2025-12-31 SPOGLI RONALD P Director A-Award A LTIP Units 164 0.00 4,764 D
2025-12-31 REYES JOHN Director A-Award A Common Shares 128 259.50 33.2K 3,191 D
2025-12-31 PETHERBRIDGE LUKE J Director A-Award A LTIP Units 128 0.00 208 D
2025-12-31 Mitra Shankh Director A-Award A Common Shares 128 259.50 33.2K 8,896 D
2025-12-31 HAVNER RONALD L JR Director A-Award A LTIP Units 357 0.00 147,357 D
2025-12-30 SPOGLI RONALD P Director A-Award A Common Shares 7 261.13 1.7K 12,821 D
2025-12-30 HAVNER RONALD L JR Director A-Award A Common Shares 5 261.13 1.2K 7,722 D
2025-09-30 WILLIAMS PAUL S Director A-Award A Common Shares 70 288.85 20.2K 1,301 D
2025-09-30 SPOGLI RONALD P Director A-Award A Common Shares 6 288.85 1.7K 12,815 D
2025-09-30 REYES JOHN Director A-Award A Common Shares 115 288.85 33.2K 3,063 D
2025-09-30 PETHERBRIDGE LUKE J Director A-Award A LTIP Units 80 0.00 80 D
2025-09-30 Mitra Shankh Director A-Award A Common Shares 115 288.85 33.2K 8,768 D
2025-09-30 HAVNER RONALD L JR Director A-Award A Common Shares 4 288.85 1.2K 7,717 D
2025-08-08 PETHERBRIDGE LUKE J Director P-Purchase A Common Shares 700 284.25 199.0K 700 D
2025-07-30 PETHERBRIDGE LUKE J Director A-Award A AO LTIP Units 10,022 288.65 2.89M 10,022 D
2025-06-30 WILLIAMS PAUL S Director A-Award A Common Shares 68 293.42 20.0K 1,231 D
2025-06-30 SPOGLI RONALD P Director A-Award A LTIP Units 145 0.00 4,452 D
2025-06-30 REYES JOHN Director A-Award A Common Shares 113 293.42 33.2K 2,948 D
2025-06-30 Mitra Shankh Director A-Award A Common Shares 113 293.42 33.2K 8,653 D
2025-06-30 HAVNER RONALD L JR Director A-Award A LTIP Units 316 0.00 146,679 D
2025-06-27 SPOGLI RONALD P Director A-Award A Common Shares 6 289.88 1.7K 12,809 D
2025-06-27 HAVNER RONALD L JR Director A-Award A Common Shares 4 289.88 1.2K 7,713 D
2025-05-08 HAVNER RONALD L JR Director G-Gift D Common Shares 734 0.00 7,709 D
2025-05-07 WILLIAMS PAUL S Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 Shaukat Tariq M Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 SPOGLI RONALD P Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 REYES JOHN Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 Pipes Kristy Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 POLADIAN AVEDICK BARUYR Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 Owen Rebecca L Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 Mitra Shankh Director A-Award A Stock Option (Right to Buy) 3,177 299.90 952.8K 3,177 D
2025-05-07 HAWTHORNE MARIA R Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 HAVNER RONALD L JR Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-05-07 GUSTAVSON TAMARA HUGHES Director A-Award A AO LTIP Units 3,177 299.90 952.8K 3,177 D
2025-04-23 POLADIAN AVEDICK BARUYR Director M-Exempt A LTIP Units 1,981 0.00 3,761 D
2025-04-01 HAVNER RONALD L JR Director F-InKind D Common Shares 266 298.86 79.5K 8,443 D
2025-03-31 WILLIAMS PAUL S Director A-Award A Common Shares 67 299.29 20.1K 1,163 D
2025-03-31 SPOGLI RONALD P Director A-Award A LTIP Units 143 0.00 4,307 D
2025-03-31 REYES JOHN Director A-Award A Common Shares 111 299.29 33.2K 2,835 D
2025-03-31 Mitra Shankh Director A-Award A Common Shares 111 299.29 33.2K 8,540 D
2025-03-31 HAVNER RONALD L JR Director A-Award A LTIP Units 310 0.00 146,363 D
2025-03-28 SPOGLI RONALD P Director A-Award A Common Shares 6 294.37 1.7K 12,803 D
2025-03-28 HAVNER RONALD L JR Director A-Award A Common Shares 4 294.37 1.2K 8,709 D
2025-03-05 Vitan Nathaniel A. Officer A-Award A AO LTIP Units 5,264 311.30 1.64M 5,264 D
2025-03-05 Sambar Christopher Officer A-Award A AO LTIP Units 9,748 311.30 3.03M 9,748 D
2025-03-05 RUSSELL JOSEPH D JR Director / Officer A-Award A AO LTIP Units 22,908 311.30 7.13M 22,908 D
2025-03-05 Johnson Natalia Officer A-Award A AO LTIP Units 10,317 311.30 3.21M 10,317 D
2025-03-05 Boyle Tom Officer A-Award A AO LTIP Units 13,810 311.30 4.30M 13,810 D
2025-02-21 HAVNER RONALD L JR Director M-Exempt A LTIP Units 26,478 0.00 146,053 D
2025-02-04 REYES JOHN Director M-Exempt D AO LTIP Units 53,275 192.49 10.25M 0 D
2025-01-31 REYES JOHN Director M-Exempt A LTIP Units 17,755 0.00 35,055 D
2025-01-27 SPOGLI RONALD P Director M-Exempt A LTIP Units 2,003 0.00 4,164 D
2025-01-22 Vitan Nathaniel A. Officer A-Award A AO LTIP Units 15,233 343.76 5.24M 15,233 D
2025-01-22 RUSSELL JOSEPH D JR Director / Officer A-Award A LTIP Units 11,116 0.00 70,669 D
2025-01-22 Johnson Natalia Officer A-Award A LTIP Units 5,315 0.00 16,625 D
2025-01-22 Boyle Tom Officer A-Award A LTIP Units 7,974 0.00 23,449 D
2024-12-31 WILLIAMS PAUL S Director A-Award A Common Shares 67 299.44 20.1K 1,096 D
2024-12-31 SPOGLI RONALD P Director A-Award A Common Shares 142 299.44 42.5K 12,793 D
2024-12-31 REYES JOHN Director A-Award A Common Shares 111 299.44 33.2K 12,869 D
2024-12-31 Mitra Shankh Director A-Award A Common Shares 111 299.44 33.2K 8,429 D
2024-12-31 HAVNER RONALD L JR Director A-Award A Common Shares 3 299.44 883.35 8,705 D
2024-12-13 Vitan Nathaniel A. Officer S-Sale D Common Shares 450 317.99 143.1K 2,364 D
2024-11-05 Sambar Christopher Officer A-Award A LTIP Units 14,363 0.00 14,363 D
2024-10-30 Sambar Christopher Officer 0 0.00 0
2024-09-30 WILLIAMS PAUL S Director A-Award A Common Shares 55 363.87 20.0K 1,029 D
2024-09-30 SPOGLI RONALD P Director A-Award A Common Shares 117 363.87 42.6K 12,649 D
2024-09-30 RUSSELL JOSEPH D JR Director / Officer M-Exempt D AO LTIP Units 36,000 221.68 7.98M 42,275 D
2024-09-30 REYES JOHN Director A-Award A Common Shares 92 363.87 33.5K 12,758 D
2024-09-30 Mitra Shankh Director A-Award A Common Shares 92 363.87 33.5K 8,318 D
2024-09-30 HAVNER RONALD L JR Director A-Award A Common Shares 2 363.87 633.13 8,601 D
2024-09-12 Vitan Nathaniel A. Officer M-Exempt A LTIP Units 17,659 0.00 48,671
2024-08-23 Vitan Nathaniel A. Officer S-Sale D Common Stock 400 339.95 136.0K 2,814
2024-08-16 RUSSELL JOSEPH D JR Director / Officer M-Exempt A LTIP Units 7,235 0.00 37,836
2024-07-29 Shaukat Tariq M Director M-Exempt D AO LTIP Units 1,889 184.85 349.2K 3,274
2024-07-25 HAWTHORNE MARIA R Director A-Award A AO LTIP Units 9,806 294.92 2.89M 9,806
2024-06-30 WILLIAMS PAUL S Director A-Award A Common Shares 70 287.65 20.1K 974
2024-06-30 SPOGLI RONALD P Director A-Award A Common Shares 148 287.65 42.6K 12,530
2024-06-30 REYES JOHN Director A-Award A Common Shares 111 287.65 31.9K 12,666
2024-06-30 Mitra Shankh Director A-Award A Common Shares 116 287.65 33.4K 8,226
2024-06-30 HAVNER RONALD L JR Director A-Award A Common Shares 105 287.65 30.2K 8,515
2024-06-10 Vitan Nathaniel A. Officer S-Sale D Common Shares 400 274.29 109.7K 3,214
2024-05-14 Pipes Kristy Director P-Purchase A Common Shares 2,149 278.96 599.5K 2,149
2024-05-07 WILLIAMS PAUL S Director A-Award A AO LTIP Units 3,600 273.20 983.5K 3,600
2024-05-07 Vitan Nathaniel A. Officer A-Award A AO LTIP Units 64,546 0.00 64,546
2024-05-07 Shaukat Tariq M Director A-Award A AO LTIP Units 3,600 273.20 983.5K 3,600
2024-05-07 SPOGLI RONALD P Director A-Award A AO LTIP Units 3,600 273.20 983.5K 3,600
2024-05-07 REYES JOHN Director A-Award A AO LTIP Units 3,600 273.20 983.5K 3,600
2024-05-07 Pipes Kristy Director A-Award A AO LTIP Units 3,600 273.20 983.5K 3,600
2024-05-07 POLADIAN AVEDICK BARUYR Director A-Award A AO LTIP Units 3,600 273.20 983.5K 3,600
2024-05-07 Owen Rebecca L Director D-Return D Stock Option (Right to Buy) 5,000 286.81 1.43M 0
2024-05-07 NEITHERCUT DAVID J Director D-Return D Stock Option (Right to Buy) 5,163 266.40 1.38M 0
2024-05-07 Mitra Shankh Director A-Award A Stock Option (Right to Buy) 3,600 273.20 983.5K 3,600
2024-05-07 HAVNER RONALD L JR Director A-Award A AO LTIP Units 3,600 273.20 983.5K 3,600
2024-05-07 GUSTAVSON TAMARA HUGHES Director D-Return D Stock Option (Right to Buy) 5,163 184.85 954.4K 0
2024-05-02 HAVNER RONALD L JR Director G-Gift D Common Shares 696 0.00 8,410
2024-04-19 POLADIAN AVEDICK BARUYR Director M-Exempt A LTIP Units 1,780 0.00 1,780
2024-04-09 SPOGLI RONALD P Director M-Exempt A LTIP Units 2,160 0.00 2,160
2024-04-01 HAVNER RONALD L JR Director F-InKind D Common Shares 304 286.50 87.1K 9,106
2024-03-31 WILLIAMS PAUL S Director A-Award A Common Shares 69 290.06 20.0K 904
2024-03-31 SPOGLI RONALD P Director A-Award A Common Shares 147 290.06 42.6K 12,382
2024-03-31 REYES JOHN Director A-Award A Common Shares 104 290.06 30.2K 12,555
2024-03-31 NEITHERCUT DAVID J Director A-Award A Common Shares 136 290.06 39.4K 1,665
2024-03-31 Mitra Shankh Director A-Award A Common Shares 115 290.06 33.4K 8,110
2024-03-31 HAVNER RONALD L JR Director A-Award A Common Shares 104 290.06 30.2K 9,410
2024-03-05 WILLIAMS PAUL S Director D-Return D Stock Option (Right to Buy) 5,000 286.81 1.43M 0
2024-03-05 Vitan Nathaniel A. Officer A-Award A AO LTIP Units 6,470 279.51 1.81M 6,470
2024-03-05 Shaukat Tariq M Director D-Return D Stock Option (Right to Buy) 5,163 184.85 954.4K 0
2024-03-05 STONE HEISZ LESLIE Director D-Return D Stock Option (Right to Buy) 5,163 184.85 954.4K 0
2024-03-05 SPOGLI RONALD P Director A-Award A AO LTIP Units 5,163 0.00 5,163
2024-03-05 RUSSELL JOSEPH D JR Director / Officer A-Award A AO LTIP Units 28,155 279.51 7.87M 28,155
2024-03-05 REYES JOHN Director D-Return D Stock Option (Right to Buy) 5,163 211.30 1.09M 0
2024-03-05 Pipes Kristy Director D-Return D Stock Option (Right to Buy) 5,163 266.40 1.38M 0
2024-03-05 POLADIAN AVEDICK BARUYR Director D-Return D Stock Option (Right to Buy) 5,163 250.29 1.29M 0
2024-03-05 Johnson Natalia Officer A-Award A AO LTIP Units 12,680 279.51 3.54M 12,680
2024-03-05 HAVNER RONALD L JR Director D-Return D Stock Option (Right to Buy) 5,163 211.30 1.09M 0
2024-03-05 Boyle Tom Officer A-Award A AO LTIP Units 16,973 279.51 4.74M 16,973
2024-03-04 HAVNER RONALD L JR Director G-Gift D Common Shares 5,242 0.00 14,306
2024-02-26 Vitan Nathaniel A. Officer D-Return D Stock Option (Right to Buy) 77,456 222.66 17.25M 0
2024-02-26 RUSSELL JOSEPH D JR Director / Officer D-Return D Stock Option (Right to Buy) 25,818 245.79 6.35M 0
2024-02-26 Johnson Natalia Officer A-Award A LTIP Units 11,310 0.00 11,310
2024-02-26 Boyle Tom Officer A-Award A LTIP Units 15,475 0.00 15,475
2024-02-19 HAVNER RONALD L JR Director M-Exempt A LTIP Units 44,058 0.00 65,933
2024-02-16 Vitan Nathaniel A. Officer F-InKind D Common Shares 333 281.52 93.7K 12,614
2024-02-16 Johnson Natalia Officer F-InKind D Common Shares 567 281.52 159.6K 19,420
2024-02-16 Boyle Tom Officer F-InKind D Common Shares 693 281.52 195.1K 25,702
2024-02-15 REYES JOHN Director D-Return D Common Shares 15,500 0.00 14,251
2024-02-15 HAVNER RONALD L JR Director A-Award A AO LTIP Units 103,275 0.00 103,275
2024-02-05 Vitan Nathaniel A. Officer A-Award A Stock Option (Right to Buy) 77,456 222.66 17.25M 77,456
2024-02-05 RUSSELL JOSEPH D JR Director / Officer A-Award A Stock Option (Right to Buy) 123,930 222.66 27.59M 123,930
2024-02-05 Johnson Natalia Officer A-Award A Stock Option (Right to Buy) 77,456 222.66 17.25M 77,456
2024-02-05 Boyle Tom Officer A-Award A Stock Option (Right to Buy) 100,692 222.66 22.42M 100,692
2023-12-31 WILLIAMS PAUL S Director A-Award A Common Shares 61 305.00 18.6K 835
2023-12-31 Vitan Nathaniel A. Officer F-InKind D Common Shares 41 305.00 12.5K 12,947
2023-12-31 SPOGLI RONALD P Director A-Award A Common Shares 115 305.00 35.1K 12,235
2023-12-31 REYES JOHN Director A-Award A Common Shares 99 305.00 30.2K 174,291
2023-12-31 Owen Rebecca L Director A-Award A Common Shares 105 305.00 32.0K 874
2023-12-31 NEITHERCUT DAVID J Director A-Award A Common Shares 121 305.00 36.9K 1,529
2023-12-31 Mitra Shankh Director A-Award A Common Shares 105 305.00 32.0K 7,995
2023-12-31 HAVNER RONALD L JR Director A-Award A Common Shares 99 305.00 30.2K 42,431
2023-12-31 Boyle Tom Officer F-InKind D Common Shares 84 305.00 25.6K 26,395
2023-12-13 Vitan Nathaniel A. Officer S-Sale D Common Shares 265 282.17 74.8K 13,021
2023-12-12 REYES JOHN Director M-Exempt D Stock Option (Right to Buy) 53,275 161.42 8.60M 0
2023-12-11 REYES JOHN Director M-Exempt A Common Shares 50,000 161.42 8.07M 224,192
2023-11-30 HAVNER RONALD L JR Director S-Sale D Common Shares 10,000 258.09 2.58M 310,381
2023-11-20 POLADIAN AVEDICK BARUYR Director S-Sale D Common Shares 5,000 259.35 1.30M 30,163
2023-11-10 Vitan Nathaniel A. Officer S-Sale D Common Shares 400 245.37 98.1K 13,286
2023-09-30 WILLIAMS PAUL S Director A-Award A Common Shares 71 263.52 18.7K 774
2023-09-30 SPOGLI RONALD P Director A-Award A Common Shares 133 263.52 35.0K 12,120
2023-09-30 REYES JOHN Director A-Award A Common Shares 114 263.52 30.0K 174,192
2023-09-30 Owen Rebecca L Director A-Award A Common Shares 121 263.52 31.9K 769
2023-09-30 NEITHERCUT DAVID J Director A-Award A Common Shares 140 263.52 36.9K 1,408
2023-09-30 Mitra Shankh Director A-Award A Common Shares 121 263.52 31.9K 7,890
2023-09-30 HAVNER RONALD L JR Director A-Award A Common Shares 114 263.52 30.0K 42,332
2023-08-04 Johnson Natalia Officer F-InKind D Common Shares 199 275.69 54.9K 19,987
2023-06-30 WILLIAMS PAUL S Director A-Award A Common Shares 64 291.88 18.7K 703
2023-06-30 SPOGLI RONALD P Director A-Award A Common Shares 120 291.88 35.0K 11,987
2023-06-30 REYES JOHN Director A-Award A Common Shares 103 291.88 30.1K 174,078
2023-06-30 Owen Rebecca L Director A-Award A Common Shares 110 291.88 32.1K 648
2023-06-30 NEITHERCUT DAVID J Director A-Award A Common Shares 127 291.88 37.1K 1,268
2023-06-30 Mitra Shankh Director A-Award A Common Shares 110 291.88 32.1K 7,769
2023-06-30 HAVNER RONALD L JR Director A-Award A Common Shares 103 291.88 30.1K 42,218
2023-05-27 Vitan Nathaniel A. Officer F-InKind D Common Shares 124 286.69 35.5K 13,686
2023-05-17 HAVNER RONALD L JR Director G-Gift D Common Shares 5,104 0.00 42,115

Executive team

Top executives
EBIT / Employee
355.0K
Shares Outstanding
175.55M

Executive compensation

Executive compensation (annual)

Executive compensation not available.

CEO compensation breakdown

No CEO compensation history available.

Proxy statements

Proxy statements (DEF 14A)
Filing date Form type Filing
2026-04-22 DEFA14A
2026-03-27 DEFA14A
2026-03-27 DEF 14A

Recent SEC filings

Recent SEC filings
Filing date Form type Filing
2026-06-01 8-K
2026-06-01 425
2026-05-11 S-4
2026-05-11 8-K
2026-05-08 4
2026-05-08 4
2026-05-08 4
2026-05-08 4
2026-05-08 4
2026-05-08 4

Executive team

NameTitleCompensationGender
Joseph D. Russell Jr. Consultant 3M male
H. Thomas Boyle CEO & Trustee 2M male
Christopher C. Sambar President & COO 2M male
Natalia N. Johnson President and Chief Digital & Transformation Officer 1M female
Nathaniel A. Vitan Senior Vice President, Chief Legal Officer & Corporate Secretary 864.0K male
Michael Braine Chief Technology Officer male
Nathan A. Tan Senior Vice President of Human Resources
Nicholas J. Kangas Executive Vice President of Finance & Accounting
Philip Kim Chief Data & Analytics Officer male
Phillip D. Williams Jr. Senior Vice President of Construction
Ayash Basu Chief Revenue & Marketing Officer male
Steven H. Lentin Executive Vice President of Operations male
ESG Rating
B-
REIT - INDUSTRIAL
Rank: 56 out of 58
2023
E (Environmental)
50.2 / 66.5
Company / Sector avg.
S (Social)
54.1 / 70.1
Company / Sector avg.
G (Governance)
54.4 / 70.0
Company / Sector avg.
ESG Total
52.9 / 68.9
Company / Sector avg.
ESG Score History REIT - INDUSTRIAL
Benchmark vs Sector
Political Trading Activity (25M)
Senate Trading Activity
Transaction Date Disclosed Senator State Owner Type Amount Link
2020-08-14 2020-08-29 Ron Wyden OR Spouse Purchase $15,001 - $50,000
2020-08-05 2020-08-29 Ron Wyden OR Spouse Purchase $15,001 - $50,000
2020-08-04 2020-08-29 Ron Wyden OR Spouse Purchase $50,001 - $100,000
2017-06-15 2017-06-22 Patty Murray WA Spouse Sale (Full) $1,001 - $15,000
2017-03-16 2017-03-21 Patty Murray WA Spouse Purchase $1,001 - $15,000
2016-12-23 2017-01-11 Sheldon Whitehouse RI Joint Sale (Full) $15,001 - $50,000
2016-08-18 2016-09-09 Sheldon Whitehouse RI Joint Purchase $1,001 - $15,000
2016-06-07 2016-06-16 Sheldon Whitehouse RI Joint Purchase $15,001 - $50,000
House Trading Activity
Transaction Date Disclosed Representative District Owner Type Amount Link
2026-01-12 2026-02-09 Virginia Foxx NC05 Sale $1,001 - $15,000
2025-12-19 2026-01-12 Gilbert Cisneros CA31 Sale (Partial) $1,001 - $15,000
2025-09-05 2025-10-03 Ro Khanna CA17 Purchase $1,001 - $15,000
2025-08-26 2025-09-12 Ro Khanna CA17 Purchase $1,001 - $15,000
2025-08-05 2025-09-12 Gilbert Cisneros CA31 Sale (Partial) $1,001 - $15,000
2024-12-06 2025-01-06 Virginia Foxx NC05 Purchase $1,001 - $15,000
2024-09-04 2024-09-06 John James MI10 Sale (Full) $1,001 - $15,000
2023-11-03 2023-12-06 Ro Khanna CA17 Sale $1,001 - $15,000
2023-10-31 2023-11-08 Ro Khanna CA17 Spouse Purchase $1,001 - $15,000
2023-10-02 2023-11-08 Ro Khanna CA17 Purchase $1,001 - $15,000
2023-09-06 2023-10-06 Ro Khanna CA17 Spouse Sale $1,001 - $15,000
2023-08-29 2023-09-06 Ro Khanna CA17 Sale $1,001 - $15,000
2023-08-03 2023-09-06 Ro Khanna CA17 Spouse Purchase $1,001 - $15,000
2023-07-12 2023-08-13 Daniel Goldman NY10 Sale $50,001 - $100,000
2023-07-10 2023-08-13 Daniel Goldman NY10 Sale $1,001 - $15,000
2023-06-29 2023-07-11 Ro Khanna CA17 Spouse Purchase $1,001 - $15,000
2023-05-23 2023-06-12 Ro Khanna CA17 Spouse Sale $1,001 - $15,000
2023-05-23 2023-06-12 Ro Khanna CA17 Purchase $1,001 - $15,000
2023-05-19 2023-06-12 Ro Khanna CA17 Spouse Sale $15,001 - $50,000
2023-03-24 2023-04-07 Ro Khanna CA17 Purchase $1,001 - $15,000
Market share among peers
Peer comparison — filtered group (TTM)
Your opinion

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Dividend yield history

Dividend history

Earnings history

Earnings reports

Stock splits