Digital Realty Trust, Inc. (DLR)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$287M
Holdings value Q1 2024
$41.3B
Value change Q1 2024
-$2.35B
Grand Portfolio weight change Q1 2024
-0.005%
Number of holders
1067
Number of Buys Q1 2024
473
Number of Sells Q1 2024
-457
Average Buys Q1 2024 %
+0.023%
Average Sells Q1 2024 %
-0.006%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 286M $41.1B -$2.29B $144.04 1,006
2023 Q4 307M $41.4B +$1.54B $134.58 1,044
2023 Q3 300M $36.3B -$639M $121.02 969
2023 Q2 306M $34.7B +$1.94B $113.87 956
2023 Q1 289M $28.4B +$737M $98.31 926
2022 Q4 288M $28.9B +$1.15B $100.27 985
2022 Q3 278M $27.5B +$400M $99.18 958
2022 Q2 274M $35.5B +$630M $129.83 1,015
2022 Q1 273M $38.7B -$226M $141.80 1,054
2021 Q4 279M $49.3B +$662M $176.87 1,085
2021 Q3 277M $40B +$820M $144.45 1,006
2021 Q2 273M $41B +$25.4M $150.46 1,011
2021 Q1 273M $38.5B +$1.29B $140.84 961
2020 Q4 267M $37.2B -$544M $139.51 960
2020 Q3 272M $40B +$282M $146.76 919
2020 Q2 272M $38.7B +$123M $142.11 895
2020 Q1 274M $38.2B +$6.68B $138.91 854
2019 Q4 228M $27.3B +$1.65B $119.74 800
2019 Q3 214M $27.8B +$602M $129.81 726
2019 Q2 211M $25B +$92.5M $117.79 725
2019 Q1 213M $25.4B +$722M $119.00 717
2018 Q4 209M $22.3B +$427M $106.55 714
2018 Q3 207M $23.3B +$381M $112.48 714
2018 Q2 204M $22.8B +$211M $111.58 680
2018 Q1 204M $21.5B -$28M $105.38 664
2017 Q4 205M $23.4B +$368M $113.90 694
2017 Q3 204M $24.1B +$4.52B $118.33 675
2017 Q2 165M $18.7B +$225M $112.95 624
2017 Q1 167M $17.8B +$986M $106.39 589
2016 Q4 173M $17B +$559M $98.26 580
2016 Q3 171M $16.6B +$366M $97.12 542
2016 Q2 170M $18.5B +$1.9B $108.99 553
2016 Q1 154M $13.4B +$595M $88.49 481
2015 Q4 147M $11.1B +$62.8M $75.62 472
2015 Q3 147M $9.6B +$1.14B $65.32 429
2015 Q2 136M $8.94B +$301M $66.68 415
2015 Q1 131M $8.67B +$230M $65.96 421
2014 Q4 132M $8.74B -$270M $66.30 429
2014 Q3 139M $8.69B -$374M $62.38 394
2014 Q2 146M $8.52B -$137M $58.32 398
2014 Q1 152M $8.06B +$29.6M $53.08 385