Public Storage (PSA)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$134M
Holdings value Q1 2024
$38.8B
Value change Q1 2024
-$447M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1063
Number of Buys Q1 2024
502
Number of Sells Q1 2024
-390
Average Buys Q1 2024 %
+0.006%
Average Sells Q1 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 134M $38.7B -$399M $290.06 1,000
2023 Q4 137M $41.6B -$166M $305.00 1,045
2023 Q3 139M $36.6B +$263M $263.52 968
2023 Q2 138M $40.3B -$492M $291.88 984
2023 Q1 139M $41.9B +$797M $302.14 945
2022 Q4 140M $39.3B +$455M $280.19 950
2022 Q3 139M $40.7B +$372M $292.81 932
2022 Q2 138M $43B +$274M $312.67 964
2022 Q1 139M $54.1B +$1.16B $390.28 1,009
2021 Q4 138M $51.5B +$337M $374.56 975
2021 Q3 137M $40.8B -$421M $297.10 884
2021 Q2 139M $41.8B +$576M $300.69 839
2021 Q1 138M $34B +$426M $246.76 802
2020 Q4 138M $31.8B -$664M $230.93 796
2020 Q3 141M $31.4B +$407M $222.72 738
2020 Q2 140M $26.7B +$195M $191.89 732
2020 Q1 141M $27.9B +$523M $198.61 742
2019 Q4 139M $29.5B -$14.2M $212.96 783
2019 Q3 140M $34.4B -$230M $245.27 763
2019 Q2 142M $33.9B +$939M $238.17 728
2019 Q1 142M $30.8B +$183M $217.78 755
2018 Q4 141M $28.6B +$93M $202.41 730
2018 Q3 141M $28.5B -$266M $201.63 708
2018 Q2 143M $32.4B +$525M $226.86 720
2018 Q1 142M $28.4B +$158M $200.39 702
2017 Q4 142M $29.7B +$382M $209.00 707
2017 Q3 141M $30.1B +$478M $213.99 655
2017 Q2 141M $29.3B +$356M $208.53 655
2017 Q1 139M $30.5B +$3.46B $218.91 658
2016 Q4 137M $30.7B +$934M $223.50 646
2016 Q3 135M $30.2B +$369M $223.14 617
2016 Q2 135M $34.4B -$2.88B $255.59 648
2016 Q1 147M $37.7B -$51.5M $275.83 609
2015 Q4 137M $34B +$209M $247.70 586
2015 Q3 137M $29B +$448M $211.63 559
2015 Q2 136M $24.6B +$576M $184.37 535
2015 Q1 140M $27.5B +$368M $197.14 524
2014 Q4 132M $24.3B -$545M $184.85 538
2014 Q3 135M $22.4B -$243M $165.84 497
2014 Q2 136M $23.4B +$59.9M $171.35 484
2014 Q1 137M $23.1B +$489M $168.49 487