ALEXANDRIA REAL ESTATE EQUITIES, INC. - COM (ARE) Institutional Ownership

CUSIP: 015271109

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
ARE on NYSE
Price per share
$53.76
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
165,732,329
Total reported value
$8,119,379,443
% of total 13F portfolios
0.01%
Share change
+15,429,839
Value change
+$483,676,022
Number of holders
582
Price from insider filings
$53.76
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 015271109?
CUSIP 015271109 identifies ARE - ALEXANDRIA REAL ESTATE EQUITIES, INC. - COM in SEC 13F datasets.

Where can I see the latest institutional holders?
Review the Q4 2025 holders report and the ownership history table below.

As of 31 Dec 2025, 582 institutional investors reported holding 165,732,329 shares of ALEXANDRIA REAL ESTATE EQUITIES, INC. - COM (ARE).

Institutional Holders of ALEXANDRIA REAL ESTATE EQUITIES, INC. - COM (ARE) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 165,732,329 $8,119,379,443 +$483,676,022 $48.94 582
2025 Q3 148,585,725 $12,392,418,483 -$839,284,392 $83.34 693
2025 Q2 161,424,283 $11,757,960,130 +$993,520,754 $72.63 658
2025 Q1 147,179,377 $13,619,217,200 -$1,747,739,254 $92.51 665
2024 Q4 165,351,782 $16,144,449,020 +$422,371,081 $97.55 652
2024 Q3 160,106,006 $19,011,878,826 -$363,174,031 $118.75 643
2024 Q2 162,543,061 $19,016,988,717 -$535,596,538 $116.97 666
2024 Q1 167,175,631 $21,517,979,612 -$155,577,061 $128.91 642
2023 Q4 168,501,971 $21,375,138,359 +$41,123,349 $126.77 644
2023 Q3 168,092,938 $16,839,451,665 +$216,077,523 $100.10 565
2023 Q2 165,865,662 $18,853,625,942 +$47,257,131 $113.49 589
2023 Q1 164,700,970 $20,698,019,064 +$359,415,200 $125.59 607
2022 Q4 162,057,293 $23,621,407,889 -$185,506,871 $145.67 620
2022 Q3 162,545,289 $22,801,343,115 -$273,872,816 $140.19 595
2022 Q2 160,571,312 $23,315,029,377 +$150,195,513 $145.03 589
2022 Q1 161,895,709 $32,634,724,435 +$1,454,472,356 $201.25 621
2021 Q4 154,380,666 $34,413,023,824 +$685,580,219 $222.96 596
2021 Q3 151,382,936 $28,958,696,149 +$419,151,933 $191.07 554
2021 Q2 149,376,522 $27,194,118,963 +$1,728,911,606 $181.94 546
2021 Q1 139,871,723 $22,992,027,863 +$1,010,783,739 $164.30 541
2020 Q4 133,360,608 $23,756,338,345 +$149,431,052 $178.22 531
2020 Q3 132,912,195 $21,271,983,351 +$1,080,780,231 $160.00 538
2020 Q2 126,774,665 $20,572,243,323 +$266,489,718 $162.25 497
2020 Q1 125,005,032 $17,147,517,192 +$316,972,406 $137.06 471
2019 Q4 122,451,781 $19,785,906,050 +$605,361,417 $161.58 449
2019 Q3 118,799,865 $18,303,251,984 +$43,995,363 $154.04 440
2019 Q2 118,069,498 $16,662,419,695 +$1,032,471,465 $141.09 455
2019 Q1 112,038,966 $15,979,554,671 +$77,646,969 $142.56 439
2018 Q4 111,703,841 $12,878,140,902 +$212,974,412 $115.24 435
2018 Q3 109,742,215 $13,802,972,470 +$329,113,902 $125.79 427
2018 Q2 107,099,430 $13,515,537,727 +$99,370,545 $126.17 437
2018 Q1 106,253,407 $13,270,134,455 +$564,466,260 $124.89 416
2017 Q4 100,338,670 $13,102,296,806 +$361,377,928 $130.59 402
2017 Q3 97,562,005 $11,603,606,325 +$100,260,043 $118.97 374
2017 Q2 97,046,474 $11,688,783,633 +$222,830,528 $120.47 350
2017 Q1 96,646,913 $10,680,688,902 +$1,720,859,932 $110.52 350
2016 Q4 90,124,950 $10,016,092,035 +$338,202,669 $111.13 324
2016 Q3 87,080,154 $9,468,672,228 +$826,021,814 $108.77 326
2016 Q2 79,528,608 $8,232,668,848 +$636,489,834 $103.52 318
2016 Q1 73,381,983 $6,667,762,890 +$62,131,803 $90.89 289
2015 Q4 72,703,033 $6,569,654,505 +$160,854,096 $90.36 297
2015 Q3 71,075,714 $6,017,798,059 +$53,258,320 $84.67 297
2015 Q2 70,531,937 $6,168,652,901 +$2,799,241 $87.46 281
2015 Q1 69,714,028 $6,835,128,007 +$125,640,699 $98.04 283
2014 Q4 68,605,768 $6,090,733,815 -$126,896,427 $88.74 274
2014 Q3 69,905,037 $5,155,927,819 -$56,824,290 $73.75 268
2014 Q2 70,725,024 $5,492,280,964 -$62,504,191 $77.64 258
2014 Q1 71,587,633 $5,195,958,219 +$5,791,652 $72.56 259