Easterly Government Properties, Inc. - COM (DEA)

Historical Portfolio Holders from Q1 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
76.9M
Holdings value Q2 2024
$951M
Value change Q2 2024
-$11.1M
Grand Portfolio weight change Q2 2024
0%
Number of holders
256
Number of buys Q2 2024
36
Number of sells Q2 2024
-31
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 5.85M $79.4M -$779K $13.58 88
2024 Q2 76.9M $951M -$11.1M $12.37 258
2024 Q1 78.5M $903M -$26.2M $11.51 265
2023 Q4 82M $1.1B +$30.5M $13.44 261
2023 Q3 77.1M $881M -$31.1M $11.43 257
2023 Q2 79M $1.14B -$5.08M $14.50 252
2023 Q1 79.5M $1.09B -$10.3M $13.74 246
2022 Q4 80.2M $1.15B +$24.7M $14.27 257
2022 Q3 78.5M $1.24B +$19.3M $15.77 243
2022 Q2 77M $1.47B +$13M $19.04 247
2022 Q1 76.8M $1.62B +$4.4M $21.14 257
2021 Q4 76.5M $1.75B +$8.67M $22.92 262
2021 Q3 75.8M $1.57B +$68M $20.66 253
2021 Q2 72.5M $1.53B -$14.4M $21.08 245
2021 Q1 73.3M $1.52B -$71.9M $20.73 245
2020 Q4 76.5M $1.73B -$21.6M $22.65 226
2020 Q3 77.3M $1.73B +$39.6M $22.41 233
2020 Q2 75.4M $1.74B +$88.3M $23.12 239
2020 Q1 71.6M $1.77B -$17.6M $24.64 224
2019 Q4 72.4M $1.72B +$74.4M $23.73 218
2019 Q3 69.1M $1.47B +$110M $21.30 205
2019 Q2 64.9M $1.17B +$37.5M $18.11 197
2019 Q1 63.1M $1.14B +$7.42M $18.01 191
2018 Q4 63M $987M -$25.2M $15.68 200
2018 Q3 64.6M $1.25B +$33.7M $19.37 185
2018 Q2 62.9M $1.24B +$348M $19.76 190
2018 Q1 45.3M $923M +$3.65M $20.40 166
2017 Q4 45M $961M +$144M $21.34 166
2017 Q3 35.6M $736M +$16.5M $20.67 132
2017 Q2 35.5M $744M +$99.3M $20.95 138
2017 Q1 34M $670M +$131M $19.79 145
2016 Q4 29.1M $582M +$62.3M $20.02 126
2016 Q3 26.2M $499M +$113M $19.08 121
2016 Q2 20.4M $402M +$166M $19.73 113
2016 Q1 12.2M $226M -$4.22M $18.52 87
2015 Q4 12.4M $213M -$4.69M $17.18 81
2015 Q3 12.8M $204M -$5.35M $15.95 74
2015 Q2 13.1M $209M +$4.61M $15.92 78
2015 Q1 12.8M $205M +$205M $16.05 68