National Storage Affiliates Trust - COM SHS BEN IN (NSA)

Historical Portfolio Holders from Q2 2015 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM SHS BEN IN
Shares, excl. options Q2 2024
67.2M
Holdings value Q2 2024
$2.77B
Value change Q2 2024
-$11.4M
Grand Portfolio weight change Q2 2024
0%
Number of holders
350
Number of buys Q2 2024
166
Number of sells Q2 2024
-164
Average buys Q2 2024 %
+0.002%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 67.2M $2.77B -$11.4M $41.22 351
2024 Q1 67.6M $2.65B -$197M $39.16 315
2023 Q4 72M $2.99B +$9.31M $41.47 301
2023 Q3 71.8M $2.28B -$96.5M $31.74 292
2023 Q2 74.6M $2.6B -$14.8M $34.83 328
2023 Q1 74.8M $3.12B -$39.8M $41.78 302
2022 Q4 76.1M $2.75B -$81M $36.12 311
2022 Q3 76.2M $3.17B +$54.2M $41.58 303
2022 Q2 73.2M $3.65B -$18M $50.07 301
2022 Q1 78.2M $4.9B +$105M $62.76 293
2021 Q4 76.7M $5.3B +$99.6M $69.20 300
2021 Q3 75.1M $3.97B +$608M $52.79 271
2021 Q2 63.6M $3.22B +$23.4M $50.56 245
2021 Q1 63.3M $2.53B +$112M $39.93 222
2020 Q4 60.6M $2.18B -$870K $36.03 211
2020 Q3 60.6M $1.98B +$129M $32.71 215
2020 Q2 56.6M $1.62B +$4.72M $28.66 191
2020 Q1 56.4M $1.67B -$15.7M $29.60 209
2019 Q4 56.8M $1.91B +$28.6M $33.62 202
2019 Q3 56M $1.87B +$8.88M $33.37 217
2019 Q2 56M $1.62B +$166M $28.94 196
2019 Q1 53.1M $1.51B +$15.4M $28.51 207
2018 Q4 52.5M $1.39B -$4.44M $26.46 202
2018 Q3 52.8M $1.34B +$107M $25.44 186
2018 Q2 48.6M $1.5B -$7.16M $30.82 179
2018 Q1 49.4M $1.23B +$47.5M $25.08 178
2017 Q4 47M $1.28B +$136M $27.26 175
2017 Q3 41.8M $1B -$21M $24.24 143
2017 Q2 43M $994M +$86.5M $23.11 145
2017 Q1 39.2M $937M +$125M $23.90 144
2016 Q4 37.9M $836M +$154M $22.07 150
2016 Q3 30.9M $647M -$83.5M $20.94 134
2016 Q2 34.1M $707M +$289M $20.82 146
2016 Q1 19.4M $411M -$9.35M $21.20 104
2015 Q4 20.6M $354M -$13.6M $17.13 93
2015 Q3 21.5M $292M +$33.7M $13.55 80
2015 Q2 19.2M $239M +$239M $12.40 72