PUBLIC STORAG 5.15 PFD - PREFERRED STOCK (PSAPRF)

Historical Holders from Q1 2016 to Q3 2025

Symbol
PSAPRF
Type / Class
Equity / PREFERRED STOCK
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
54,532
Holdings value
$1,244,620
% of all portfolios
0%
Number of holders
5
Number of sells
-2
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of PUBLIC STORAG 5.15 PFD - PREFERRED STOCK (PSAPRF)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 54,532 $1,244,620 -$114,853 $22.82 5
2025 Q2 59,565 $1,213,991 -$66,028 $20.34 5
2025 Q1 62,746 $1,326,673 -$698 $21.14 4
2024 Q4 62,779 $1,390,554 +$168,938 $22.15 4
2024 Q3 50,652 $1,264,980 +$252,071 $24.97 3
2024 Q2 40,557 $937,884 -$185 $23.13 3
2024 Q1 40,565 $975,596 +$387 $24.06 3
2023 Q4 40,549 $961,017 +$371 $23.71 2
2023 Q3 40,534 $923,164 +$364 $22.78 3
2023 Q2 40,518 $1,004,841 +$2,355 $24.79 2
2023 Q1 40,423 $969,139 +$6,280 $23.97 2
2022 Q4 40,161 $846,394 -$794,606 $21.08 2
2022 Q3 76,350 $1,671,000 +$798,000 $21.89 2
2022 Q2 40,000 $972,000 $24.3 1
2022 Q1 40,000 $1,010,000 -$1,177,000 $25.25 1
2021 Q4 85,839 $2,204,000 -$368,848 $25.68 2
2021 Q3 100,204 $2,570,000 -$1,357,278 $25.65 2
2021 Q2 153,127 $4,105,000 $26.81 2
2021 Q1 153,127 $3,980,000 $25.99 2
2020 Q4 153,127 $4,090,000 $26.71 2
2020 Q3 153,127 $4,077,000 $26.62 2
2020 Q2 153,127 $3,909,000 $25.53 2
2020 Q1 153,127 $3,721,000 +$485,931 $24.3 2
2019 Q4 133,127 $3,464,000 -$51,000 $26.02 2
2019 Q3 135,077 $3,506,000 -$236,000 $25.95 3
2019 Q2 144,067 $3,598,000 -$747,311 $24.98 3
2019 Q1 174,582 $4,327,000 +$321,953 $24.79 5
2018 Q4 161,567 $3,483,000 -$662,903 $21.56 3
2018 Q3 190,709 $4,541,000 +$367,543 $23.81 4
2018 Q2 175,292 $4,356,000 +$39,472 $24.85 3
2018 Q1 173,702 $4,212,000 +$256,000 $24.25 3
2017 Q4 163,127 $4,082,000 -$20,000 $25.02 2
2017 Q3 163,906 $4,152,000 -$510,454 $25.33 3
2017 Q2 184,279 $4,616,000 +$4,616,000 $25.05 5
2016 Q2 0 $0 -$14,000 0
2016 Q1 600 $14,000 $23.33 1