QTS RLTY TR INC - COM CL A (QTS)

Historical Portfolio Holders from Q1 2014 to Q4 2021

All holders as of December 31, 2021
Q4 2021
Type / Class
Equity / COM CL A
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2021 Q4 0 $0 -$2K 0
2021 Q3 0 $0 -$6.15B 0
2021 Q2 79.7M $6.16B +$308M $77.30 308
2021 Q1 78.8M $4.89B +$97.7M $62.04 320
2020 Q4 77.3M $4.79B +$203M $61.88 311
2020 Q3 74.1M $4.67B -$37.7M $63.02 316
2020 Q2 74.7M $4.79B +$331M $64.09 304
2020 Q1 69.7M $4.05B +$239M $58.01 263
2019 Q4 65.7M $3.57B +$153M $54.27 254
2019 Q3 63M $3.24B -$23.5M $51.41 240
2019 Q2 63.3M $2.92B +$97.9M $46.18 235
2019 Q1 62.8M $2.83B +$375M $44.99 233
2018 Q4 54.6M $2.03B -$7.07M $37.05 202
2018 Q3 54.5M $2.33B +$54.7M $42.67 209
2018 Q2 53.3M $2.1B +$89.1M $39.50 206
2018 Q1 51.2M $1.86B -$283M $36.22 197
2017 Q4 54.8M $2.97B +$298M $54.16 198
2017 Q3 49.4M $2.58B +$9.69M $52.36 200
2017 Q2 49.2M $2.58B +$57.1M $52.33 180
2017 Q1 48.4M $2.36B +$123M $48.75 187
2016 Q4 49.4M $2.45B +$17.3M $49.65 177
2016 Q3 48.9M $2.58B -$50.2M $52.85 182
2016 Q2 49M $2.74B +$134M $55.98 187
2016 Q1 47.7M $2.26B +$287M $47.38 189
2015 Q4 41.2M $1.86B +$7.01M $45.11 151
2015 Q3 40.1M $1.75B +$26M $43.69 154
2015 Q2 39.8M $1.45B +$259M $36.45 144
2015 Q1 36.3M $1.32B +$141M $36.41 127
2014 Q4 28.6M $970M -$9.75M $33.84 81
2014 Q3 28.6M $869M -$5.47M $30.35 75
2014 Q2 29M $829M +$5.85M $28.63 75
2014 Q1 28.8M $722M +$28.5M $25.09 74