QTS RLTY TR INC - COM CL A (QTS) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2021

Type / Class
Equity / COM CL A
Symbol
QTS
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of QTS RLTY TR INC - COM CL A (QTS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q4 0 $0 -$2,000 0
2021 Q3 0 $0 -$6,158,721,510 0
2021 Q2 79,720,349 $6,163,719,414 +$312,119,028 $77.30 309
2021 Q1 78,782,513 $4,890,293,582 +$97,705,472 $62.04 319
2020 Q4 77,334,506 $4,786,673,203 +$202,632,815 $61.88 311
2020 Q3 74,096,984 $4,672,718,121 -$37,687,796 $63.02 315
2020 Q2 74,667,099 $4,787,720,061 +$330,860,515 $64.09 303
2020 Q1 69,658,602 $4,045,984,596 +$238,677,801 $58.01 261
2019 Q4 65,667,540 $3,565,572,896 +$153,233,639 $54.27 253
2019 Q3 62,986,955 $3,238,960,345 -$23,473,380 $51.41 241
2019 Q2 63,301,865 $2,923,705,759 +$98,143,693 $46.18 236
2019 Q1 62,784,154 $2,825,916,445 +$375,078,000 $44.99 231
2018 Q4 54,632,259 $2,026,669,615 -$7,070,437 $37.05 202
2018 Q3 54,521,622 $2,325,801,715 +$54,749,739 $42.67 207
2018 Q2 53,279,877 $2,104,941,898 +$89,100,542 $39.50 205
2018 Q1 51,234,710 $1,855,598,753 -$283,104,027 $36.22 195
2017 Q4 54,814,845 $2,968,910,998 +$297,546,364 $54.16 196
2017 Q3 49,343,981 $2,583,502,416 +$9,686,004 $52.36 199
2017 Q2 49,243,349 $2,576,789,695 +$57,079,581 $52.33 180
2017 Q1 48,368,852 $2,357,304,079 +$122,540,668 $48.75 186
2016 Q4 49,434,598 $2,454,264,868 +$17,248,311 $49.65 178
2016 Q3 48,882,763 $2,582,463,347 -$37,340,897 $52.85 183
2016 Q2 49,041,364 $2,745,208,489 +$130,751,883 $55.98 188
2016 Q1 47,708,766 $2,260,257,690 +$289,955,792 $47.38 190
2015 Q4 41,228,753 $1,859,932,117 +$7,353,175 $45.11 151
2015 Q3 40,101,873 $1,751,951,772 +$25,976,962 $43.69 153
2015 Q2 39,828,492 $1,451,729,078 +$258,809,728 $36.45 144
2015 Q1 36,290,510 $1,321,441,322 +$141,299,381 $36.41 127
2014 Q4 28,645,914 $969,543,984 -$9,748,999 $33.84 80
2014 Q3 28,722,160 $871,720,288 -$5,934,532 $30.35 75
2014 Q2 28,956,353 $829,003,496 +$5,845,944 $28.63 72
2014 Q1 28,772,066 $721,876,781 +$28,546,025 $25.09 71