Capital Research Global Investors
PSA icon

Capital Research Global Investors’s Public Storage PSA Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2024
Q4
Sell
-336,233
Closed -$122M 456
2024
Q3
$122M Sell
336,233
-34,000
-9% -$12.4M 0.03% 263
2024
Q2
$106M Hold
370,233
0.02% 268
2024
Q1
$107M Hold
370,233
0.02% 283
2023
Q4
$113M Sell
370,233
-616,000
-62% -$188M 0.03% 270
2023
Q3
$260M Hold
986,233
0.07% 201
2023
Q2
$288M Buy
986,233
+386,233
+64% +$113M 0.08% 189
2023
Q1
$181M Buy
600,000
+200,000
+50% +$60.4M 0.05% 233
2022
Q4
$112M Hold
400,000
0.03% 266
2022
Q3
$117M Hold
400,000
0.04% 251
2022
Q2
$125M Hold
400,000
0.04% 257
2022
Q1
$156M Hold
400,000
0.04% 264
2021
Q4
$150M Hold
400,000
0.03% 277
2021
Q3
$119M Hold
400,000
0.03% 294
2021
Q2
$120M Hold
400,000
0.03% 290
2021
Q1
$98.7M Hold
400,000
0.02% 315
2020
Q4
$92.4M Buy
+400,000
New +$92.4M 0.02% 303
2020
Q1
Sell
-60,109
Closed -$12.8M 420
2019
Q4
$12.8M Buy
60,109
+59
+0.1% +$12.6K ﹤0.01% 377
2019
Q3
$14.7M Sell
60,050
-6
-0% -$1.47K ﹤0.01% 378
2019
Q2
$14.3M Sell
60,056
-279,468
-82% -$66.6M ﹤0.01% 372
2019
Q1
$73.9M Sell
339,524
-755,204
-69% -$164M 0.02% 291
2018
Q4
$222M Sell
1,094,728
-101,760
-9% -$20.6M 0.08% 197
2018
Q3
$241M Buy
1,196,488
+1,233
+0.1% +$249K 0.07% 215
2018
Q2
$271M Hold
1,195,255
0.07% 209
2018
Q1
$240M Hold
1,195,255
0.07% 219
2017
Q4
$250M Buy
1,195,255
+94,255
+9% +$19.7M 0.07% 208
2017
Q3
$236M Sell
1,101,000
-145,000
-12% -$31M 0.07% 210
2017
Q2
$260M Buy
1,246,000
+120,000
+11% +$25M 0.08% 200
2017
Q1
$246M Hold
1,126,000
0.08% 205
2016
Q4
$252M Hold
1,126,000
0.08% 208
2016
Q3
$251M Hold
1,126,000
0.08% 202
2016
Q2
$288M Sell
1,126,000
-59,000
-5% -$15.1M 0.1% 180
2016
Q1
$327M Sell
1,185,000
-160,000
-12% -$44.1M 0.11% 172
2015
Q4
$333M Sell
1,345,000
-200,000
-13% -$49.5M 0.11% 176
2015
Q3
$327M Hold
1,545,000
0.12% 175
2015
Q2
$285M Sell
1,545,000
-150,000
-9% -$27.7M 0.09% 210
2015
Q1
$334M Sell
1,695,000
-250,000
-13% -$49.3M 0.11% 187
2014
Q4
$360M Sell
1,945,000
-658,500
-25% -$122M 0.12% 181
2014
Q3
$432M Sell
2,603,500
-872,300
-25% -$145M 0.15% 152
2014
Q2
$596M Hold
3,475,800
0.21% 125
2014
Q1
$586M Buy
3,475,800
+58,500
+2% +$9.86M 0.21% 126
2013
Q4
$514M Buy
3,417,300
+934,590
+38% +$141M 0.19% 128
2013
Q3
$399M Buy
2,482,710
+5,510
+0.2% +$885K 0.16% 146
2013
Q2
$380M Buy
+2,477,200
New +$380M 0.16% 137