We are live on ! Find out more
NSA

National Storage Affiliates Trust

Delisted

NSA was delisted on the 21st of July, 2026.

Name Holding Trade Value Shares
Change
Change in
Stake
VIM
151
Vancity Investment Management
British Columbia, Canada
$750K
YCM
152
Yousif Capital Management
Michigan
$725K -$11.3K -378 -2%
Aberdeen Group
153
Aberdeen Group
United Kingdom
$718K +$50.1K +1,682 +7%
BMSSC
154
B. Metzler seel. Sohn & Co
Germany
$710K -$339K -11,369 -31%
A
155
AlphaQuest
New York
$696K -$777K -26,104 -51%
Susquehanna International Group
156
Susquehanna International Group
Pennsylvania
$688K +$362K +12,160 +100%
GCP
157
GSA Capital Partners
United Kingdom
$658K +$96.1K +3,227 +16%
SWP
158
Stratos Wealth Partners
Ohio
$647K +$5.6K +188 +0.8%
Handelsbanken Fonder
159
Handelsbanken Fonder
Sweden
$644K
XF
160
XML Financial
Maryland
$632K -$459K -15,400 -41%
SG Americas Securities
161
SG Americas Securities
New York
$611K +$296K +9,940 +85%
EGM
162
Engineers Gate Manager
New York
$601K -$37.3M -1,253,921 -98%
KeyBank National Association
163
KeyBank National Association
Ohio
$584K -$268 -9 -0%
ASRS
164
Arizona State Retirement System
Arizona
$575K -$33.7K -1,130 -5%
BHCM
165
Brevan Howard Capital Management
Jersey
$567K +$599K +20,103 New
HEIP
166
Hudson Edge Investment Partners
New Jersey
$561K -$36.9K -1,238 -6%
Wealth Enhancement Advisory Services
167
Wealth Enhancement Advisory Services
Minnesota
$553K +$204K +6,849 +57%
LSERS
168
Louisiana State Employees Retirement System
Louisiana
$553K -$2.98K -100 -0.5%
VanEck Associates
169
VanEck Associates
New York
$552K +$50.7K +1,702 +10%
Pathstone Holdings
170
Pathstone Holdings
New Jersey
$544K -$73.9K -2,482 -11%
Cerity Partners
171
Cerity Partners
New York
$539K +$24.1K +808 +4%
Mercer Global Advisors
172
Mercer Global Advisors
Colorado
$529K -$7.52M -252,599 -93%
CCFM
173
Clear Creek Financial Management
Washington
$499K -$224K -7,535 -30%
Arrowstreet Capital
174
Arrowstreet Capital
Massachusetts
$498K -$3.2M -107,431 -86%
HW
175
Hancock Whitney
Mississippi
$497K -$330K -11,068 -39%