Davis Selected Advisers LPPSA history

Issuer:
Public Storage, Inc.
Quarters tracked:
43 (Q4 2014Q2 2026)
Current shares:
37,740
Current value:
$12.01M
Peak shares:
104,317 (Q1 2017)
Overall change:
-58%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 202637,740$12.01M$318.31-3,520-9%
Q1 202641,260$11.18M$270.89-2,260-5%
Q4 202543,520$11.29M$259.49-1,090-2%
Q3 202544,610$12.89M$288.86+4,210+10%
Q2 202540,400$11.85M$293.42-9,360-19%
Q1 202549,760$14.89M$299.30-330-1%
Q4 202450,090$15.00M$299.44-4,430-8%
Q3 202454,520$19.84M$363.87-1,100-2%
Q2 202455,620+2,960+6%
Q1 202452,660$15.28M$290.07-1,830-3%
Q4 202354,490$16.62M$304.99-3,310-6%
Q3 202357,800$15.23M$263.51-3,230-5%
Q2 202361,030$17.81M$291.87-4,610-7%
Q1 202365,640$19.83M$302.13+510+1%
Q4 202265,130$18.25M$280.19+6,620+11%
Q3 202258,510$17.13M$292.8000%
Q2 202258,510$18.29M$312.66+1,680+3%
Q1 202256,830$22.18M$390.29-680-1%
Q4 202157,510$21.54M$374.56+1900%
Q3 202157,320$17.03M$297.10-25,940-31%
Q2 202183,260$25.04M$300.68-1,840-2%
Q1 202185,100$21.00M$246.76-10,600-11%
Q4 202095,700$22.10M$230.9300%
Q3 202095,700$21.31M$222.72+3,090+3%
Q2 202092,610$17.77M$191.89+3500%
Q1 202092,260$18.32M$198.61-4,920-5%
Q4 201997,180$20.70M$212.96+23,550+32%
Q3 201973,630$18.06M$245.27+2,570+4%
Q2 201971,060$16.92M$238.16-2,340-3%
Q1 201973,400$15.98M$217.78-13,680-16%
Q4 201887,080$17.63M$202.41+12,740+17%
Q3 201874,340$14.99M$201.63-670%
Q2 201874,407$16.88M$226.86-10,718-13%
Q1 201885,125$17.06M$200.39-13,459-14%
Q4 201798,584$20.60M$209.00+1300%
Q3 201798,454$21.07M$213.99-5,719-5%
Q2 2017104,173$21.72M$208.53-1440%
Q1 2017104,317$22.84M$218.91+3030%
Q4 2016104,014$23.25M$223.50+1,918+2%
Q3 2016102,096$22.78M$223.14+13,869+16%
Q2 201688,227$22.55M$255.59+88,227+100%
Q1 2015SOLD-90,917-100%
Q4 201490,917$16.81M$184.85NEW