AMERICOLD REALTY TRUST - Common Stock (COLD)

Historical Holders from Q1 2018 to Q1 2025

Symbol
COLD on NYSE
CUSIP
03064D108
Type / Class
Equity / Common Stock
Shares outstanding
284M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
297M
Holdings value
$6.37B
% of all portfolios
0.008%
Grand Portfolio weight change
+0.001%
Number of holders
337
Number of buys
171
Number of sells
-190
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of AMERICOLD REALTY TRUST - Common Stock (COLD)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
COHEN & STEERS, INC. 10.35% $642M 29.4M COHEN & STEERS, INC. Dec 31, 2024

Institutional Holders of AMERICOLD REALTY TRUST - Common Stock (COLD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.27M $27.3M -$14.1M $21.46 33
2024 Q4 297M $6.37B +$469M $21.40 337
2024 Q3 274M $7.73B -$353M $28.27 358
2024 Q2 288M $7.36B +$643M $25.54 359
2024 Q1 264M $6.56B -$859M $24.92 345
2023 Q4 286M $8.66B +$429M $30.27 334
2023 Q3 272M $8.27B +$254M $30.41 321
2023 Q2 263M $8.5B -$352M $32.30 316
2023 Q1 279M $7.93B -$209M $28.45 317
2022 Q4 284M $8.03B +$60.6M $28.31 307
2022 Q3 282M $6.93B -$466M $24.60 277
2022 Q2 286M $8.6B +$590M $30.04 297
2022 Q1 287M $8.04B +$31M $27.88 298
2021 Q4 283M $9.25B +$106M $32.79 308
2021 Q3 277M $8.07B +$13.6M $29.05 301
2021 Q2 272M $10.3B +$54M $37.85 332
2021 Q1 270M $10.4B +$40.9M $38.47 335
2020 Q4 270M $10.1B +$2.12B $37.33 342
2020 Q3 213M $7.63B +$217M $35.75 343
2020 Q2 206M $7.47B +$22M $36.30 326
2020 Q1 209M $7.1B -$45.2M $34.04 317
2019 Q4 210M $7.35B -$35.4M $35.06 303
2019 Q3 208M $7.72B -$91.3M $37.07 298
2019 Q2 212M $6.86B +$1.7B $32.42 287
2019 Q1 155M $4.74B +$1.26B $30.51 229
2018 Q4 118M $3.02B +$128M $25.54 182
2018 Q3 113M $2.82B +$673M $25.02 159
2018 Q2 86.8M $1.91B -$44.1M $22.02 119
2018 Q1 88.2M $1.68B +$1.65B $19.08 99