13F

Investor

Pensionfund PDN

CIK 0001297731 · filed 2026-04-01 · SEC filing

13F book

$172.9K

Positions

76

1 new · 1 sold

Largest name

9.9%

Prologis Inc.

Est. mark

$5.19K

Price effect on 75 names still held. Flow $15.8K.
NameTickerSharesValueWeightEst. markChange
Prologis Inc.129.1K$17.1K9.9%$536Added$1.92K
Equinix IncEQIX14.3K$14K8.1%$2.79KAdded$4.06K
Welltower Inc.WELL60.3K$11.9K6.9%$639Added$2.12K
Realty Income CorpO141.9K$8.68K5.0%$634Added$1.25K
Digital Rlty Tr Inc47.1K$8.49K4.9%$1.12KAdded$1.7K
Simon Ppty Group Inc New42.5K$7.93K4.6%$56Added$616
Public Storage Oper Co23.4K$6.34K3.7%$239Added$889
Ventas, Inc.VTR66.7K$5.45K3.2%$271Added$680
Vici Pptys Inc188K$5.14K3.0%−$141Added$187
Iron Mtn Inc Del42.5K$4.34K2.5%$738Added$1.15K
Avalonbay Cmntys Inc22.1K$3.61K2.1%−$362Added−$35
Healthpeak Properties, Inc.DOC215.5K$3.54K2.0%$72Added$236
Equity ResidentialEQR54.1K$3.2K1.8%−$193Added$73
Wp Carey Inc44.3K$3.01K1.7%$160Held
Extra Space Storage Inc.EXR22.3K$2.93K1.7%$16Added$606
Brixmor Ppty Group Inc96K$2.77K1.6%$232Added$405
Invitation Homes Inc.INVH107.1K$2.66K1.5%−$288Added−$64
Essex Ppty Tr Inc10.4K$2.52K1.5%−$190Added−$21
Lamar Advertising Co/NewLAMR17.7K$2.24K1.3%$1Added$280
Nnn Reit, Inc.NNN52.2K$2.19K1.3%$104Added$482
American Homes 4 Rent73K$2.04K1.2%−$263Added$16
Mid-Amer Apt Cmntys Inc16.6K$2.03K1.2%−$258Added−$99
Omega Healthcare Invs Inc46.3K$2.03K1.2%−$24Held
Host Hotels & Resorts, Inc.HST105K$2.01K1.2%$139Added$292
CubesmartCUBE53.8K$1.97K1.1%$30Added$213
Stag Indl IncSTAG53.9K$1.94K1.1%−$38Held
Sabra Health Care REIT, Inc.SBRA97.7K$1.88K1.1%$28Held
Essential Pptys Rlty Tr Inc60.5K$1.84K1.1%$43Held
Gaming & Leisure Pptys Inc40.2K$1.78K1.0%−$13Held
Kite Rlty Group TrKRG67.5K$1.66K1.0%$37Added$135
Epr Pptys33K$1.65K1.0%$2Added$102
Broadstone Net Lease, Inc.BNL90K$1.64K1.0%$81Held
Lxp Industrial Trust33.4K$1.54K0.9%−$111Held
Ltc Pptys Inc41.5K$1.54K0.9%$82Added$528
CareTrust REIT, Inc.CTRE41K$1.5K0.9%$20Held
Getty Rlty Corp New47K$1.5K0.9%$191Added$318
UDR, Inc.UDR43.6K$1.47K0.9%−$116Added$2
Camden Ppty Tr15.1K$1.47K0.9%−$172Added−$45
Sila Realty Trust Inc60K$1.42K0.8%$15Added$465
Umh Pptys Inc88.9K$1.28K0.7%−$64Added$585
Kimco Rlty Corp55.7K$1.25K0.7%$79Added$528
Millrose Pptys Inc44.5K$1.25K0.7%−$66Added$186
Americold Realty TrustCOLD102K$1.17K0.7%−$132Added−$40
OUTFRONT Media Inc.OUT42.6K$1.13K0.7%$102Held
Healthcare Rlty Tr64.7K$1.1K0.6%$3Held
Four Corners Ppty Tr Inc44.5K$1.05K0.6%$17Added$372
Cousins Pptys Inc41K$9250.5%−$115Added−$2
Global Med Reit Inc27.8K$9200.5%−$16Added$83
Alexandria Real Estate Eq In18.7K$8680.5%−$47Held
BXP, Inc.BXP13.7K$7120.4%−$183Added−$79
Regency Ctrs Corp9K$6810.4%$27Added$405
Independence Rlty Tr Inc44.5K$6630.4%−$115Held
Community Healthcare Tr Inc40K$6360.4%−$16Added$143
CenterspaceCSR10.8K$6190.4%−$100Held
Phillips Edison & Co Inc16K$5990.3%New
Apple Hospitality REIT, Inc.APLE50K$5760.3%−$17Held
National Health Invs Inc7K$5660.3%$31Held
Park Hotels & Resorts Inc.PK52K$5480.3%$4Held
Rlj Lodging Tr69.2K$5130.3%−$3Held
Kilroy Rlty CorpKRC18K$5080.3%−$82Added$172
Vornado Rlty Tr18.3K$4750.3%−$133Held
Highwoods Pptys Inc19.8K$4240.2%−$87Held
Innovative Indl Pptys Inc8.4K$4210.2%$23Held
Medical Pptys Trust IncMPT87K$4030.2%−$32Held
Tanger Inc.SKT11K$3740.2%$7Held
Brandywine Rlty Tr131.4K$3560.2%−$28Held
Macerich CoMAC18.7K$3540.2%$8Held
Summit Hotel Pptys Inc69K$3050.2%−$31Held
Global Net Lease Inc31K$2900.2%$24Held
Chatham Lodging Tr36K$2830.2%$38Held
Digitalbridge Group Inc14.2K$2190.1%$1Held
National Storage Affiliates5.3K$2000.1%$50Held
Pebblebrook Hotel Tr8.91K$1130.1%$12Held
Hudson Pac Pptys Inc12.1K$710.0%−$60Held
Power Reit78.5K$670.0%−$2Held
Site Ctrs Corp7.5K$410.0%−$7Held

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.