13F Filings for AEW CAPITAL MANAGEMENT L P (CIK: 1046187)

View the most recent portfolio holdings disclosed by AEW CAPITAL MANAGEMENT L P in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
WELL - WELLTOWER INC(Class: COM)1.28M $197.28M 10.38%Decreased 92.59K (6.0%, $13.52M)
PLD - PROLOGIS INC.(Class: COM)1.70M $178.93M 9.42%Decreased 80.25K (4.0%, $20.32M)
EQIX - EQUINIX INC(Class: COM)183.83K $146.23M 7.70%Decreased 28.43K (13.0%, $26.83M)
DLR - DIGITAL RLTY TR INC(Class: COM)783.17K $136.53M 7.19%Decreased 51.53K (6.0%, $16.93M)
PSA - PUBLIC STORAGE OPER CO(Class: COM)412.10K $120.92M 6.36%Decreased 19.98K (4.0%, $8.40M)
AVB - AVALONBAY CMNTYS INC(Class: COM)512.95K $104.38M 5.49%Decreased 47.25K (8.0%, $15.84M)
O - REALTY INCOME CORP(Class: COM)1.48M $85.27M 4.49%Decreased 61.57K (3.0%, $4.16M)
MAA - MID-AMER APT CMNTYS INC(Class: COM)510.09K $75.50M 3.97%Decreased 118.55K (18.0%, $29.85M)
IRM - IRON MTN INC DEL(Class: COM)619.68K $63.56M 3.35%Decreased 49.59K (7.0%, $5.98M)
VTR - VENTAS INC(Class: COM)772.15K $48.76M 2.57%Decreased 123.83K (13.0%, $12.85M)
AMH - AMERICAN HOMES 4 RENT(Class: COM)1.32M $47.73M 2.51%Decreased 87.13K (6.0%, $5.60M)
LXP - LXP INDUSTRIAL TRUST(Class: COM)5.67M $46.84M 2.47%Increased 9.29K (0.0%, $2.13M)
SPG - SIMON PPTY GROUP INC NEW(Class: COM)277.64K $44.63M 2.35%Decreased 1.79K (0.0%, $1.77M)
BRX - BRIXMOR PPTY GROUP INC(Class: COM)1.64M $42.73M 2.25%Decreased 137.89K (7.0%, $4.50M)
BNL - BROADSTONE NET LEASE INC(Class: COM)2.52M $40.48M 2.13%Decreased 544.33K (17.0%, $11.77M)
GLPI - GAMING LEISURE PPTYS INC(Class: COM)826.50K $38.58M 2.03%Decreased 46.77K (5.0%, $5.87M)
HIW - HIGHWOODS PPTYS INC(Class: COM)1.20M $37.29M 1.96%Increased 41.47K (3.0%, $2.97M)
IRT - INDEPENDENCE RLTY TR INC(Class: COM)1.93M $34.13M 1.80%Decreased 334.19K (14.0%, $13.93M)
CUBE - CUBESMART(Class: COM)658.74K $28M 1.47%Increased 658.34K (164585.0%, $27.98M)
EQR - EQUITY RESIDENTIAL(Class: COM)391.30K $26.41M 1.39%Increased 14.31K (3.0%, $576.11K)
MAC - MACERICH CO(Class: COM)1.61M $26.13M 1.38%Decreased 447.49K (21.0%, $9.28M)
SUI - SUN CMNTYS INC(Class: COM)205.19K $25.95M 1.37%Increased 13.73K (7.0%, $1.33M)
KRG - KITE RLTY GROUP TR(Class: COM)1.05M $23.70M 1.25%Decreased 148.12K (12.0%, $3.02M)
CTRE - CARETRUST REIT INC(Class: COM)772.87K $23.65M 1.24%Decreased 64.42K (7.0%, $279.95K)
EXR - EXTRA SPACE STORAGE INC(Class: COM)143.72K $21.19M 1.12%Decreased 5.66K (3.0%, $991.36K)