NYSE : BDN

Brandywine Realty Trust — Institutional Ownership

$3.07 USD

$0 (0.0%)

Volume
4.69M
Average Volume
1.87M
Market Capitalization
$533.3M
P/E Ratio
-3.74
Dividend Yield
10.42%
Price Target
$3.00
Year High
$4.63
Year Low
$2.47
Day High
Day Low
Payout Ratio
-$0.38
Current Ratio
$2.79
Institutional Ownership Summary
Institutional Ownership %

1.29%

Investors Holding

30

change: -203 | last: 233
Increased Positions

18

change: -107 | last: 125
Reduced Positions

5

change: -73 | last: 78
New Positions

6

change: -37 | last: 43
Sold Positions

204

change: 142 | last: 62
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -1943.4343 | last: 19.4343
Total Invested

7.03M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-04-29 Vanguard Portfolio Management 8.8M 5.06%
2026-03-26 The Vanguard Group - 0.00%
2026-02-09 STATE STREET CORPORATION 8.02M 4.60%
2026-02-06 BlackRock, Inc. 16.25M 9.40%
2026-01-30 The Vanguard Group 21.77M 12.53%
2026-01-21 BlackRock, Inc. 28.68M 16.50%
2025-10-30 The Vanguard Group 25.93M 14.92%
2025-04-28 BlackRock, Inc. 30.74M 17.80%
2023-01-20 (1) BlackRock, Inc. 33.65M 19.60%
2022-12-06 JPMORGAN CHASE & CO.13-2624428 5.72M 3.30%
2022-02-10 STATE STREET CORPORATION 11.77M 6.88%
2022-02-09 The Vanguard Group - 23-1945930 28.11M 16.42%
2022-01-27 (1) BlackRock, Inc. 33.22M 19.40%
2022-01-25 (1) BlackRock, Inc. 33.22M 19.40%
2022-01-19 JPMORGAN CHASE & CO.13-2624428 11.01M 6.40%
2021-02-10 The Vanguard Group - 23-1945930 27.23M 15.96%
2021-02-05 STATE STREET CORPORATION 9.01M 5.28%
2021-01-26 (1) BlackRock, Inc. 25.67M 15.00%
2020-10-09 SECURITY CAPITAL RESEARCH & MANAGEMENT INC36-4130398 4.06M 2.30%
2020-10-09 SECURITY CAPITAL RESEARCH & MANAGEMENT INC36-4130398 4.06M 2.30%
2020-07-10 (1) BlackRock, Inc. 25.73M 15.10%
2020-02-11 The Vanguard Group - 23-1945930 26.54M 15.06%
2020-02-10 SECURITY CAPITAL RESEARCH & MANAGEMENT INC36-4130398 9.44M 5.40%
2020-02-10 SECURITY CAPITAL RESEARCH & MANAGEMENT INC36-4130398 9.44M 5.40%
2020-02-10 SECURITY CAPITAL RESEARCH & MANAGEMENT INC36-4130398 9.44M 5.40%
2020-02-07 FMR LLC 14.95M 8.48%
2020-02-07 Abigail P. Johnson 14.95M 8.48%
2020-02-05 (1) BlackRock, Inc. 12.71M 7.20%
2019-02-13 FMR LLC 14.74M 8.25%
2019-02-13 Abigail P. Johnson 14.74M 8.25%
2019-02-04 (1) BlackRock, Inc. 16.1M 9.00%
2019-01-07 JPMORGAN CHASE & CO13-2624428 8.76M 4.90%
2018-02-13 Abigail P. Johnson 18.28M 10.42%
2018-02-13 FMR LLC 18.28M 10.42%
2018-02-07 98-0557567 6.07M 3.50%
2018-01-29 (1) BlackRock, Inc. 13.23M 7.50%
2018-01-09 JPMORGAN CHASE & CO13-2624428 10.22M 5.80%
2017-02-14 98-0557567 14.48M 8.30%
2017-02-14 FMR LLC 18.42M 10.52%
2017-02-14 Abigail P. Johnson 18.42M 10.52%
2017-01-19 (1) BlackRock, Inc. 11.23M 6.40%
2016-10-11 Abigail P. Johnson 17.71M 10.11%
2016-10-11 FMR LLC 17.71M 10.11%
2016-02-16 Brookfield Investment Management Inc. 12.64M 7.22%
2016-02-10 CBRE Clarion Securities, LLC 3.91M 2.23%
2016-02-10 CBRE Clarion Securities, LLC 3.91M 2.23%
2016-01-25 (1) BlackRock, Inc. 10.95M 6.30%
2015-08-10 13-3353336 6.08M 3.39%
2015-08-10 Cohen & Steers UK Limited - 0.00%
2015-08-10 Cohen & Steers, Inc. 14-1904657 6.08M 3.39%
2015-02-13 CBRE Clarion Securities, LLC 11.83M 6.61%
2015-02-13 FMR LLC 6.07M 3.39%
2015-02-13 Edward C. Johnson 3d 6.07M 3.39%
2015-02-13 CBRE Clarion Securities, LLC 11.83M 6.61%
2015-02-13 Abigail P. Johnson 6.07M 3.39%
2015-02-10 Cohen & Steers, Inc. 14-1904657 22.26M 12.46%
2015-02-10 Cohen & Steers UK Limited 137.93K 0.08%
2015-02-10 Cohen & Steers UK Limited 137.93K 0.08%
2015-02-10 Pages 2.3M 11.00%
2015-02-10 13-3353336 16.28M 9.11%
2015-02-10 13-3353336 22.12M 12.39%
2015-02-10 Cohen & Steers, Inc. 14-1904657 16.42M 9.19%
2015-01-30 (1) BlackRock, Inc. 11.18M 6.20%
2015-01-30 JPMorgan Chase & Co. 260K 6.50%
2014-02-14 Edward C. Johnson 3d 8.13M 5.19%
2014-02-14 FMR LLC 8.13M 5.19%
2014-02-13 Pages 9.82M 11.00%
2014-02-13 Pages 9.82M 11.00%
2014-02-11 CBRE Clarion Securities, LLC 13.96M 8.91%
2014-02-11 CBRE Clarion Securities, LLC 13.96M 8.91%
2014-01-28 (1) BlackRock, Inc. 9.42M 6.00%
2014-01-24 JPMorgan Chase & Co. 8.83M 5.60%
2013-02-14 Edward C. Johnson 3d 8.02M 5.59%
2013-02-14 FMR LLC 8.02M 5.59%
2013-02-13 LaSalle Investment Management, Inc. - 0.00%
2013-02-12 22-3367558 12.59M 8.78%
2013-02-12 22-3367558 12.59M 8.78%
2013-01-30 (1) BlackRock, Inc. 7.73M 5.39%
2012-03-12 (1) BlackRock, Inc. 7.03M 4.92%
2012-02-15 22-3367558 10.3M 7.60%
2012-02-15 22-3367558 10.3M 7.60%
2012-02-14 FMR LLC 8.67M 6.40%
2012-02-14 Chuo Mitsui Asset Management Company, Limited 3100.0 0.10%
2012-02-14 Sumitomo Mitsui Trust Holdings, Inc. 8.43M 6.20%
2012-02-14 STB Asset Management Co., Ltd. 23709.0 0.10%
2012-02-14 Nikko Asset Management Co., Ltd. 8.39M 6.10%
2012-02-14 Chuo Mitsui Asset Trust and Banking Company, Limited 13958.0 0.10%
2012-02-14 Edward C. Johnson 3d 8.67M 6.40%
2012-02-13 LaSalle Investment Management, Inc. 395.5K 0.30%
2012-02-10 LaSalle Investment Management, Inc. 517.2K 0.30%
2012-02-10 LaSalle Investment Management, Inc. 517.2K 0.30%
2012-02-13 LaSalle Investment Management, Inc. 395.5K 0.30%
2012-02-09 (1) BlackRock, Inc. 7.18M 5.29%
2011-10-11 Cohen & Steers, Inc. 14-1904657 9.73M 7.18%
2011-10-11 13-3353336 9.73M 7.18%
2011-10-11 Cohen & Steers Europe S.A. - 0.00%
2011-09-09 (1) BlackRock, Inc. 6.63M 4.89%
2011-08-12 Michael W. Vranos 3.45M 10.00%
2011-08-10 Cohen & Steers Europe S.A. 148.48K 0.11%
2011-08-10 13-3353336 16.55M 12.23%
2011-08-10 Cohen & Steers, Inc. 14-1904657 16.7M 12.34%
2011-02-14 Edward C. Johnson 3d 13.01M 9.67%
2011-02-14 FMR LLC 13.01M 9.67%
2011-02-14 HEITMAN REAL ESTATE SECURITIES36-4265577 3.06M 2.28%
2011-02-03 (1) BlackRock, Inc. 6.83M 5.08%
2010-05-07 The Vanguard Group Inc. - 23-1945930 13.05M 10.14%
2010-04-12 Trinity I Fund, L.P. 2.4M 5.02%
2010-03-26 Nomura Asset Management Co., Ltd. 1.98M 1.54%
2010-02-16 FMR LLC 7.86M 6.11%
2010-02-16 Asset Management Co., Ltd. 8.34M 6.49%
2010-02-16 Asset Management Co., Ltd. 8.34M 6.49%
2010-02-16 Edward C. Johnson 3d 7.86M 6.11%
2010-02-12 HEITMAN REAL ESTATE SECURITIES LLC 36-4265577 11.96M 9.31%
2010-02-04 THE VANGUARD GROUP, INC. - 23-1945930 12.33M 9.58%
2010-01-29 BlackRock for purposes of Schedule 13G filings. 7.47M 5.81%
2009-02-17 Cohen & Steers Europe S.A. 40039.0 0.05%
2009-02-17 Invesco National Trust Company 547.54K 0.60%
2009-01-28 04-2801194 4.9M 5.56%
2007-02-14 Atlantic Trust Company, N.A. 4.73M 5.36%
2007-02-13 Houlihan Rovers SA 3295.0 0.00%
2006-03-09 Deutsche Bank AG* 1.12M 1.27%
2006-02-14 Adelante Capital Management LLC 225K 11.25%
2006-02-14 Adelante Capital Management LLC 733.4K 31.89%
2006-02-06 Deutsche Bank AG* 4.57M 8.13%
2005-03-09 13-3353336 7.59M 14.10%
2005-03-09 14-1904657 7.59M 14.10%
2005-02-16 Adelante Capital Management LLC 251.25K 12.56%
2005-02-16 Adelante Capital Management LLC 742.78K 32.29%
2005-02-16 Adelante Capital Management LLC 742.78K 32.29%
2005-02-14 13-335336 7.59M 14.10%
2005-02-14 14-1904657 7.59M 14.10%
2004-02-17 13-335336 5.35M 13.03%
2004-02-02 EIN #36-3099763 1.94M 4.90%
2003-02-14 13-335336 3.81M 10.81%
2002-11-04 13-335336 3.72M 10.49%
1998-10-09 13-335336 1.34M 3.53%
1998-02-10 13-335336 2.86M 11.87%
1998-02-10 04-2683227 332K 1.42%
1998-02-06 13-335336 2.4M 9.95%
1997-08-12 13-335336 2.51M 11.94%
1997-02-10 04-2683227 164.2K 6.07%
BDN Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $2.92 173.46M $506.52M $32.28M $2.58B $3.05B
2024-12-31 $5.60 172.53M $966.15M $90.23M $2.24B $3.11B
2023-12-31 $5.40 171.96M $928.58M $58.32M $2.16B $3.03B
2022-12-31 $6.15 171.49M $1.05B $17.55M $2.08B $3.11B
2021-12-31 $13.42 170.88M $2.29B $27.46M $1.88B $4.14B
2020-12-31 $11.91 171.93M $2.05B $46.34M $1.85B $3.85B
2019-12-31 $15.75 180.35M $2.84B $90.5M $2.17B $4.92B
2018-12-31 $12.87 176.87M $2.28B $22.84M $2.03B $4.28B
2017-12-31 $18.19 175.48M $3.19B $202.18M $1.93B $4.92B
2016-12-31 $16.51 175.02M $2.89B $193.92M $2.01B $4.71B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-06-30 $3.17 174.38M $552.8M $41.03M $2.65B $3.16B
2026-03-31 $2.71 173.76M $470.88M $36.2M $2.65B $3.08B
2025-12-31 $2.92 173.7M $507.2M $32.28M $2.58B $3.06B
2025-09-30 $4.17 173.7M $724.33M $75.48M $2.29B $2.94B
2025-06-30 $4.29 173.53M $744.46M $122.64M $2.34B $2.96B
2025-03-31 $4.46 172.92M $771.2M $29.43M $2.24B $2.98B
2024-12-31 $5.60 172.67M $966.93M $90.23M $2.24B $3.11B
2024-09-30 $5.44 172.67M $939.32M $36.5M $2.29B $3.19B
2024-06-30 $4.39 172.56M $757.55M $30.37M $2.27B $2.99B
2024-03-31 $4.67 172.21M $804.21M $43.21M $2.2B $2.97B
2023-12-31 $5.40 172.1M $929.33M $58.32M $2.16B $3.03B
2023-09-30 $4.54 172.1M $781.32M $47.87M $2.16B $2.89B