NASDAQ : STRS

Stratus Properties Inc. — Institutional Ownership

$19.32 USD

$0 (0.0%)

Volume
482.35K
Average Volume
69.11K
Market Capitalization
$154.23M
P/E Ratio
7.23
Dividend Yield
25.88%
Price Target
Year High
$32.93
Year Low
$15.94
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$0.98
Institutional Ownership Summary
Institutional Ownership %

%

Investors Holding

change: 0.0 | last:
Increased Positions

change: 0.0 | last:
Reduced Positions

change: 0.0 | last:
New Positions

change: 0.0 | last:
Sold Positions

change: 0.0 | last:
Total Calls

-

Total Puts

-

Put-Call Ratio

change: 0.0 | last:
Total Invested

-

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-08-04 Oasis Investments II Master Fund Ltd. 666.58K 8.40%
2026-08-04 Seth Fischer 666.58K 8.40%
2026-08-04 Oasis Management Co Ltd. 666.58K 8.40%
2026-07-07 Seth Fischer 843.52K 10.60%
2026-07-07 Oasis Management Co Ltd. 843.52K 10.60%
2026-07-07 Oasis Investments II Master Fund Ltd. 843.52K 10.60%
2026-04-23 INGALLS & SNYDER LLC 1.09M 13.60%
2026-04-20 Oasis Management Company Ltd. 1.03M 12.90%
2026-04-20 Oasis Investments II Master Fund Ltd. 1.03M 12.90%
2026-04-20 Seth Fischer 1.03M 12.90%
2026-04-09 Dimensional Fund Advisors LP 384.23K 4.80%
2026-03-27 The Vanguard Group - 0.00%
2025-02-21 INGALLS & SNYDER LLC 1.09M 13.50%
2024-02-13 The Vanguard Group - 23-1945930 407.41K 5.09%
2022-02-14 43-1225960 - 0.00%
2022-02-14 43-1225960 - 0.00%
2022-02-10 III 516.36K 6.26%
2022-02-08 30-0447847 435.39K 5.30%
2022-02-04 13-5156620 1.16M 14.00%
2022-02-04 13-5156620 1.16M 14.00%
2021-02-16 30-0447847 475.92K 5.80%
2021-02-09 13-5156620 1.24M 15.08%
2021-02-08 William H. Armstrong III 505.5K 6.15%
2021-01-05 Seth Fischer 1.12M 13.70%
2021-01-05 Oasis Management Company Ltd. 1.12M 13.70%
2021-01-05 Oasis Investments II Master Fund Ltd. 1.12M 13.70%
2021-01-05 Ella Benson 2625.0 0.10%
2020-09-23 Oasis Management Company Ltd. 1.12M 13.70%
2020-09-23 Oasis Investments II Master Fund Ltd. 1.12M 13.70%
2020-09-23 Seth Fischer 1.12M 13.70%
2020-02-14 43-1225960 446.17K 5.40%
2020-02-07 13-5156620 1.28M 15.60%
2020-02-07 William H. Armstrong III 495.21K 6.04%
2019-01-30 13-5156620 1.46M 17.90%
2019-01-30 13-5156620 1.46M 17.90%
2018-02-12 William H. Armstrong III 461.92K 5.68%
2018-02-09 13-5156620 1.52M 18.65%
2017-01-13 Oasis Investments II Master Fund Ltd. 1.09M 13.40%
2017-01-13 Seth Fischer 1.09M 13.40%
2017-01-13 Oasis Management Company Ltd. 1.09M 13.40%
2016-11-01 Jonathan Kagan 75805.0 1.00%
2016-11-01 Bradley L. Radoff 326.02K 4.00%
2016-11-01 Perry J. Radoff, P.C. Profit Sharing Plan 200K 2.50%
2016-11-01 BLR Partners LP 281.17K 3.50%
2016-11-01 BLRPart, LP 281.17K 3.50%
2016-11-01 BLRGP Inc. 281.17K 3.50%
2016-11-01 Fondren Management, LP 281.17K 3.50%
2016-11-01 FMLP Inc. 281.17K 3.50%
2016-11-01 Perry J. Radoff 200K 2.50%
2016-11-01 Middle Stump, Inc. 49275.0 1.00%
2016-11-01 Joshua E. Schechter 6000.0 1.00%
2016-09-12 Oasis Investments II Master Fund Ltd. 1.08M 13.40%
2016-09-12 Seth Fischer 1.08M 13.40%
2016-09-12 Oasis Management Company Ltd. 1.08M 13.40%
2016-09-09 Perry J. Radoff, P.C. Profit Sharing Plan 200K 2.50%
2016-09-09 BLR Partners LP 198.52K 2.50%
2016-09-09 BLRPart, LP 198.52K 2.50%
2016-09-09 Bradley L. Radoff 214.03K 2.60%
2016-09-09 FMLP Inc. 198.52K 2.50%
2016-09-09 Joshua E. Schechter 6000.0 1.00%
2016-09-09 Jonathan Kagan 75805.0 1.00%
2016-09-09 Middle Stump, Inc. 49275.0 1.00%
2016-09-09 Perry J. Radoff 200K 2.50%
2016-09-09 BLRGP Inc. 198.52K 2.50%
2016-09-09 Fondren Management, LP 198.52K 2.50%
2016-02-09 (. 537.92K 6.67%
2016-02-05 13-5156620 1.38M 17.10%
2016-02-05 13-5156620 1.38M 17.10%
2015-02-06 13-5156620 1.34M 16.70%
2015-02-05 (. 539.69K 6.71%
2014-02-07 13-5156620 1.3M 16.10%
2014-02-07 13-5156620 1.3M 16.10%
2013-04-25 William H. Armstrong III 410.42K 5.00%
2013-01-28 13-5156620 1.29M 15.90%
2012-02-14 (. 544.22K 7.31%
2012-02-07 13-5156620 1.34M 18.00%
2011-01-11 13-5156620 1.22M 16.40%
2011-01-11 13-5156620 1.22M 16.40%
2010-02-08 (. 541.22K 7.28%
2010-01-08 13-5156620 1.24M 16.70%
2010-01-08 13-5156620 1.24M 16.70%
2009-02-09 (. 527.73K 6.91%
2008-02-14 CLIFFWOOD VALUE EQUITY FUND, L.P. 590.88K 7.83%
2008-02-14 CLIFFWOOD ABSOLUTE RETURN STRATEGY LTD. 590.88K 7.83%
2008-02-14 CLIFFWOOD ABSOLUTE RETURN STRATEGY, L.P. 590.88K 7.83%
2008-02-14 CLIFFWOOD VALUE PLUS FUND, L.P. 590.88K 7.83%
2008-02-14 CLIFFWOOD PARTNERS LLC 590.88K 7.83%
2008-02-14 CLIFFWOOD VALUE EQUITY/WB FUND, L.P. 590.88K 7.83%
2008-02-06 (. 392.07K 5.20%
2004-02-06 (. 351.79K 4.94%
2003-02-07 (. 387.39K 5.44%
1998-02-11 13-5156620 2.83M 13.00%
STRS Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $24.18 8.04M $194.29M $74.29M $158.99M $278.99M
2024-12-31 $20.76 8.06M $167.3M $20.18M $210.29M $357.42M
2023-12-31 $28.86 8M $230.76M $31.4M $191.03M $390.4M
2022-12-31 $19.29 8.23M $158.72M $37.67M $137.61M $258.67M
2021-12-31 $36.57 8.24M $301.19M $24.23M $120.63M $397.6M
2020-12-31 $25.50 8.21M $209.38M $9.31M $150.89M $350.97M
2019-12-31 $30.98 8.18M $253.48M $19.17M $356.53M $590.83M
2018-12-31 $23.98 8.15M $195.51M $19M $295.53M $472.04M
2017-12-31 $29.70 8.12M $241.22M $14.61M $221.47M $448.08M
2016-12-31 $32.75 8.09M $264.91M $13.6M $291.1M $542.42M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-31 $30.52 7.96M $243M $74.3M $159.74M $328.45M
2025-12-31 $24.18 8.04M $194.29M $74.29M $158.99M $278.99M
2025-09-30 $21.16 8.03M $169.98M $55.04M $219.12M $334.06M
2025-06-30 $18.88 8.08M $152.59M $59.39M $214.73M $307.93M
2025-03-31 $17.75 8.04M $142.66M $12.01M $223.31M $353.96M
2024-12-31 $20.76 8.02M $166.56M $20.18M $210.29M $356.67M
2024-09-30 $25.99 8.08M $210M $19.64M $197.1M $387.47M
2024-06-30 $25.23 8.07M $203.66M $13.5M $193.99M $384.15M
2024-03-31 $22.25 8.03M $178.58M $20.74M $183.97M $341.8M
2023-12-31 $28.86 8M $230.97M $31.4M $191.03M $390.6M
2023-09-30 $27.40 8.24M $225.78M $35.16M $172.04M $362.65M
2023-06-30 $26.25 8.23M $215.96M $44.14M $153.73M $325.54M