S&P 500 7,457.69 -1.01% NASDAQ 25,520.24 -1.40% DOW 52,146.42 -0.77% R2K 2,962.22 -0.42% VIX 18.77 +12.19% US 10Y 4.54 -0.61% DXY 100.75 +0.02% GOLD 4,012.70 +0.68% CRUDE 82.49 +4.48%
Next Bullish Trade
Sign in
PLD

Prologis, Inc. PLD

$149.79 -0.27 (-0.18%)
Extended · +1.90σ

Price chart

Timeframe
Range
Fundamentals · free Click ▲ earnings markers (daily) for the day's move

Loading…

Latest bar · PLD

Momentum reads · latest daily bar
Last
$149.79
-0.27 (-0.18%)
Mkt cap
$142.9B
Real Estate
RSI(14)
64.3
neutral
Stochastic %K
90.2
overbought
MFI(14)
71.9
neutral
ADX(14)
15.3
weak trend

Green means room to run, red means stretched — the reads re-read live as you switch the chart's timeframe. MFI(14) is a volume-weighted money-flow read: above 80 = overbought, below 20 = oversold.

Financial overlay · last 12 quarters

The story behind the price: three years of quarterly results laid over the chart, so you can see whether the stock has been following the business — or running ahead of it.

QuarterRevenue Net incomeOp income FCFNet margin Op margin
2026-03-31 $2.3B $1.0B $0.8B $1.3B 42.7% 36.0%
2025-12-31 $2.3B $1.4B $0.9B $1.2B 62.1% 37.8%
2025-09-30 $2.2B $0.8B $0.9B $1.4B 34.5% 40.3%
2025-06-30 $2.2B $0.6B $0.9B $1.2B 26.2% 39.2%
2025-03-31 $2.1B $0.6B $0.8B $1.2B 27.7% 38.1%
2024-12-31 $nanB $nanB $nanB $nanB nan% nan%

Tip: toggle P/E, FCF, ROE, Gross margin and more on the chart above — every overlay is free.

Compare PLD vs peers

Line PLD up against up to 4 peers (5 tickers total) across ~30 metrics and get one weighted 0-100 verdict — best in green, worst in red. Peers also overlay on the chart above as rebased % lines, or flip the chart to the 2×2 grid for side-by-side mini charts.

Comparing PLD EQIX×
Verdict
Weighted score 0-100 across 2 tickers · best in green
#1
PLD
score 60.0
5/5 inputs
Dominates with 83 quality score driven by exceptional 75% gross margin and strong 43.9% net margin profitability.
value 60growth 50quality 83momentum 75sentiment 33
#2
EQIX
score 40.4
5/5 inputs
Weak 17 quality score from elevated 1.63 debt-to-equity ratio drags overall performance despite 17.61% analyst upside.
value 42growth 50quality 17momentum 25sentiment 67
PLD
PLD
$149.79
-0.18%
Snapshot
Price 149.79
Day % -0.18
1M % 2.51
3M % 5.36
YTD % 16.07
Market cap 142914027520.0
ADV ($) 551181639.1350098
Beta
OdysseyHQ zone
Current zone Extended
Dist 21-EMA % 4.61
Dist ATR (σ) 1.9
OdysseyHQ grade B
Confluence 3
Valuation
P/E (ttm) 37.730476
P/E (fwd) 44.185837
P/S 14.89883
EV/EBITDA 27.19
P/B 2.6131783
FCF yield
PEG 111.57
Growth
Revenue yoy 0.058
EPS yoy 0.814
FCF yoy
Revenue trend 8Q
Quality
Gross margin 0.75383
Operating margin 0.39568
Net margin 0.43870997
ROE 0.07749
ROA 0.02475
Debt / Equity 0.63
Interest cov. 4.88
Technicals
RSI(14) 64.3
MACD signal bull
vs 50-DMA 4.62
vs 200-DMA 12.01
vs 52w high -2.32
HV-30 28.2
Sentiment
Analyst rec 2.0
Target upside 2.43
Insider buy-sell 90d 25
Risk
Short interest 1.6099999999999999
Days to cover 3.1
Next earnings 2026-10-14
Full PLD dashboard →
EQIX
Equinix, Inc.
$1020.00
+1.08%
Snapshot
Price 1020.0
Day % 1.08
1M % -6.82
3M % -4.75
YTD % 33.49
Market cap 100596736000.0
ADV ($) 603452400.0
Beta 0.971
OdysseyHQ zone
Current zone Pullback
Dist 21-EMA % -1.95
Dist ATR (σ) -0.75
OdysseyHQ grade C
Confluence 4
Valuation
P/E (ttm) 70.686066
P/E (fwd) 52.813267
P/S 10.560229
EV/EBITDA 28.63
P/B 7.0356474
FCF yield 0.0271
PEG 3.36
Growth
Revenue yoy 0.121
EPS yoy 0.2
FCF yoy
Revenue trend 8Q
Quality
Gross margin 0.51606
Operating margin 0.24343
Net margin 0.14928001
ROE 0.10059
ROA 0.03495
Debt / Equity 1.63
Interest cov. 3.86
Technicals
RSI(14) 42.6
MACD signal bear
vs 50-DMA -3.93
vs 200-DMA 10.99
vs 52w high -9.63
HV-30 25.0
Sentiment
Analyst rec 1.53125
Target upside 17.61
Insider buy-sell 90d -50
Risk
Short interest 2.0599999
Days to cover 2.74
Next earnings 2026-07-29
Full EQIX dashboard →

Earnings replay · last 20 reports

How this stock actually behaves on report day: each past earnings print with the beat-or-miss and the next-day move — a track record for handicapping the next one.

DateEPS actual EPS estSurprise Next-day
2026-07-16 1.11 0.75 +48.3% -0.2%
2026-04-16 1.02 0.72 +41.3% +2.1%
2026-01-21 1.46 0.68 +113.5% -3.4%
2025-10-15 0.80 0.73 +8.8% -1.3%
2025-07-16 0.60 0.73 -18.5% -3.4%
2025-04-16 0.62 0.63 -1.3% +1.8%
2025-01-21 1.37 0.68 +100.8% -1.8%
2024-10-16 1.08 0.64 +68.3% -3.4%
2024-07-17 0.92 0.60 +54.2% -0.5%
2024-04-17 0.63 0.57 +10.2% -1.7%
2024-01-17 0.68 0.62 +10.6% -0.5%
2023-10-17 0.80 0.59 +36.2% -3.5%
2023-07-18 1.31 0.99 +32.2% -1.0%
2023-04-18 0.50 0.56 -9.9% +1.2%
2023-01-18 0.62 0.54 +14.9% -1.1%
2022-10-19 1.32 1.21 +9.2% +0.4%
2022-07-18 0.80 0.66 +22.1% +5.0%
2022-04-19 1.50 0.58 +158.6% +1.8%
2022-01-19 1.67 0.63 +166.3% +0.4%
2021-10-15 0.97 0.47 +107.1% +2.0%

Earnings markers are overlaid on the daily price chart above. Click a ▲ marker for that day's move.

Peer comparison · Real Estate

Context check: the same key numbers for the closest Real Estate names side by side, so you can tell whether this stock is the standout or just moving with its group.

Ticker ⇅ Mkt cap ⇅ P/E ⇅ Fwd P/E ⇅ P/S ⇅ EV/EBITDA ⇅ P/B ⇅ Gross M ⇅ Rev gr ⇅ EPS gr ⇅ FCF yld ⇅
PLD $143B 37.7 44.2 14.9 27.2 2.6 75.4% 5.8% 81.4%
AMT $79B 27.3 24.7 7.3 18.5 22.5 74.0% 6.8% 76.9% 5.82%
EQIX $101B 70.7 52.8 10.6 28.6 7.0 51.6% 12.1% 20.0% 2.71%
WELL $172B 116.4 72.4 14.6 62.9 3.9 39.9% 38.3% 157.9% 1.51%
DLR $65B 46.1 64.4 10.4 28.0 2.7 55.3% 16.7% 67.6% 5.01%
SPG $87B 15.9 33.9 13.1 21.2 15.4 81.6% 19.3% 16.4% 2.87%

Auto-seeded from sector. Click any ticker to switch.

Ownership

Who holds the stock and what they've been doing lately — big funds on the left, executives' own buys and sells on the right. Insider buying is the rarer, louder signal.

Top institutional holders

Top-10 concentration: 41.94%

HolderShares% out
Blackrock Inc. 100,414,059 10.77%
Vanguard Capital Management LLC 60,308,417 6.47%
State Street Corporation 56,033,266 6.01%
Vanguard Portfolio Management LLC 53,878,755 5.78%
Geode Capital Management, LLC 23,611,033 2.53%
Cohen & Steers Inc. 23,288,074 2.50%
JPMORGAN CHASE & CO 20,601,983 2.21%
Apg Asset Management US Inc. 19,286,830 2.07%
Capital Research Global Investors 16,940,418 1.82%
FMR, LLC 16,554,435 1.78%

Insider activity · 90d

15 buys / 0 sells · ratio 15.0 · Finnhub

  • Slusser Sarah A BUY 4,081
  • Metcalfe Guy A BUY 449
  • Metcalfe Guy A BUY 228
  • Metcalfe Guy A BUY 6,326
  • OCONNOR DAVID P BUY 28,232
  • Modjtabai Avid BUY 6,326
  • FOTIADES GEORGE L BUY 29,452
  • FOTIADES GEORGE L BUY 15,549
  • FOTIADES GEORGE L BUY 47,977
  • FOTIADES GEORGE L BUY 23,606

Analyst estimates

Finnhub

What Wall Street expects next: the consensus forecasts for the coming quarters. The market usually reacts to results versus these numbers, not the raw results themselves.

Low
$138.0
Mean
$153.42857
High
$170.0
Analysts
14
Recommendation distribution · period 2026-07-01
7
9
9
Revision trend (2026-04-01 → 2026-07-01): net 18 → 16 -2 (net = strong_buy+buy − sell−strong_sell)

SEC filings

The company's own paperwork, straight from the regulator — annual and quarterly reports, big announcements and insider trades. The primary source behind every headline.

FormFiled DescriptionAction
4 2026-07-16 4 view ·
4 2026-07-16 4 view ·
4 2026-07-16 4 view ·
4 2026-07-16 4 view ·
4 2026-07-16 4 view ·
4 2026-07-16 4 view ·
8-K 2026-07-16 8-K view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
4 2026-07-02 4 view ·
8-K 2026-07-01 8-K view ·
8-K 2026-06-24 8-K view ·
4 2026-06-17 4 view ·
8-K 2026-06-11 FORM 8-K view ·
4 2026-05-29 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
4 2026-04-30 4 view ·
8-K 2026-04-30 8-K view ·
10-Q 2026-04-30 10-Q view ·
8-K 2026-04-27 FORM 8-K view ·
8-K 2026-04-23 FORM 8-K view ·
8-K 2026-04-16 8-K view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
4 2026-04-02 4 view ·
8-K 2026-03-31 8-K view ·
DEF 14A 2026-03-19 DEF 14A view ·
4 2026-03-18 4 view ·
4 2026-03-10 4 view ·
10-K 2026-02-13 10-K view ·
4 2026-01-27 4 view ·
4 2026-01-22 4 view ·
4 2026-01-22 4 view ·
4 2026-01-22 4 view ·
4 2026-01-22 4 view ·
4 2026-01-22 4 view ·
4 2026-01-22 4 view ·

About PLD

Prologis, Inc. is a self-administered and self-managed REIT and is the sole general partner of Prologis, L.P. through which it holds substantially all of its assets. We operate Prologis, Inc. and Prologis, L.P. as one enterprise and, therefore, our discussion and analysis refer to Prologis, Inc. and its consolidated subsidiaries, including Prologis, L.P. We invest in real estate through wholly owned subsidiaries and other entities through which we co-invest with partners and investors (co-investment ventures). We have a significant ownership interest in the co-investment ventures, which are either consolidated or unconsolidated based on our level of control of the entity. Prologis, Inc. began operating as a fully integrated real estate company in 1997 and elected to be taxed as a REIT under the Internal Revenue Code of 1986, as amended (Internal Revenue Code or IRC). We believe the current organization and method of operation enable Prologis, Inc. to maintain its status as a REIT. Prologis, L.P. was also formed in 1997. We operate, manage and measure the operating performance of our properties on an owned and managed (O&M) basis. Our O&M portfolio includes our consolidated properti…

Options picks · PLD

ITM + OTM ideas from the latest scan

Loading…

Congress trades · PLD

STOCK Act disclosures

Loading…

SEC filings & insiders · PLD

EDGAR · live

Loading…

Holders · PLD

Institutions & insider activity

Loading…