LXP Industrial Trust - Common Stock (LXP) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
LXP on NYSE
Shares outstanding
295,741,512
Price per share
$49.58
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
145,663
Total reported value
$4,404,757
% of total 13F portfolios
0%
Share change
-283,312,365
Value change
-$2,609,781,537
Number of holders
6
Price from insider filings
$49.58
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of LXP Industrial Trust - Common Stock (LXP) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 17% $410,394,581 49,684,574 BlackRock, Inc. 30 Jun 2025
MACQUARIE GROUP LTD 4.8% $111,448,736 14,215,400 Macquarie Group Limited 31 Dec 2024

As of 31 Dec 2025, 6 institutional investors reported holding 145,663 shares of LXP Industrial Trust - Common Stock (LXP). This represents 0.05% of the company’s total 295,741,512 outstanding shares.

Institutional Holders of LXP Industrial Trust - Common Stock (LXP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 145,663 $4,404,757 -$2,609,781,537 $49.58 6
2025 Q3 284,426,678 $2,551,006,443 -$19,975,623 $8.96 314
2025 Q2 289,288,036 $2,390,758,070 +$120,971,842 $8.26 329
2025 Q1 274,679,636 $2,377,390,403 -$10,162,429 $8.65 317
2024 Q4 277,555,554 $2,256,308,860 -$3,407,430 $8.12 318
2024 Q3 273,984,684 $2,756,033,834 +$17,030,604 $10.05 297
2024 Q2 275,721,165 $2,517,646,759 +$24,391,797 $9.12 287
2024 Q1 273,789,729 $2,472,064,306 -$5,943,969 $9.02 280
2023 Q4 273,886,137 $2,720,002,445 -$1,301,850 $9.92 271
2023 Q3 274,149,438 $2,442,225,736 +$8,956,854 $8.90 272
2023 Q2 272,304,585 $2,658,819,186 -$13,769,696 $9.75 270
2023 Q1 273,614,267 $2,823,429,971 -$67,071,489 $10.31 274
2022 Q4 279,760,007 $2,806,349,679 +$85,396,647 $10.02 276
2022 Q3 271,766,258 $2,491,396,450 -$53,064,566 $9.16 269
2022 Q2 275,411,444 $2,959,762,652 -$113,399,730 $10.74 276
2022 Q1 283,126,547 $4,445,522,016 +$19,042,626 $15.70 285
2021 Q4 282,184,010 $4,408,951,908 +$28,959,729 $15.62 283
2021 Q3 281,168,304 $3,587,263,837 +$15,776,485 $12.75 275
2021 Q2 280,637,038 $3,355,728,066 +$172,159,435 $11.95 269
2021 Q1 265,635,380 $2,953,274,477 +$45,179,854 $11.11 261
2020 Q4 261,790,636 $2,781,002,286 +$79,145,908 $10.62 253
2020 Q3 254,839,125 $2,665,048,744 -$71,793,733 $10.45 252
2020 Q2 261,197,665 $2,756,820,766 +$243,072,893 $10.55 239
2020 Q1 238,762,910 $2,373,352,869 +$61,728,933 $9.93 250
2019 Q4 233,071,410 $2,476,070,550 +$126,561,975 $10.62 267
2019 Q3 220,847,139 $2,264,518,455 +$122,554,070 $10.25 264
2019 Q2 209,139,400 $1,968,607,726 +$63,269,972 $9.41 250
2019 Q1 203,579,215 $1,844,980,104 +$216,822,616 $9.06 274
2018 Q4 179,928,782 $1,478,540,245 -$12,424,932 $8.21 264
2018 Q3 180,278,769 $1,496,012,041 +$15,147,228 $8.30 236
2018 Q2 179,814,551 $1,569,708,093 -$14,278,133 $8.73 243
2018 Q1 181,681,920 $1,429,788,409 +$3,866,642 $7.87 234
2017 Q4 180,559,718 $1,743,036,857 -$4,695,836 $9.65 251
2017 Q3 180,865,690 $1,848,452,352 +$44,727,312 $10.22 244
2017 Q2 176,562,061 $1,749,597,163 -$3,064,248 $9.91 247
2017 Q1 177,114,822 $1,767,642,306 +$300,773,585 $9.98 258
2016 Q4 175,884,397 $1,899,411,251 +$57,175,920 $10.80 262
2016 Q3 170,442,920 $1,754,298,838 -$10,053,530 $10.30 273
2016 Q2 171,756,933 $1,736,395,114 +$12,517,916 $10.11 255
2016 Q1 170,888,726 $1,469,235,200 -$7,692,701 $8.60 259
2015 Q4 171,470,351 $1,371,884,704 -$8,391,839 $8.00 249
2015 Q3 173,928,348 $1,408,813,349 -$15,897,634 $8.10 242
2015 Q2 175,602,187 $1,489,060,435 -$60,759,197 $8.48 247
2015 Q1 182,020,122 $1,790,798,474 +$27,276,179 $9.83 240
2014 Q4 179,008,612 $1,966,252,719 +$31,999,511 $10.98 238
2014 Q3 179,852,992 $1,760,938,359 +$34,043,500 $9.79 244
2014 Q2 176,067,643 $1,938,427,067 -$21,329,713 $11.01 248
2014 Q1 178,184,766 $1,943,565,174 +$62,298,385 $10.91 241