Sun Communities Shares Outstanding 2010-2025 | SUI

Sun Communities shares outstanding history from 2010 to 2025. Shares outstanding can be defined as the number of shares held by shareholders (including insiders) assuming conversion of all convertible debt, securities, warrants and options. This metric excludes the company's treasury shares.
  • Sun Communities shares outstanding for the quarter ending March 31, 2025 were 0.130B, a 2.53% increase year-over-year.
  • Sun Communities 2024 shares outstanding were 0.127B, a 2.75% increase from 2023.
  • Sun Communities 2023 shares outstanding were 0.124B, a 0.73% increase from 2022.
  • Sun Communities 2022 shares outstanding were 0.123B, a 6.78% increase from 2021.
Sun Communities Annual Shares Outstanding
(Millions of Shares)
2024 127
2023 124
2022 123
2021 115
2020 98
2019 89
2018 82
2017 77
2016 66
2015 54
2014 42
2013 34
2012 27
2011 21
2010 19
2009 18
Sun Communities Quarterly Shares Outstanding
(Millions of Shares)
2025-03-31 130
2024-12-31 127
2024-09-30 124
2024-06-30 124
2024-03-31 127
2023-12-31 124
2023-09-30 124
2023-06-30 126
2023-03-31 126
2022-12-31 123
2022-09-30 123
2022-06-30 120
2022-03-31 116
2021-12-31 115
2021-09-30 118
2021-06-30 112
2021-03-31 108
2020-12-31 98
2020-09-30 98
2020-06-30 96
2020-03-31 92
2019-12-31 89
2019-09-30 90
2019-06-30 88
2019-03-31 86
2018-12-31 82
2018-09-30 82
2018-06-30 80
2018-03-31 79
2017-12-31 77
2017-09-30 79
2017-06-30 75
2017-03-31 73
2016-12-31 66
2016-09-30 69
2016-06-30 65
2016-03-31 58
2015-12-31 54
2015-09-30 54
2015-06-30 53
2015-03-31 53
2014-12-31 42
2014-09-30 41
2014-06-30 41
2014-03-31 37
2013-12-31 34
2013-09-30 36
2013-06-30 36
2013-03-31 31
2012-12-31 27
2012-09-30 27
2012-06-30 26
2012-03-31 26
2011-12-31 21
2011-09-30 21
2011-06-30 21
2011-03-31 23
2010-12-31 19
2010-09-30 19
2010-06-30 19
2010-03-31 21
2009-12-31 18
2009-09-30 19
2009-06-30 18
2009-03-31 21
Sector Industry Market Cap Revenue
Finance REIT - Residential Equity Trusts $15.308B $3.221B
Sun Communities, Inc. owns, operates & finances manufactured housing communities concentrated in the midwestern & southeastern US. The Company is a fully integrated real estate company which, together with its affiliates and predecessors, has been in the business of acquiring, operating & expanding manufactured housing communities since 1975. The Company owns & manages a portfolio of properties located in twelve states, including manufactured housing communities, recreational vehicle communities, & properties containing both manufactured housing & recreational vehicle sites.
Stock Name Country Market Cap PE Ratio
AvalonBay Communities (AVB) United States $28.193B 17.78
Equity Residential (EQR) United States $25.688B 17.34
Invitation Home (INVH) United States $20.233B 17.47
Mid-America Apartment Communities (MAA) United States $17.882B 17.24
Essex Property Trust (ESS) United States $17.350B 17.12
American Homes 4 Rent (AMH) United States $13.937B 20.92
United Dominion Realty Trust (UDR) United States $13.076B 15.92
Equity Lifestyle Properties (ELS) United States $12.144B 21.39
Camden Property Trust (CPT) United States $12.076B 16.45
Independence Realty Trust (IRT) United States $4.206B 15.51
Broadstone Net Lease (BNL) United States $2.923B 10.81
LXP Industrial Trust (LXP) United States $2.434B 12.86
Boardwalk Real Estate Investment Trust (BOWFF) Canada $2.316B 15.28
UMH Properties (UMH) United States $1.385B 17.52
Elme Communities (ELME) United States $1.375B 16.77
Veris Residential (VRE) United States $1.361B 23.52
InterRent Real Estate Investment Trust (IIPZF) Canada $1.205B 18.73
Apartment Investment And Management (AIV) United States $1.107B 0.00
Safehold (SAFE) United States $1.040B 0.00
Centerspace (CSR) United States $1.024B 12.56
NexPoint Residential Trust (NXRT) United States $0.842B 10.37
Armada Hoffler Properties (AHH) United States $0.705B 5.75
BRT Apartments (BRT) United States $0.289B 10.38
Modiv Industrial (MDV) United States $0.143B 10.26
Great Ajax (RPT) United States $0.121B 0.00
Office Properties Income Trust (OPI) United States $0.014B 0.13