Companies / InvenTrust Properties Corp

InvenTrust Properties Corp

NYSE: IVTCIK 1307748DOWNERS GROVE, IL

Financials · FY2025

Revenue$299.17M
Net income$111.42M
Total debt$822.61M
Cash$175.12M
Diluted EPS$1.42
Shares outstanding78.0M

Ownership

78.0M shares outstanding · as of Jul 31, 2026
0.89%Insiders
Ownership
Insiders0.89%691,355
10%+ / strategic38.91%30,345,235
Institutions64.15%50,024,622
Public float0.00%0

Reported holdings exceed shares outstanding — public float shown as 0; some positions may overlap or lag.

% of common shares outstanding (exact, from the latest cover-page filing). Institutions are quarterly 13F snapshots; insiders reflect current officers & directors.

Insiders 12

View all →
Insider% of sharesShares
Busch DanielPresident & C.E.O. · Director
0.31%238,963
David Christy LynnEVP, COO, GC & Sec.
0.17%133,684
Phillips Michael DouglasE.V.P., C.F.O. & Treasurer
0.12%93,020
Saban PaulaDirector
0.05%35,149
0.04%34,552
0.04%32,550
0.04%28,885
Suva LaurenEVP, Chief Administrative Off.
0.04%28,376
0.03%26,918
Bryson DavidSVP, Chief Accounting Officer
0.02%18,442

Institutional holders 308

View all →

Activity

Jun 30, 2026View all →
InsidersInstitutions
Who's accumulating and trimming this stock (13F).
DateActorActionSecurityValueShares ΔPosition afterImpact
Q2 2026
as of
BlackRock, Inc.
13F manager
AddCommon stock$214.03M+6.0M
+65.00%
15,348,026
19.68% of shares
high
Q1 2026
as of
Principal Financial Group Inc
13F manager
AddCommon stock$46.90M+1.5M
+24.87%
7,729,381
9.91% of shares
medium
Q2 2026
as of
State Street Corporation
13F manager
AddCommon stock$42.43M+1.2M
+43.72%
3,913,223
5.02% of shares
medium
Q2 2026
as of
Centersquare Investment Management LLC
13F manager
ExitCommon stock$-36.33M-1.3M
-100.00%
0
medium
Q1 2026
as of
Hudson Bay Capital Management LP
13F manager
ExitCommon stock$-20.89M-741K
-100.00%
0
medium
Q1 2026
as of
Two Sigma Investments, LP
13F manager
AddCommon stock$20.73M+681K
+1292.09%
733,215
0.94% of shares
medium
Q1 2026
as of
Millennium Management LLC
13F manager
TrimCommon stock$-19.13M-628K
-32.89%
1,281,987
1.64% of shares
medium
Q1 2026
as of
Schroder Investment Management Group
13F manager
TrimCommon stock$-7.35M-241K
-25.03%
722,192
0.93% of shares
medium

5%+ ownership events

Schedule 13D / 13G
FilerStance% of classSharesDate
State Street CorporationPassive13G3,913,223
Vanguard Group IncPassive13G/A0
Principal Real Estate Investors, LLCPassive13G/A6,062,527
BlackRock, Inc.Passive13G/A7,779,159
Principal Real Estate Investors, LLCPassive13G/A7,569,442
Vanguard Portfolio ManagementPassive13G7,056,959
Vanguard Capital ManagementPassive13G4,026,452

Securities

via CUSIP / OpenFIGI
SymbolTypeMarketCUSIPFIGI
IVT46124J201