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Peakstone Realty Trust — Investor Relations & Filings

Ticker · PKST ISIN · US39818P7996 LEI · 549300EZQXWQI2YL1T80 US Real estate activities
Filings indexed 741 across all filing types
Latest filing 2018-11-09 Interim / Quarterly Rep…
Country US United States of America
Listing US PKST

About Peakstone Realty Trust

https://pkst.com/

Peakstone Realty Trust is an internally managed real estate investment trust executing a strategic transition to become a pure-play industrial REIT. The company is actively reshaping its portfolio by divesting its office assets to focus exclusively on owning and operating industrial properties. A core component of its growth strategy is the expansion of its holdings in the industrial outdoor storage (IOS) sector. The trust's portfolio consists of business-essential properties, with a strategic emphasis on assets located in key coastal and sunbelt markets, many of which are proximate to major ports.

Recent filings

Filing Released Lang Actions
10-Q
Interim / Quarterly Report Q3 2018
2018-11-09 English
424B3
Net Asset Value Classification · 95% confidence The document is titled 'SUPPLEMENT NO. 19' to a prospectus and provides daily net asset value (NAV) per share information for various classes of common stock for the period October 1-31, 2018. It explicitly states that the NAV is determined according to valuation procedures and is unaudited daily pricing information. The content focuses on NAV updates rather than a full financial report or prospectus. Given the focus on NAV updates and daily pricing data, this fits the definition of a Net Asset Value (NAV) report, which regularly updates NAV primarily for investment funds. The document length is short and specific to NAV data, not a full annual or interim report or other filing types.
2018-11-03 English
424B3
Net Asset Value Classification · 95% confidence The document is titled 'SUPPLEMENT NO. 18' to a prospectus and provides daily net asset value (NAV) per share data for various classes of common stock for the month of September 2018. It is a supplement to a previously filed prospectus and focuses on NAV pricing information. The content is specific to NAV updates and does not contain a full report or financial statements. The document length is 2622 characters, which is relatively short and focused on NAV data. According to the filing definitions, documents providing regular updates of NAV primarily for investment funds are classified under 'Net Asset Value (NAV)'. Therefore, this document fits best under the NAV category.
2018-10-03 English
424B3
Net Asset Value Classification · 95% confidence The document is titled 'SUPPLEMENT NO. 17' and is a supplement to a prospectus dated September 20, 2017. It provides daily net asset value (NAV) per share information for various classes of common stock for the period August 1, 2018 through August 31, 2018. The content is focused on NAV updates, which is typical for investment funds providing regular NAV information to investors. The document length is 2471 characters, which is relatively short and focused on NAV data rather than a full report or announcement of a report publication. Therefore, the document fits the category of 'Net Asset Value (NAV)' updates for investment funds.
2018-09-05 English
424B3
Capital/Financing Update Classification · 95% confidence The document is titled 'SUPPLEMENT NO. 16 DATED AUGUST 24, 2018 TO THE PROSPECTUS DATED SEPTEMBER 20, 2017' and is filed pursuant to Rule 424(b)(3), which is a SEC rule related to prospectus supplements for securities offerings. The content includes updates on the status of the offering, selected financial information, updated Management's Discussion and Analysis (MD&A) for the six months ended June 30, 2018, and unaudited consolidated financial statements for the same period. The document supplements a prospectus and includes financial data and NAV calculations relevant to the offering. This type of filing is a prospectus supplement related to capital raising activities and updates to the offering documents, which fits the category of Capital/Financing Update (CAP). It is not a full annual or interim report, nor an earnings release or proxy material. The length and detail confirm it is a substantive supplement, not just an announcement. Therefore, the appropriate classification is CAP with high confidence.
2018-08-24 English
424B3
Capital/Financing Update Classification · 95% confidence The document is titled 'SUPPLEMENT NO. 15' to a prospectus and discusses the status of a follow-on public offering, formation of a special committee to review strategic alternatives, and the temporary suspension of the primary offering. It focuses on updates related to capital raising activities and strategic review, without containing financial statements or detailed financial results. The content aligns with updates on company fundraising and capital structure changes. Therefore, the document fits best under 'Capital/Financing Update' (CAP). The document length is 4046 characters, which is sufficient to provide substantive information rather than a brief announcement, supporting this classification.
2018-08-17 English

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