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Prologis (PLD)

128.05
+0.39 (0.30%)
NYSE · Last Trade: Dec 19th, 12:27 PM EST
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Detailed Quote

Previous Close127.66
Open128.28
Bid128.01
Ask128.08
Day's Range127.09 - 128.28
52 Week Range85.35 - 131.70
Volume2,128,273
Market Cap118.30B
PE Ratio (TTM)37.33
EPS (TTM)3.4
Dividend & Yield4.040 (3.16%)
1 Month Average Volume3,757,494

Chart

About Prologis (PLD)

Prologis is a global leader in logistics real estate, specializing in the development, leasing, and management of industrial properties, particularly warehouses and distribution centers. The company focuses on optimizing supply chain efficiency by providing strategically located facilities that enable businesses to streamline their operations and reach customers effectively. With a commitment to sustainability, Prologis incorporates environmentally friendly practices in its developments and aims to create spaces that support the growing demand for e-commerce and logistics services. By partnering with various industries, Prologis plays a pivotal role in modernizing and enhancing the logistics infrastructure necessary for global trade. Read More

News & Press Releases

The Reflation Revolution: Investors Rewrite the Playbook for a High-Growth, High-Inflation 2026
As 2025 draws to a close, the global financial landscape is undergoing a fundamental transformation. The "Goldilocks" era of moderate growth and cooling inflation that defined much of the post-pandemic recovery has been replaced by a more aggressive regime: a high-growth, high-inflation environment that analysts are calling the "Reflation Revolution.
Via MarketMinute · December 19, 2025
The Tokyo Tectonic Shift: How Japan’s Rate Hikes are Redrawing the U.S. Yield Curve
As of December 19, 2025, the global financial landscape has reached a historic inflection point. The Bank of Japan (BoJ) today announced a decisive interest rate hike to 0.75%, the highest level since 1995, marking a definitive end to three decades of ultra-loose monetary policy. While the move was
Via MarketMinute · December 19, 2025
The Great Normalization: How Cooling Inflation and a 'Hawkish Cut' Ignited a Year-End Rally
The final weeks of 2025 have delivered a long-awaited "Christmas miracle" for Wall Street, as a series of cooling inflation data points has effectively silenced the recessionary alarms that dominated the first half of the year. With the November Consumer Price Index (CPI) landing at a refreshing 2.7% and
Via MarketMinute · December 19, 2025
Inflation Thaw: December CPI Miss Ignites Relief Rally as Treasury Yields Retreat
The U.S. financial markets received a long-awaited gift on December 18, 2025, as the Bureau of Labor Statistics (BLS) released Consumer Price Index (CPI) data that came in significantly cooler than anticipated. Headline inflation for the period ending in November rose just 2.7% year-over-year, sharply lower than the
Via MarketMinute · December 18, 2025
Inflation Cools Faster Than Expected, Setting Stage for Federal Reserve ‘Data-Dependent Pause’ in Early 2026
The Federal Reserve’s aggressive campaign to normalize interest rates has reached a critical juncture following the release of November’s inflation data, which showed a sharper-than-anticipated decline in consumer prices. As of December 18, 2025, the Consumer Price Index (CPI) fell to 2.7% year-over-year, a significant drop from
Via MarketMinute · December 18, 2025
The Great Normalization: How the 2025 Fed Pivot Echoes History’s Most Famous Soft Landings
NEW YORK — As the final trading days of 2025 approach, the financial world finds itself at a critical juncture. On December 18, 2025, a cooler-than-expected Consumer Price Index (CPI) report—showing inflation at a multi-year low of 2.7%—has sent a surge of optimism through Wall Street. This data
Via MarketMinute · December 18, 2025
The "Four Percent Floor": How the Bond Market’s Resilient Yields are Redefining the 2025 Soft Landing
As of December 18, 2025, the financial markets are grappling with a paradox that few analysts predicted a year ago: cooling inflation is no longer a guarantee of rock-bottom interest rates. While the Federal Reserve has successfully navigated the U.S. economy toward a "soft landing," the bond market has
Via MarketMinute · December 18, 2025
US Stocks Fluctuate as November Jobs Report Paints Mixed Picture of Softening Labor Market
The US stock market experienced immediate volatility and a mixed reaction following the release of the November 2025 jobs report, which presented a complex picture of a softening, yet still resilient, labor market. Initial impulses of optimism quickly dissipated, leading major indexes to open lower as investors grappled with implications
Via MarketMinute · December 16, 2025
Navigating 2025's Economic Crosscurrents: Why Investor Vigilance on Key Indicators is Paramount Amidst Rate Adjustments and Shifting Growth
As December 12, 2025, arrives, investors find themselves at a crucial juncture, where a vigilant eye on key economic indicators is more critical than ever to successfully navigate the complex interplay of central bank policies, persistent inflation, and evolving growth dynamics. With the Federal Reserve having recently executed a series
Via MarketMinute · December 12, 2025
Real Estate Market Outlook: Interest Rate Impact and Shifting Dynamics for Property Investors
As of December 2025, the global real estate market finds itself at a pivotal juncture, navigating a complex landscape shaped predominantly by evolving interest rate policies. While central banks in major economies have initiated a cautious descent from peak rates, the pace has been more measured than anticipated, leaving rates
Via MarketMinute · December 12, 2025
Fed's Dovish Pivot Ignites Markets: Rate Cut and Liquidity Injections Fueling Optimism
Washington D.C. – December 11, 2025 – The Federal Reserve delivered a significant shift in its monetary policy this week, embracing a decidedly less hawkish stance that has immediately reverberated through global financial markets. On December 10, 2025, the Federal Open Market Committee (FOMC) announced its third consecutive interest rate cut,
Via MarketMinute · December 11, 2025
3 Top ETFs I'm Planning to Buy Hand Over Fist in 2026, Despite All the Cheap Stocks on My Radarfool.com
Some of my favorite stocks have become much cheaper recently, but ETFs remain a big focus of my investment strategy.
Via The Motley Fool · December 11, 2025
Federal Reserve Cuts Rates Amidst Mixed Market Signals: A Dive into Economic Crossroads
Washington D.C. – December 11, 2025 – In a move aimed at bolstering a cooling economy, the Federal Reserve's Federal Open Market Committee (FOMC) delivered its third consecutive interest rate cut on December 10, 2025, lowering the benchmark federal funds rate by 25 basis points to a new target range of
Via MarketMinute · December 11, 2025
Fed's Dovish Pivot: Powell Cuts Rates, Signals 'Wait and See' Amidst Softening Economy
In a move that reverberated across global financial markets, Federal Reserve Chair Jerome Powell, on December 10, 2025, confirmed a significant dovish shift in the central bank's monetary policy. The Federal Open Market Committee (FOMC) enacted a 25-basis-point reduction in the benchmark interest rate, bringing the target range down to
Via MarketMinute · December 10, 2025
Dow Soars Nearly 500 Points as Federal Reserve Signals Dovish Path Forward
New York, NY – December 10, 2025 – The Dow Jones Industrial Average (DJIA) experienced a significant surge today, climbing nearly 500 points and at one point soaring 580 points, following the Federal Reserve's latest interest rate decision. This robust rally, pushing the blue-chip index above the 48,000 mark for the
Via MarketMinute · December 10, 2025
The Fed's Tightrope Walk: Rate Cut Looms Amidst Divided Outlook and 2026 Uncertainties
As December 10, 2025, draws to a close, financial markets are holding their breath, fixated on the Federal Reserve's imminent interest rate decision. A 25-basis-point cut is widely anticipated, a move that would mark the third consecutive reduction this year and the sixth since September 2024. This aggressive easing cycle
Via MarketMinute · December 10, 2025
Markets Brace for Fed's December Verdict as Stocks Trend Lower
New York, NY – December 10, 2025 – U.S. stock markets are exhibiting a palpable sense of apprehension, with major indices trending lower as investors keenly await the Federal Reserve's final interest rate decision of 2025. The prevailing sentiment across Wall Street is one of cautious anticipation, as market participants attempt
Via MarketMinute · December 10, 2025
U.S. Stock Market Holds Breath: Fed Rate Decision Looms, Investors Brace for Clarity
The U.S. stock market is currently navigating a period of profound caution and minimal movement, as investors collectively hold their breath in anticipation of the Federal Reserve's pivotal decision on interest rates. With major indices largely flat and a discernible "wait-and-see" approach dominating trading floors, the market's subdued activity
Via MarketMinute · December 9, 2025
Federal Reserve Poised for Third Rate Cut of 2025 as Market Eyes 2026 Economic Rebound
As the Federal Open Market Committee (FOMC) convenes for its final meeting of the year on December 9-10, 2025, financial markets are bracing for what is widely expected to be the Federal Reserve's third interest rate cut of the year. This anticipated 25-basis-point reduction, which would lower the federal funds
Via MarketMinute · December 9, 2025
Wall Street Holds Breath: Markets Brace for Pivotal Fed Announcement
The financial world is currently in a state of heightened anticipation, with major investment firms and traders on Wall Street largely pressing pause on significant new bets. This widespread caution comes ahead of a crucial Federal Reserve announcement, expected to deliver key insights into the central bank's monetary policy direction.
Via MarketMinute · December 9, 2025
Silver Shines as Global Tariff Storm Gathers: A Safe-Haven and Strategic Imperative in 2025
As global trade tensions escalate dramatically throughout late 2024 and 2025, marked by a surge in protectionist policies and tit-for-tat tariffs, silver has emerged as a dual-threat asset: a critical safe-haven for investors fleeing economic uncertainty and a strategic industrial metal indispensable to the burgeoning green and high-tech economies. With
Via MarketMinute · December 9, 2025
Wall Street on Edge: Dow, S&P 500, and Nasdaq Waver as Fed Rate Cut Looms
As December 8, 2025, draws to a close, Wall Street finds itself in a precarious yet hopeful state. Major U.S. stock indices—the Dow Jones Industrial Average, S&P 500, and Nasdaq Composite—are exhibiting a mixed and wavering performance, caught between recent gains and an undercurrent of volatility.
Via MarketMinute · December 8, 2025
Wall Street Holds Its Breath: Hopes for Fed Rate Cuts Fuel Volatility Amidst Economic Crossroads
New York, NY – December 4, 2025 – Wall Street is currently navigating a period of palpable tension and cautious optimism, with market volatility predominantly fueled by the fervent anticipation of imminent Federal Reserve interest rate cuts. As the year draws to a close, investors find themselves in a "holding breath" stance,
Via MarketMinute · December 4, 2025
Bond Market in Focus: Yields Fluctuate and Bonds Navigate Shifting Tides Amidst Stock Stability
As of December 4, 2025, the financial markets are navigating a complex landscape where the bond market exhibits a nuanced dance of rising and falling yields, leading to varied movements in bond prices. This intricate dynamic unfolds against a backdrop of remarkable stability, and even gains, in the stock market,
Via MarketMinute · December 4, 2025
Major Indices Edge Towards Record Highs Amidst Rate Cut Optimism
The U.S. stock market is currently experiencing a robust surge, with the Dow Jones Industrial Average, S&P 500, and Nasdaq Composite demonstrating significant upward momentum. As of December 4, 2025, these bellwether indices are trading remarkably close to their all-time peak levels, fueling a cautious yet palpable optimism
Via MarketMinute · December 4, 2025