Company: PLDGP
Filing Date: 2025-03-28
Form Type: DEF 14A
Source: 0001193125-25-067058
Chunk: 90

Company: Prologis, Inc.
Filing Date: 2025-03-28
Form: DEF 14A
Chunk 90
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 units with a value of $145,637, issued on March 3, 2021, vested on March 3, 2024; |

| l |     | 602 units with a value of $80,265, issued on March 13, 2020, vested on March 13, 2024; |

| l |     | 105 units with a value of $13,530, issued on March 27, 2020, vested on March 27, 2024; |

| l |     | 778 units with a value of $82,382, issued on May 3, 2023, vested on May 3, 2024; |

| l |     | 12,190 units with a value of $1,497,541, issued on August 18, 2023, vested on August 18, 2024; |

| l |     | 839 units with a value of $109,280, issued on September 9, 2020, vested on September 9, 2024; |

| l |     | 7,065 units with a value of $769,167, issued on December 16, 2022, vested on December 16, 2024; |

| l |     | 203 units with a value of $21,364, issued on December 29, 2021, vested on December 29, 2024; |

| l |     | 1,598 units with a value of $207,692, issued on December 13, 2021, vested on January 16, 2024. |

| (4) | Represents the vesting of LTIP Units as presented below: |

| l |     | 8,067 units with a value of $1,048,468, issued on January 16, 2024, vested on January 16, 2024; |

| l |     | 10,431 units with a value of $1,323,277, issued on January 17, 2023, vested on January 17, 2024; |

| OPTION EXERCISES AND STOCK VESTED |

| l |     | 2,721 units with a value of $362,464, issued on February 25, 2022, vested on February 25, 2024; |

| l |     | 2,948 units with a value of $