v3.26.1
Schedule H, Line 4i, Schedule of Assets (Held at End of Year)
12 Months Ended
Dec. 31, 2025
EBP 001  
EBP, Reconciliation of Financial Statement to Form 5500 [Line Items]  
Schedule H, Line 4i, Schedule of Assets (Held at End of Year)
Extra Space Management, Inc. 401(k) Plan
Schedule H, Line 4i
Schedule of Assets (Held at End of Year)

December 31, 2025
Employer Identification Number: 87-0405300
Plan Number: 001
(a)(b)(c)(e)
Party inDescription
InterestIdentity of Issueof InvestmentCurrent Value
*FID 500 INDEXMutual Fund26,647,592 
*FID FDM IDX 2050 PRMMutual Fund18,181,936 
*FID FDM IDX 2045 PRMMutual Fund18,147,172 
*FID FDM IDX 2040 PRMMutual Fund17,569,213 
JPM LG CAP GROWTH R6Mutual Fund14,542,318 
*FID FDM IDX 2055 PRMMutual Fund13,826,516 
*FID FDM IDX 2035 PRMMutual Fund13,199,580 
*FID FDM IDX 2030 PRMMutual Fund12,235,619 
*FID FDM IDX 2060 PRMMutual Fund7,751,360 
*EXTRA SPACE STOCKCommon Stock6,529,194 
J H ENTERPRISE NMutual Fund6,125,930 
*FID BALANCEDMutual Fund5,716,728 
*FID FDM IDX 2025 PRMMutual Fund5,606,565 
AF EUPAC FUND R6Mutual Fund5,274,493 
PGIM TOT RET BOND UCommon Collective Trusts4,114,625 
JPM EQUITY INCOME R6Mutual Fund3,962,390 
*FID FDM IDX 2065 PRMMutual Fund3,233,316 
*FID SM CAP IDXMutual Fund3,173,137 
GG G RETIRE INC F35Common Collective Trusts3,058,433 
VICTORY S EST VAL R6Mutual Fund3,010,708 
CONESTOGA SM CAP ISMutual Fund2,314,587 
*FID INTL INDEXMutual Fund2,030,134 
BROKERAGELINKVarious1,931,310 
*FID FDM IDX 2020 PRMMutual Fund1,721,756 
*FID MID CAP IDXMutual Fund1,299,278 
*FID FDM IDX 2015 PRMMutual Fund966,342 
PGIM ST CORP BOND R6Mutual Fund949,646 
UM BEHAVIORAL VAL R6Mutual Fund905,370 
AF NEW WORLD R6Mutual Fund568,929 
*FID FRDM IDX RET PRMMutual Fund553,456 
PIM COM REAL RET IMutual Fund453,842 
PIMCO INCOME INSTMutual Fund261,624 
*FID FDM IDX 2010 PRMMutual Fund257,049 
*FID FDM IDX 2070 PRMMutual Fund126,533 
*FID GOVT MMKT K6Mutual Fund532 
*Outstanding Loan Balance ^4,819,519 
$211,066,732 
* Denotes a party-in-interest as defined by ERISA.
Note: Column (d), cost, has been omitted as all investments are participant directed
^ Loans to participants, at cost, which approximates fair value, at interest rates of 4.25% to 10.25% and maturities ranging from January 2026 to June 2052