Valuation : Activia Properties Inc.

Market Cap 328B 2.06B 1.77B 1.66B 1.52B 2.85B 197B 2.86B 19.44B 7.65B 99.29B 7.74B 7.57B P/E 2026 *
19.7x
P/E 2027 * 19.8x
Enterprise Value 328B 2.06B 1.77B 1.66B 1.52B 2.85B 197B 2.86B 19.44B 7.65B 99.29B 7.74B 7.57B EV / Sales 2026 *
10.2x
EV / Sales 2027 * 9.98x
Free-Float
87.28%
Yield 2026 *
4.65%
Yield 2027 * 4.76%
1 day-11.13%
1 week-0.00%
Current month-0.00%
1 month-0.00%
3 months-0.00%
6 months-0.00%
Current year-0.00%
5 years 915.33
Extreme 915.333333
2,746
10 years 915.33
Extreme 915.333333
2,746
Manager TitleAgeSince
Corporate Officer/Principal 48 2025-03-31
Corporate Officer/Principal 55 2025-09-07
Corporate Officer/Principal 47 2023-08-31
Change 5-day change 1-year change 3-year change Capi.($)
-11.13%-0.00% - - 2.06B
-0.74%-1.83%+6.31%+10.36% 58.72B
-0.72%+0.44%+52.34%+30.38% 17.86B
-2.96%-3.34%+11.41%+111.06% 17.21B
0.00%+0.42%+5.31%+25.26% 14.88B
-1.87%-1.56%+10.83%+60.29% 12.89B
-0.56%-0.54%+18.39%+19.84% 10.22B
-2.80%-2.66%+5.62%+68.93% 10.05B
-0.41%+0.83%-9.96%-11.27% 9.62B
-1.30%+3.42%-35.32%-54.67% 9.23B
Average -2.15%+0.73%+7.21%+28.91% 17.85B
Weighted average by Cap. -0.91%+0.11%+9.60%+27.99%

Financials

2026 *2027 *
Net sales 32.15B 202M 173M 162M 148M 279M 19.27B 280M 1.9B 749M 9.72B 758M 741M 32.91B 206M 177M 166M 152M 286M 19.72B 287M 1.95B 766M 9.95B 775M 759M
Net income 16.66B 104M 89.69M 84.03M 76.88M 145M 9.98B 145M 986M 388M 5.04B 392M 384M 16.58B 104M 89.25M 83.61M 76.5M 144M 9.93B 145M 982M 386M 5.01B 391M 382M
Net Debt - -
Logo Activia Properties Inc.
Activia Properties Inc is a Japan-based real estate investment trust (REIT) company. It aims to achieve sustainable growth in asset and stable earnings from mid- to long-term perspectives. The Fund mainly invests in Tokyo and other major cities in Japan as well as their surrounding commuting areas. It is a closed-ended fund that does not allow for the refund of investment units at the request of unitholders. Its properties include Tokyu Plaza Omotesand Omokado, Q plaza EBISU, DECKS Tokyo Beach and others. The asset manager of the Fund is TLC REIT Management Inc.
Employees
-
Trader
-
Investor
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Global
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Quality
-
ESG MSCI
BBB

Quarterly revenue - Rate of surprise