Valuation: Aims Property Securities Fund

Market Cap 174M 124M 107M 101M 91.82M 172M 11.88B 1.21B 466M 6.02B 465M 455M 19.21B P/E 2025
2.54x
P/E 2026 5.33x
Enterprise Value 173M 123M 107M 101M 91.53M 172M 11.84B 1.21B 464M 6B 464M 453M 19.15B EV / Sales 2025
2.39x
EV / Sales 2026 5.05x
Free-Float
13.24%
Yield 2025 *
-
Yield 2026 -
1 week-2.01%
1 month-0.51%
3 months+9.55%
6 months+14.71%
Current year+25.00%
1 week 3.9
Extreme 3.9
3.9
1 month 3.8
Extreme 3.8
4
Current year 3
Extreme 3
4.2
1 year 3
Extreme 3
4.2
3 years 1.16
Extreme 1.16
4.2
5 years 1.02
Extreme 1.02
4.2
10 years 0.98
Extreme 0.98
4.2
Manager TitleAgeSince
Corporate Secretary - 2017-08-06
Director TitleAgeSince
Chairman 64 2009-07-31
Director/Board Member 79 2011-03-29
Director/Board Member 84 2010-08-04
Date Insider Type Main position Quantity % Market Cap. Importance
12/10/25 Buy

Chairman

1,300,000 2.9201%
6/27/25 Buy

Director

3,246 0.0073%
6/27/25 Buy

Director

10,385 0.0233%
Change 5-day change 1-year change 3-year change Capi.($)
0.00%-2.01%+20.00%+209.52% 124M
-0.82%-3.83%-2.55%+8.48% 55.9B
+0.45%-1.25%+48.27%+26.49% 16.98B
+1.54%-0.99%+4.10%+98.90% 15.42B
-0.87%-3.40%-2.99%+19.47% 14.33B
+0.38%-0.65%+10.35%+48.07% 12.17B
-0.67%-3.07%+12.44%+15.01% 9.95B
+0.16%-5.56%-3.95%+53.18% 8.85B
0.00%-2.93%-18.31%-17.14% 9.12B
+2.18%+4.41%-38.05%-53.39% 9.05B
Average +0.23%-2.37%+2.93%+40.86% 15.19B
Weighted average by Cap. -0.06%-2.72%+2.65%+21.85%

Financials

2025 2026
Net sales 54.67M 38.99M 33.77M 31.94M 28.91M 54.26M 3.74B 381M 147M 1.9B 146M 143M 6.05B 36.56M 26.08M 22.59M 21.36M 19.34M 36.29M 2.5B 255M 98.06M 1.27B 97.95M 95.78M 4.04B
Net income 52.58M 37.5M 32.48M 30.71M 27.81M 52.19M 3.6B 367M 141M 1.82B 141M 138M 5.82B 34.72M 24.76M 21.45M 20.28M 18.36M 34.46M 2.38B 242M 93.12M 1.2B 93.01M 90.95M 3.84B
Net Debt -2.9M -2.07M -1.79M -1.69M -1.53M -2.88M -198M -20.22M -7.78M -101M -7.77M -7.6M -321M -557K -397K -344K -325K -295K -553K -38.1M -3.88M -1.49M -19.32M -1.49M -1.46M -61.62M
Logo Aims Property Securities Fund
AIMS Property Securities Fund (the Fund) is an Australia-based diversified real estate securities fund, investing across a range of unlisted and listed property securities. The investment objective of Fund is to provide investors with potential long-term capital growth and regular stable income. The Fund manages a portfolio of real estate-related securities, with the objective of providing potential long-term capital growth and regular stable income. The Fund has exposure to domestic and overseas commercial real estate through specialist property investment managers. The Fund invests in a portfolio of property related securities diversified by property sectors, geographic locations and fund managers. The Fund's day-to-day functions and investments are externally managed by the Responsible Entity, AIMS Fund Management Limited.
Employees
-
Date Price Change Volume
26-09-14 A$3.900 0.00% 3,373
26-09-08 A$3.900 -2.01% 460
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