Valuation: ESCON JAPAN REIT Investment Corporation

Market Cap 39.93B 251M 217M 204M 186M 349M 23.91B 355M 2.4B 936M 11.97B 941M 920M P/E 2025
16.5x
P/E 2026 16.7x
Enterprise Value 74.43B 467M 405M 379M 346M 651M 44.57B 661M 4.47B 1.74B 22.31B 1.75B 1.72B EV / Sales 2025
12.1x
EV / Sales 2026 12.9x
Free-Float
81.72%
Yield 2025
6.01%
Yield 2026 6%
1 day+0.64%
1 week-0.45%
Current month-0.98%
1 month-6.11%
3 months-6.42%
6 months-11.79%
Current year-13.99%
1 week 110,000
Extreme 110000
111,800
1 month 109,500
Extreme 109500
119,100
Current year 109,500
Extreme 109500
134,200
1 year 109,500
Extreme 109500
134,200
3 years 107,700
Extreme 107700
134,200
5 years 102,800
Extreme 102800
146,400
10 years 70,900
Extreme 70900
157,900
Manager TitleAgeSince
Director of Finance/CFO - -
Corporate Officer/Principal - 2023-09-30
Corporate Officer/Principal - 2021-09-30
Change 5-day change 1-year change 3-year change Capi.($)
+0.64%-0.45%-11.93%-3.74% 249M
+0.09%-0.51%+9.61%+9.14% 16.29B
+0.46%0.00%+23.72%+14.72% 7.09B
-0.77%-2.29%-2.29%+22.73% 6.99B
+0.81%-0.87% - - 6.94B
+0.08%+1.39%+2.39%+30.37% 6.71B
+0.14%-1.66%-14.43%-23.12% 6.33B
+0.18%-0.31%+2.15%+7.94% 6.13B
+0.37%-0.95%+27.54%+38.14% 6.05B
0.00%-2.21%-23.38%-23.38% 4.93B
Average +0.22%-0.57%+1.49%+8.09% 6.77B
Weighted average by Cap. +0.19%-0.54%+4.86%+10.42%

Financials

2025 2026
Net sales 5.84B 36.67M 31.78M 29.79M 27.17M 51.11M 3.5B 51.93M 351M 137M 1.75B 138M 135M 6.16B 38.63M 33.49M 31.39M 28.62M 53.86M 3.69B 54.72M 370M 144M 1.85B 145M 142M
Net income 2.42B 15.2M 13.17M 12.35M 11.26M 21.19M 1.45B 21.53M 145M 56.77M 726M 57.06M 55.82M 2.71B 16.98M 14.71M 13.79M 12.58M 23.67M 1.62B 24.04M 162M 63.41M 811M 63.73M 62.35M
Net Debt 30.36B 191M 165M 155M 141M 266M 18.18B 270M 1.82B 712M 9.1B 715M 700M 34.5B 216M 188M 176M 160M 302M 20.66B 307M 2.07B 809M 10.34B 813M 795M
Logo ESCON JAPAN REIT Investment Corporation
Escon Japan Reit Investment Corp is a closed-end real estate investment trust (REIT) focused on investing in lifestyle-oriented assets. The Fund aims to achieve stable income over the medium to long term and steady growth of its managed assets through continuous investment. The Fund’s objectivity is to maximize unitholder value by investing primarily in lifestyle-related properties located in Japan’s five major metropolitan areas. The portfolio targets more than 60% in commercial facilities, up to 20% in residential properties and up to 20% of assets that contribute to a sustainable society. Commercial facilities are characterized by providing daily necessities and services, transportation accessibility including proximity to train stations and locations in densely populated residential areas or along major roads. The asset manager of the Fund is ES-CON ASSET MANAGEMENT Ltd.
Employees
-
Date Price Change Volume
26-08-14 JP¥110,700.00 +0.64% 512
26-08-13 JP¥110,000.00 -0.90% 642
26-08-12 JP¥111,000.00 +0.36% 566
26-08-10 JP¥110,600.00 -0.54% 1,311
26-08-07 JP¥111,200.00 +1.00% 681

Quarterly revenue - Rate of surprise

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