Valuation: GLP J-REIT

Market Cap 678B 4.19B 3.66B 3.38B 3.12B 5.88B 402B 5.99B 40.33B 15.82B 197B 15.72B 15.38B P/E 2027 *
23.3x
P/E 2028 * 22.1x
Enterprise Value 1,037B 6.4B 5.6B 5.17B 4.78B 9B 615B 9.16B 61.69B 24.2B 301B 24.05B 23.52B EV / Sales 2027 *
17.9x
EV / Sales 2028 * 17.6x
Free-Float
93.69%
Yield 2027 *
4.8%
Yield 2028 * 5.01%
1 day+0.35%
1 week+2.53%
Current month+3.20%
1 month+4.80%
3 months+0.42%
6 months-6.59%
Current year-4.77%
1 week 138,200
Extreme 138200
142,900
1 month 132,300
Extreme 132300
142,900
Current year 127,700
Extreme 127700
152,800
1 year 127,700
Extreme 127700
152,800
3 years 116,500
Extreme 116500
152,800
5 years 116,500
Extreme 116500
205,000
10 years 80,600
Extreme 80600
205,000
Manager TitleAgeSince
Corporate Officer/Principal 49 2022-05-31
Corporate Officer/Principal 42 2024-05-31
Corporate Officer/Principal 52 2011-08-31
Change 5-day change 1-year change 3-year change Capi.($)
+0.35%+2.53%+8.33%+1.07% 4.19B
+0.23%-0.78%+30.31%+11.54% 133B
+0.48%-3.11%-14.52%+41.10% 41.6B
+0.10%-1.57%+25.68%+13.88% 11.34B
-0.54%+0.50%+30.18%+18.14% 8.58B
+2.19%+3.41%-4.21%-35.37% 7.95B
+0.67%+0.56%+8.98%+4.05% 7.52B
+1.21%+3.43%+23.13%+19.13% 7.56B
+0.91%-2.31%+12.81%+27.68% 7.4B
-0.55%+1.83%+13.17%+24.71% 5.9B
Average +0.50%+0.01%+13.38%+12.59% 23.5B
Weighted average by Cap. +0.35%-1.18%+18.69%+16.20%

Financials

2027 *2028 *
Net sales 57.94B 358M 313M 289M 267M 503M 34.36B 512M 3.45B 1.35B 16.83B 1.34B 1.31B 59.06B 365M 319M 295M 272M 513M 35.03B 522M 3.51B 1.38B 17.15B 1.37B 1.34B
Net income 28.86B 178M 156M 144M 133M 250M 17.12B 255M 1.72B 674M 8.38B 669M 655M 30.44B 188M 164M 152M 140M 264M 18.05B 269M 1.81B 710M 8.84B 706M 690M
Net Debt 359B 2.22B 1.94B 1.79B 1.66B 3.12B 213B 3.17B 21.36B 8.38B 104B 8.33B 8.15B 360B 2.23B 1.95B 1.8B 1.66B 3.13B 214B 3.19B 21.44B 8.41B 105B 8.36B 8.18B
Logo GLP J-REIT
GLP J-REIT is a Japan-based closed-end real estate investment trust (REIT). The basic policy is to manage assets primarily as investments in real estate and other assets (real estate, real estate leasehold rights, surface rights, and beneficial interests in trusts that entrust only these assets), investing in the assets targeted for asset management as defined in the regulations, and aiming to secure stable returns over the medium to long term and to achieve steady growth of managed assets. The Fund may invest in preferred securities and limited partnership interests issued by special purpose companies. It primarily invests in real estate-related assets, either as the principal or backed by logistics facilities or real estate associated with or related to logistics facilities. Investment properties include GLP Tokyo, GLP Higashi-Ogishima, GLP Akishima, GLP Tomisato and others. The asset manager of the Fund is GLP Japan Advisors Inc.
Employees
-
Date Price Change Volume
26-07-15 JP¥141,800.00 +0.35% 13,209
26-07-14 JP¥141,300.00 +1.07% 10,829
26-07-13 JP¥139,800.00 +0.43% 8,630
26-07-10 JP¥139,200.00 -0.64% 13,950
26-07-09 JP¥140,100.00 +1.30% 25,203
Trader
Investor
Global
-
Quality
ESG MSCI
A

Quarterly revenue - Rate of surprise

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