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Valuation: RAM Essential Services Property Fund

Market Cap 225M 159M 137M 127M 118M 222M 15.12B 1.49B 583M 7.36B 597M 584M 25.48B P/E Ratio 2026 *
10.2x
P/E Ratio 2027 * 9.01x
Enterprise Value 486M 343M 296M 273M 255M 478M 32.57B 3.22B 1.26B 15.85B 1.29B 1.26B 54.89B EV / Sales 2026 *
8.96x
EV / Sales 2027 * 8.77x
Free-Float
-
Yield 2026 *
11.1%
Yield 2027 * 10.7%
05-19 RAM Essential Services Property Fund Announces Company Secretary Changes, Effective May 13, 2026 CI
03-22 RAM Essential Services Property Fund Declares Unfranked Dividend for the Quarter Ending March 31, 2026, Payable on April 30, 2026 CI
02-25 RAM Essential Services Property Fund Reports Earnings Results for the Half Year Ended December 31, 2025 CI
12-22 RAM Essential Services Property Fund Declares Dividend for the Quarter Ending December 31, 2025, Payable on January 30, 2026 CI
25-09-30 Tranche Update on RAM Essential Services Property Fund's Equity Buyback Plan announced on November 21, 2023. CI
25-09-28 Ram Essential Services Property Fund appoints Kieran Pryke as new board chair RE
25-09-28 RAM Essential Services Property Fund Appoints New Board Chair MT
25-09-26 RAM Essential Services Property Fund Announces Dividend for the Financial Reporting or Payment Period Ending September 30, 2025, Payable on October 24, 2025 CI
25-08-27 RAM Essential Services Property Fund Reports Earnings Results for the Full Year Ended June 30, 2025 CI
25-08-26 RAM Essential Services Property Fund Appoints Steven Pritchard as an Independent Director, Effective 27 August 2025 CI
25-06-22 Ram Essential Services Property Fund Announces Dividend for the Financial Reporting or Payment Period Ending Ended/Ending June 30, 2025, Payable on July 30, 2025 CI
25-04-10 RAM Essential Services Property Fund Announces Board Changes, Effective April 30, 2025 CI
25-03-30 RAM Essential Services Property Fund's Equity Buyback announced on November 21, 2023, has expired with 10,360,321 shares, for AUD 6.48 million. CI
1 week-1.10%
Current month-4.26%
1 month-5.26%
3 months-10.00%
6 months-23.73%
Current year-23.08%
1 week 0.44
Extreme 0.44
0.46
1 month 0.44
Extreme 0.44
0.48
Current year 0.44
Extreme 0.44
0.58
1 year 0.44
Extreme 0.44
0.65
3 years 0.44
Extreme 0.44
0.76
5 years 0.44
Extreme 0.44
1.05
10 years 0.44
Extreme 0.44
1.05
Manager TitleAgeSince
Chief Executive Officer - 2018-11-02
Director of Finance/CFO - -
Investor Relations Contact - -
Director TitleAgeSince
Chairman - -
Director/Board Member - 2021-10-19
Director/Board Member - 2018-11-02
Date Insider Type Main position Quantity % Market Cap.
25-03-24Buy

Chairman

40,000 0.0080%
25-03-24Buy

Chairman

100,000 0.0199%
25-03-24Buy

Chairman

447,500 0.0890%
Change 5-day change 1-year change 3-year change Capi.($)
0.00%-1.10%-19.64%-30.77% 159M
+1.50%+2.98%+21.11%+9.09% 17.09B
+0.79%+7.81%+3.23%+27.11% 6.9B
+1.75%+2.02%-4.69%+25.32% 6.68B
+2.34%+4.70%+6.66%+9.98% 6.56B
+0.96%+2.79%-22.53%-23.81% 6.32B
+2.48%+3.00%-7.01%+3.98% 5.82B
+2.00%+4.76%+8.12%+24.15% 5.75B
+1.43%+5.99%-25.32%-20.63% 4.93B
+0.86%+2.43% - - 4.82B
Average +1.41%+3.54%-4.45%+2.71% 6.5B
Weighted average by Cap. +1.56%+3.89%+2.18%+8.01%

Financials

2026 *2027 *
Net sales 54.2M 38.23M 33.02M 30.43M 28.48M 53.38M 3.63B 359M 140M 1.77B 143M 140M 6.12B 55.35M 39.04M 33.72M 31.07M 29.08M 54.5M 3.71B 367M 143M 1.81B 147M 143M 6.25B
Net income 10.5M 7.41M 6.4M 5.89M 5.52M 10.34M 704M 69.6M 27.14M 343M 27.79M 27.2M 1.19B 4M 2.82M 2.44M 2.25M 2.1M 3.94M 268M 26.51M 10.34M 131M 10.59M 10.36M 452M
Net Debt 260M 184M 159M 146M 137M 256M 17.45B 1.73B 673M 8.49B 689M 674M 29.41B 260M 183M 158M 146M 136M 256M 17.41B 1.72B 671M 8.47B 687M 673M 29.34B
Logo RAM Essential Services Property Fund
RAM Essential Services Property Fund (the Fund) is an Australia-based stapled real estate investment trust. The Fund consists of a geographically diversified and defensive portfolio of medical and essential retail-based properties, underpinned by a tenant profile including national supermarkets and private hospital operators, and offers growth opportunities through significant value-add development potential. The Fund’s objective is to provide securityholders with stable and secure income with the potential for both income and capital growth through exposure to a defensive portfolio of assets with favorable sector trends. The Fund’s responsible entity is RAM Property Funds Management Ltd. The Fund’s investment manager is RAM Property Investment Management Pty Ltd.
Employees
-
Date Price Change Volume
26-06-12 0.4500 $ 0.00% 604,834
26-06-11 0.4500 $ 0.00% 345,749
26-06-10 0.4500 $ +1.12% 376,343
26-06-09 0.4450 $ -2.20% 1,160,561
26-06-05 0.4550 $ -1.09% 1,235,284
Trader
Investor
Global
Quality
ESG MSCI
-
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
2
Last Close Price
0.4500AUD
Average target price
0.6500AUD
Spread / Average Target
+44.44%

Annual profits - Rate of surprise

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