Valuation: Custodian Property Income REIT plc

Market Cap 439M 591M 516M 477M 828M 56.9B 846M 5.7B 2.24B 27.87B 2.22B 2.17B 95.94B P/E 2026
7.68x
P/E 2027 * 11.8x
Enterprise Value 273M 367M 321M 296M 514M 35.35B 526M 3.54B 1.39B 17.31B 1.38B 1.35B 59.59B EV / Sales 2026
13.4x
EV / Sales 2027 * 5.68x
Free-Float
94.74%
Yield 2026
7.51%
Yield 2027 * 6.67%

Last Transcript: Custodian Property Income REIT plc

1 day+0.11%
1 week+0.45%
Current month+2.74%
1 month+2.39%
3 months+1.24%
6 months+5.26%
Current year+4.05%
1 week 84.7
Extreme 84.7
91
1 month 83.3
Extreme 83.3
91.9
Current year 76.9
Extreme 76.9
91.9
1 year 74.9
Extreme 74.9
91.9
3 years 63.8
Extreme 63.8
94.9
5 years 63.8
Extreme 63.8
111.2
10 years 63.8
Extreme 63.8
123.27
Manager TitleAgeSince
Chief Executive Officer 55 -
Director of Finance/CFO - -
Chief Investment Officer - 31/12/2011
Director TitleAgeSince
Director/Board Member 57 11/12/2019
Director/Board Member 63 31/03/2021
Director/Board Member 68 31/03/2021
Date Insider Type Main position Quantity % Market Cap.
15/03/22 Buy

Director

25,803 0.0059%
Change 5-day change 1-year change 3-year change Capi.($)
+0.11%+0.45%+10.70%+6.38% 591M
-0.06%+3.79%+16.59%+7.21% 61.27B
+0.10%+1.12%+29.40%+98.72% 17.1B
+1.52%+4.18%+37.47%+22.36% 16.34B
+0.82%+1.23%+12.79%+23.50% 15.22B
+1.61%+4.54%+16.32%+58.61% 12.38B
+0.53%+4.20%+32.47%+25.06% 10.89B
+0.54%-0.13%+30.02%+83.85% 10.65B
+1.21%-0.40%-9.71%-10.68% 9.71B
+0.16%+4.89%-36.34%-57.25% 8.75B
Average +0.65%+2.39%+13.97%+25.78% 16.29B
Weighted average by Cap. +0.49%+2.94%+17.16%+25.44%

Financials

2026 2027 *
Net sales 40.7M 54.76M 47.85M 44.16M 76.71M 5.27B 78.41M 528M 208M 2.58B 206M 201M 8.89B 45.4M 61.08M 53.38M 49.25M 85.57M 5.88B 87.47M 589M 232M 2.88B 229M 224M 9.92B
Net income 36.2M 48.7M 42.56M 39.27M 68.23M 4.69B 69.74M 469M 185M 2.3B 183M 179M 7.91B 37.1M 49.91M 43.62M 40.25M 69.93M 4.81B 71.48M 481M 189M 2.35B 187M 183M 8.1B
Net Debt -166M -224M -196M -181M -314M -21.56B -321M -2.16B -849M -10.56B -841M -822M -36.35B -181M -244M -213M -197M -342M -23.49B -349M -2.35B -925M -11.5B -916M -896M -39.6B
Logo Custodian Property Income REIT plc
Custodian Property Income REIT plc is a United Kingdom-based real estate investment trust. The Company seeks to deliver an enhanced income return by investing in a diversified portfolio of smaller, regional properties let to predominantly institutional grade tenants across the United Kingdom. Its policy is to invest in properties between £2 million - £15 million. It offers investors the opportunity to access a diversified portfolio of the United Kingdom commercial real estate through a closed-ended fund. The Company may use gearing provided that the maximum loan-to-value (LTV) shall not exceed 35%, with a medium-term net gearing target of 25% LTV. It invests in a diverse portfolio of the United Kingdom commercial real estate, principally characterized by smaller, regional, core/core-plus properties. Its property types include office, industrial, retail, retail warehouse and others. The Company's investment manager is Custodian Capital Limited.
Employees
-
Date Price Change Volume
17/07/26 GBX 90.00 +0.11% 434,868
16/07/26 GBX 89.90 +1.01% 935,100
15/07/26 GBX 89.00 -0.22% 449,185
14/07/26 GBX 89.20 +0.45% 281,938
13/07/26 GBX 88.80 -0.89% 226,061
Trader
-
Investor
-
Global
-
Quality
-
ESG MSCI
BBB

Annual profits - Rate of surprise

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