Valuation: Residential Secure Income plc

Market Cap 102M 137M 120M 111M 193M 13.23B 197M 1.32B 521M 6.48B 516M 505M 22.31B P/E 2024
-10.1x
P/E 2025 -11.7x
Enterprise Value 279M 375M 328M 303M 526M 36.13B 537M 3.62B 1.42B 17.69B 1.41B 1.38B 60.91B EV / Sales 2024
9.81x
EV / Sales 2025 9.49x
Free-Float
91.67%
Yield 2024
7.52%
Yield 2025 7.15%
1 day+0.54%
1 week+1.09%
1 month+4.51%
3 months-0.71%
6 months-5.12%
Current year-3.81%
1 week 53.6
Extreme 53.6
57.35
1 month 52.2
Extreme 52.2
58
Current year 49
Extreme 49
60.4
1 year 49
Extreme 49
62.4
3 years 45
Extreme 45
66.8
5 years 45
Extreme 45
117.5
10 years 45
Extreme 45
117.5
Director TitleAgeSince
Chairman 65 12/03/2018
Director/Board Member 76 08/06/2017
Director/Board Member 71 08/06/2017
Date Insider Type Main position Quantity % Market Cap.
15/12/23 Tax 49,755 0.0269%
15/12/23 Fiscal year 105,861 0.0572%
14/04/23 Free 101,729 0.0549%
Change 5-day change 1-year change 3-year change Capi.($)
+0.72%+1.09%-7.95%-13.40% 138M
-2.19%-0.39%-5.46%-1.54% 27.74B
-1.94%-0.19%+1.90%+1.05% 26.23B
-1.96%-0.82%+1.44%+20.04% 19.11B
-1.76%+0.93%-7.39%-15.44% 18.07B
-2.07%-2.34%-12.33%-13.94% 15.7B
-0.48%+1.88%-2.80%-9.25% 15.03B
-2.30%-0.59%-2.82%-7.81% 13.18B
-0.36%+3.40%+6.28%-2.37% 12.79B
-1.25%+1.89%-6.61%-6.77% 12.36B
Average -1.37%+1.68%-3.57%-4.94% 16.03B
Weighted average by Cap. -1.68%+2.00%-3.01%-3.04%

Financials

2024 2025
Net sales 30.46M 40.98M 35.82M 33.05M 57.42M 3.95B 58.69M 395M 155M 1.93B 154M 151M 6.65B 29.84M 40.15M 35.09M 32.38M 56.25M 3.87B 57.5M 387M 152M 1.89B 151M 147M 6.52B
Net income -10.05M -13.52M -11.81M -10.9M -18.94M -1.3B -19.36M -130M -51.25M -638M -50.77M -49.65M -2.19B -9.13M -12.28M -10.74M -9.91M -17.21M -1.18B -17.59M -118M -46.57M -579M -46.13M -45.12M -1.99B
Net Debt 197M 266M 232M 214M 372M 25.57B 380M 2.56B 1.01B 12.53B 997M 975M 43.12B 177M 238M 208M 192M 333M 22.89B 340M 2.29B 901M 11.21B 893M 873M 38.6B
Logo Residential Secure Income plc
Residential Secure Income plc is a United Kingdom-based real estate investment trust (REIT). The Company is focused on delivering secure, inflation-linked returns in two sub-sectors in United Kingdom residential housing; independent retirement rentals and shared ownership, which are underpinned by an ageing demographic and untapped, strong demand for affordable homes. Its subsidiary, ReSI Housing Limited (ReSI Housing), is registered as a for-profit Registered Provider of social housing and so provides a proposition to its housing developer partners, being a long-term private sector landlord within the social housing regulatory environment. As a Registered Provider, ReSI Housing can acquire affordable housing subject to s106 planning restrictions and housing funded by government grant. The Company's portfolio comprises approximately 2,956 properties. The Company's fund manager is Gresham House Asset Management Limited.
Employees
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Date Price Change Volume
17/07/26 GBX 55.60 +0.72% 162,671
16/07/26 GBX 55.20 -1.08% 537,547
15/07/26 GBX 55.80 +1.09% 2,100,587
14/07/26 GBX 55.20 +0.36% 284,380
13/07/26 GBX 55.00 0.00% 4,442,011
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