Valuation: Choice Properties Real Estate Investment Trust

Capitalization 4.99B 3.65B 3.11B 2.86B 2.7B 342B 5.1B 33.55B 13.21B 164B 13.69B 13.41B 582B P/E ratio 2026 *
-
P/E ratio 2027 * -
Enterprise value 12.71B 9.3B 7.94B 7.28B 6.89B 873B 12.99B 85.51B 33.69B 418B 34.89B 34.18B 1,483B EV / Sales 2026 *
8.09x
EV / Sales 2027 * 7.79x
Free-Float
38.14%
Yield 2026 *
5.13%
Yield 2027 * 5.2%
1 day-0.46%
1 week-6.55%
Current month-1.50%
1 month-1.18%
3 months-3.20%
6 months+0.13%
Current year+2.16%
1 week 15.1
Extreme 15.1
16.51
1 month 15.1
Extreme 15.1
16.51
Current year 14.74
Extreme 14.74
16.51
1 year 14.09
Extreme 14.09
16.51
3 years 11.79
Extreme 11.79
16.51
5 years 11.79
Extreme 11.79
16.51
10 years 10.58
Extreme 10.58
16.51
Manager TitleAgeSince
Chief Executive Officer 49 2019-04-30
Director of Finance/CFO - -
Chief Investment Officer - 2018-04-30
Director TitleAgeSince
Director/Board Member 49 2023-04-24
Director/Board Member 69 2018-04-30
Director/Board Member - 2017-12-31
Change 5d. change 1-year change 3-years change Capi.($)
-0.46%-6.55%+3.77%+2.86% 3.65B
-1.00%-0.92%+8.29%+2.06% 59.68B
+0.43%+1.11%+46.23%+117.63% 17.75B
+0.81%+4.62%+18.57%+23.27% 14.79B
-0.20%+0.88%+3.72%-11.38% 13.07B
+0.40%-0.23%+12.36%+60.57% 11.77B
+0.53%-1.12%+55.64%+92.09% 10.89B
+0.39%+0.39%-1.91%-10.76% 10.03B
-1.02%+0.02%+17.74%+14.78% 9.6B
-2.55%-2.23%-38.96%-62.47% 8.28B
Average -0.24%+1.12%+12.55%+22.86% 15.95B
Weighted average by Cap. -0.37%+1.07%+14.00%+22.88%

Financials

2026 *2027 *
Net sales 1.57B 1.15B 982M 901M 852M 108B 1.61B 10.58B 4.17B 51.7B 4.32B 4.23B 183B 1.65B 1.21B 1.03B 943M 892M 113B 1.68B 11.08B 4.36B 54.15B 4.52B 4.43B 192B
Net income - -
Net Debt 7.72B 5.65B 4.82B 4.43B 4.19B 530B 7.9B 51.97B 20.47B 254B 21.21B 20.77B 901B 7.85B 5.75B 4.9B 4.5B 4.25B 539B 8.02B 52.81B 20.8B 258B 21.55B 21.11B 916B
Logo Choice Properties Real Estate Investment Trust
Choice Properties Real Estate Investment Trust is an open-ended mutual fund trust. The Company operates as a premier diversified real estate investment trust, which is the owner, manager and developer of a portfolio of commercial retail, industrial, mixed-use and residential properties across Canada. Its retail portfolio is primarily leased to grocery stores, pharmacies, and other necessity-based tenants. Its industrial portfolio is centered on large, purpose-built distribution facilities for Loblaw and generic industrial assets that accommodate the diverse needs of a range of tenants. The Company operates over 700 income producing properties having 60 million square feet of gross leasable area.
Employees
285
Date Price Change Volume
26-04-22 15.13 $ -0.46% 351,350
26-04-21 15.20 $ -1.36% 1,015,105
26-04-20 15.41 $ -2.41% 1,176,290
26-04-17 15.79 $ -2.11% 1,508,302
26-04-16 16.13 $ -0.37% 2,585,981
Trader
-
Investor
-
Global
-
Quality
-
ESG MSCI
BBB
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
9
Last Close Price
15.20CAD
Average target price
16.94CAD
Spread / Average Target
+11.48%

Quarterly revenue - Rate of surprise

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