Activia Properties Toshihojin header image

Activia Properties Toshihojin

3279

Equity

ISIN JP3047490002 / Valor 18493453

Tokyo Stock Exchange (2024-12-25)
JPY 323,500.00+0.62%

Activia Properties Toshihojin
UMushroom community rating:

star star star star star
0.00 0 votes No rating yet
NegativeNeutralPositive

About company

Activia Properties Toshihojin is a Japanese real estate investment trust (REIT) that primarily invests in and manages a diversified portfolio of commercial properties.

Summarized from source with an LLMView SourceSector: Finance

Latest Results (07.08.2024):

Operating Revenue

Activia Properties Toshihojin reported an operating revenue of ¥15,910 million for the fiscal period ended May 31, 2024, reflecting an 8.3% decrease compared to the previous period. This decline in revenue indicates a challenging market environment or potential changes in the portfolio performance.

Operating Profit

The operating profit for Activia Properties Toshihojin in the fiscal period ended May 31, 2024, was ¥8,411 million, which represents a 12.3% decrease from the previous period. This reduction in operating profit suggests increased operational costs or lower revenue generation from the properties under management.

Ordinary Profit

For the fiscal period ended May 31, 2024, Activia Properties Toshihojin recorded an ordinary profit of ¥7,417 million, marking a 14.0% decline from the previous period. The decrease in ordinary profit could be attributed to higher expenses or lower income from investments.

Cash Distributions

Activia Properties Toshihojin declared cash distributions per unit of ¥9,365 for the fiscal period ended May 31, 2024, totaling ¥7,418 million. This payout ratio was 100.0%, indicating that the company distributed all of its earnings to unitholders, maintaining a stable return despite the profit decline.

Financial Position

As of May 31, 2024, Activia Properties Toshihojin's total assets stood at ¥561,792 million, with net assets amounting to ¥268,462 million. The unitholders’ equity to total assets ratio was 47.8%, reflecting a solid financial position and a slight decrease from the previous period's 48.3%.

Summarized from source with an LLMView Source

Key figures

-14.6%1Y
-19.9%3Y
-40.3%5Y

Performance

17.0%1Y
17.9%3Y
28.5%5Y

Volatility

Market cap

1631 M

Market cap (USD)

Daily traded volume (Shares)

1,026

Daily traded volume (Shares)

1 day high/low

323500 / 321500

1 day high/low (USD)

52 weeks high/low

0.00 / 0.00

52 weeks high/low (USD)

Dividend ex-date

01 January, 2022

Dividend ex-date

Dividend

0.00

Dividend (USD)

Dividend yield (p.a.)

0.00%

Dividend yield (p.a.)

0.002022
0.002023
0.002024

Est dividend (USD)

0.00%2022
0.00%2023
0.00%2024

Est dividend yield

P/E ratio

10.00

P/E ratio

00.002022
00.002023
00.002024

Est P/E ratio

EPS

0.00

EPS (USD)

0.002022
0.002023
0.002024

Est EPS (USD)

Ratings & reviews

star star star star star

0.00

0 votes
Performance:
starstarstarstarstar
0.00
Innovation:
starstarstarstarstar
0.00
Society:
starstarstarstarstar
0.00
Nature:
starstarstarstarstar
0.00

EQUITIES OF THE SAME SECTOR

Morgan Stanley
Morgan Stanley Morgan Stanley Valor: 653571
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
2.10%USD 127.06
Charles Schwab Corp
Charles Schwab Corp Charles Schwab Corp Valor: 968789
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.17%USD 74.84
Berkshire Hathaway Inc
Berkshire Hathaway Inc Berkshire Hathaway Inc Valor: 912499
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.80%USD 687,441.80
HSBC Holdings PLC
HSBC Holdings PLC HSBC Holdings PLC Valor: 830650
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
1.15%USD 49.25
American Tower Corp
American Tower Corp American Tower Corp Valor: 14546493
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.18%USD 184.71
Metlife Inc
Metlife Inc Metlife Inc Valor: 1025316
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.66%USD 82.25
Aon PLC
Aon PLC Aon PLC Valor: 51778893
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.93%USD 361.61
Marsh & McLennan Cos Inc
Marsh & McLennan Cos Inc Marsh & McLennan Cos Inc Valor: 949811
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.88%USD 214.04
Intercontinental Exchange Inc
Intercontinental Exchange Inc Intercontinental Exchange Inc Valor: 22339711
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.20%USD 150.46
Truist Financial Corporation
Truist Financial Corporation Truist Financial Corporation Valor: 51326242
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
1.03%USD 43.99