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LK

Link Real Estate Investment Trust

LKREFUnited States

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$4.75
-0.42%
End of day
Market Cap

$12.49B

P/E Ratio

N/A

Employees

1,441

Dividend Yield

55.41%

Price Chart

Risk-Adjusted Performance

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Sortino-1.181.020.14
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Sharpe-0.980.670.01
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Link Real Estate Investment Trust (LKREF) Price Performance

Link Real Estate Investment Trust (LKREF) trades on United States in USD. The company is classified in the Real Estate sector under the REIT - Retail industry. The stock currently trades at $4.75, down 0.42% from the previous close.

Over the past year, LKREF has traded between a low of $4.06 and a high of $5.62. The stock has gained 4.5% over this period. It is currently 15.5% below its 52-week high.

Link Real Estate Investment Trust has a market capitalization of $12.49B and a dividend yield of 55.41%.

About Link Real Estate Investment Trust

Link Real Estate Investment Trust (Link REIT) is the largest REIT in Asia by many measures including asset value. Managed by Link Asset Management Limited (Link), a leading, independent and fully-integrated real estate investor and manager focusing on the APAC region, Link REIT has been entirely owned by independent investors since its listing in November 2005 as the first REIT in Hong Kong. After initially acquiring a portfolio of shopping centres and car parks in Hong Kong valued at around HK$33 billion at the time of its IPO, Link has grown and diversified the Link REIT's property portfolio. Today, the portfolio includes retail facilities, car parks, offices, and logistics assets which span Hong Kong, Mainland China, Australia, Singapore, and the UK, with a total valuation of around HK$226 billion (As at 31 March 2025). Link aims to further grow and diversify the Link REIT portfolio to continue delivering resilient returns and growth to Unitholders. Link REIT is a constituent of the Hong Kong securities market benchmark Hang Seng Index, as well as a component of the Dow Jones Sustainability Asia Pacific Index, the FTSE4Good Index Series and the Hang Seng Corporate Sustainability Index. Asset management, portfolio management and capital management are three pillars of our management strengths. We are committed to integrating Environment, Social and Governance (ESG) considerations into our strategy and daily operations.

Company Info

Exchange
United States
Currency
USD

Financial Metrics

Revenue (TTM)
$14.15B
EBITDA
$9.64B
Profit Margin
-48.01%
EPS (TTM)
-0.34
Book Value
7.81

Technical Indicators

52 Week High
$5.67
52 Week Low
$4.06
50 Day MA
$4.61
200 Day MA
$5.06
Beta
0.87

Valuation

Trailing P/E
N/A
Forward P/E
14.12
Price/Sales
0.88
Price/Book
0.61
Enterprise Value
$18.84B