September 02, 2025 a 09:32 am

Real Estate Stocks - Performance Analysis

Real estate market analysis

The performance of real estate stocks offers crucial insights into market dynamics and investor sentiment. Our analysis covers three key periods, highlighting standout performers and underperformers across major indices. This data-driven approach provides a comprehensive view of market trends and future expectations in the real estate sector.

๐Ÿ“Š Real Estate Stocks Performance One Week

In the one-week period, the real estate sector experienced mixed results with a blend of strong gains and notable declines. Noteworthy performers include PLD and SPG, leading the uptrend while CCI and AMT were amongst the biggest decliners. Investors appear to be selectively bullish within the sector.

Stock Performance (%) Performance
PLD 2.16
SPG 2.15
PSA 1.96
WELL 1.47
EQIX 0.57
DLR -0.15
CBRE -0.79
WY -1.15
AMT -1.72
CCI -2.20
One Week Performance Chart

๐Ÿ“Š Real Estate Stocks Performance One Month

Within the one-month period, the real estate sector saw significant gains driven by strong performances from SPG and PLD. These results suggest a shift towards bullish sentiment, especially in companies well-positioned for growth. On the contrary, CCI and AMT recorded larger losses, indicating sector-specific challenges.

Stock Performance (%) Performance
SPG 11.89
PLD 8.41
PSA 5.57
CBRE 5.32
WY 3.35
EQIX 1.94
WELL 1.32
DLR -2.59
AMT -3.86
CCI -7.39
One Month Performance Chart

๐Ÿ“Š Real Estate Stocks Performance Three Months

Amidst the three-month timeframe, CBRE emerged as the top-tier performer, indicating strong investor confidence in its growth trajectory. SPG and WELL showed noteworthy gains. Conversely, EQIX encountered considerable setbacks, highlighting an area of concern within the sector.

Stock Performance (%) Performance
CBRE 24.86
SPG 11.48
WELL 10.57
PLD 5.47
CCI -0.55
WY -0.81
AMT -4.51
DLR -4.54
PSA -2.42
EQIX -13.52
Three Months Performance Chart

๐Ÿ” Summary

Overall, the real estate sector showcased a mixed performance over the assessed periods. Strong one-month gains in SPG hint at recovering investor confidence, while extended gains in CBRE reflect robust underlying fundamentals. In contrast, significant declines in EQIX suggest emerging vulnerabilities. Investors are advised to diversify within the sector, targeting stocks with proven resilience and growth potential while remaining cautious of sector-specific risks.