August 12, 2025 a 09:32 am

Real Estate Stocks - Performance Analysis

Real Estate Sector Performance Overview

๐Ÿ“Š The real estate sector has exhibited diverse performance across different timeframes. Various factors including market dynamics, macroeconomic influences, and company-specific developments have factored into these stock movements. In the upcoming sections, we will delve into the short-term (1W), medium-term (1M), and long-term (3M) performances of major real estate stocks, shedding light on top performers and noteworthy trends.

Real Estate Stocks Performance One Week

๐Ÿ—ฃ๏ธ Over the past week, most stocks in the real estate sector experienced negative returns. This may be attributed to broader market concerns or sector-specific challenges. However, EQIX showed some resilience with the least negative impact among its peers.

Stock Performance (%) Performance
EQIX -0.27%
PSA -0.73%
WELL -0.97%
CCI -1.10%
AMT -1.90%
CBRE -1.92%
DLR -1.99%
WY -2.01%
SPG -2.44%
PLD -2.77%
One Week Performance Chart

Real Estate Stocks Performance One Month

๐Ÿ“ˆ The one-month period painted an optimistic picture for some real estate stocks, with CBRE leading the way with impressive gains. Interestingly, while CBRE and WELL posted significant growth, PERFORMANCE of other stocks varied widely with some positive and some negative.

Stock Performance (%) Performance
CBRE 9.24%
WELL 8.19%
EQIX 2.76%
SPG 2.28%
DLR 0.30%
CCI 1.30%
PLD -4.52%
PSA -3.00%
WY -3.66%
AMT -5.91%
One Month Performance Chart

Real Estate Stocks Performance Three Months

๐Ÿ“‰ Examining the three-month time frame, CBRE has emerged as the standout performer with remarkable gains, showcasing robust performance. Conversely, EQIX struggled with notable declines, influenced by sectoral shifts and macroeconomic factors.

Stock Performance (%) Performance
CBRE 18.24%
WELL 16.34%
CCI 6.02%
SPG 2.82%
DLR 2.16%
AMT 1.28%
WY -2.12%
PLD -2.76%
PSA -5.83%
EQIX -8.74%
Three Months Performance Chart

Summary

๐Ÿ” In summary, the real estate sector displayed varied performance across different examined timeframes. Noteworthy, CBRE delivered robust results over several periods, illustrating its strength and market positioning. On the other hand, EQIX faced some challenges, which may warrant investor caution. Overall, the sector remains susceptible to macroeconomic trends, presenting both opportunities and risks. Investors are advised to stay informed about broader market conditions and company-specific news.