The real estate sector has demonstrated significant variability across the short and medium-term horizons. While some stocks displayed robust resilience, others have underperformed, reflecting mixed investor sentiment and market conditions influenced by macroeconomic factors. This analysis aims to highlight these disparities over the past week, month, and quarter, offering insights into the prevailing trends and potential forecasts for stakeholders in the sector.
Stock | Performance (%) | Performance |
---|---|---|
CCI | 1.64% | |
PLD | 0.24% | |
DLR | 0.13% | |
AMT | 0.04% | |
PSA | -0.40% | |
SPG | -1.42% | |
EQIX | -1.80% | |
WELL | -1.98% | |
SPG | -1.42% | |
CBRE | -2.64% | |
WY | -4.49% |
Stock | Performance (%) | Performance |
---|---|---|
AMT | 1.28% | |
PSA | -0.71% | |
WELL | -1.51% | |
DLR | -1.98% | |
CCI | -3.55% | |
EQIX | -6.95% | |
PLD | -8.07% | |
SPG | -8.32% | |
CBRE | -10.77% | |
WY | -15.87% |
Stock | Performance (%) | Performance |
---|---|---|
AMT | 17.25% | |
CCI | 15.77% | |
WELL | 10.04% | |
PSA | -0.22% | |
PLD | -13.57% | |
SPG | -14.23% | |
CBRE | -17.12% | |
WY | -17.40% | |
EQIX | -16.66% | |
DLR | -20.18% |
Real estate stocks have shown divergent performance over the analyzed periods, with certain securities like AMT and CCI displaying consistent strength particularly over the three-month span, while several others have faced notable declines. The weekly data reveals minor positive movements for stocks like PLD and DLR, yet underperformance prevails overall. The monthly and quarterly assessments point towards more significant challenges faced by a majority, reflecting macroeconomic pressure and sector-specific headwinds. Investors are advised to maintain a cautious approach, considering both short-term volatility and long-term growth potential to modulate exposure effectively within the real estate sector.