July 29, 2025 a 09:32 am

Real Estate Stocks - Performance Analysis

Real estate market overview

๐Ÿ“Š The real estate sector has shown significant volatility across different time frames. While short-term fluctuations are apparent, the sector exhibits resilience over longer periods. This analysis reviews the performance of top real estate stocks over 1 week, 1 month, and 3 months, identifying key trends and providing insights to inform investment strategies.

๐Ÿ“ˆ Real Estate Stocks Performance One Week

๐Ÿ—ฃ๏ธ Over the past week, the real estate sector has primarily experienced negative performance. Despite the prevalent downturns, CBRE managed to deliver a positive return, standing out as the week's top performer. The pressure on the market reflects broader economic uncertainties affecting investor sentiment.

Stock Performance (%) Performance
CBRE 2.44
SPG -0.17
EQIX -0.84
WY -1.03
CCI -1.19
WELL -1.72
PSA -1.75
PLD -1.86
DLR -2.02
AMT -3.52
Weekly stock performance chart

๐Ÿ“ˆ Real Estate Stocks Performance One Month

๐Ÿ—ฃ๏ธ Analyzing the past month, several real estate stocks have rebounded markedly. Crown Castle Inc. (CCI) was the standout performer, registering significant gains, while PSA lagged. The positive momentum signifies a potential turnaround as investor confidence slowly returns.

Stock Performance (%) Performance
CCI 8.07
CBRE 5.14
WELL 4.10
AMT 3.08
SPG 3.01
DLR 2.62
PLD 1.61
EQIX 1.18
WY 0.47
PSA -1.27
Monthly stock performance chart

๐Ÿ“ˆ Real Estate Stocks Performance Three Months

๐Ÿ—ฃ๏ธ Examining the quarterly performance, CBRE topped the list with an impressive rally, driven by strategic market positioning and potential sector recovery. Conversely, EQIX underperformed notably, reflecting potential challenges in sustaining asset-based growth amidst market fluctuations.

Stock Performance (%) Performance
CBRE 18.99
DLR 9.31
SPG 5.48
PLD 5.27
CCI 3.45
WELL 4.10
WY 0.68
AMT 0.03
PSA -4.60
EQIX -6.82
Quarterly stock performance chart

โœ… Summary

๐Ÿ” Over recent periods, the real estate sector showed signs of both vulnerability and recovery potential. Short-term negative impacts might mask some underlying growth indicators as demonstrated by strong performances from CBRE and recovery attempts by stocks like CCI. Investors should weigh sector exposure carefully, considering broader economic landscapes and potential for future sector stabilization.