Kenedix Office Investment Corporation

Tokyo Stock Exchange 8972.T

Kenedix Office Investment Corporation Price to Sales Ratio (P/S) on January 14, 2025: 15.25

Kenedix Office Investment Corporation Price to Sales Ratio (P/S) is 15.25 on January 14, 2025, a -18.82% change year over year. Price to sales ratio compares the stock price to the sales per share; higher suggests positive sentiment for future revenue growth.
  • Kenedix Office Investment Corporation 52-week high Price to Sales Ratio (P/S) is 18.87 on January 22, 2024, which is 23.71% above the current Price to Sales Ratio (P/S).
  • Kenedix Office Investment Corporation 52-week low Price to Sales Ratio (P/S) is 15.25 on January 14, 2025, which is 0.00% below the current Price to Sales Ratio (P/S).
  • Kenedix Office Investment Corporation average Price to Sales Ratio (P/S) for the last 52 weeks is 16.71.
Key data
Date Price to Sales Ratio (P/S) Price to Book Ratio (P/B) Dividend Yield Free Cash Flow Yield
Market news
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Tokyo Stock Exchange: 8972.T

Kenedix Office Investment Corporation

CEO Mr. Hikaru Teramoto
IPO Date Sept. 29, 2005
Location Japan
Headquarters 2-1-6 Uchisaiwaicho
Employees 33
Sector Finance
Industries
Description

Kenedix Office Investment Corporation ("the Investment Corporation") was established on May 6, 2005, in accordance with the Act on Investment Trusts and Investment Corporations (Act No. 198 of the year 1951, including amendments thereafter) ("Investment Trust Act"). On July 21, 2005, the Investment Corporation was listed on the Real Estate Investment Trust Market of the Tokyo Stock Exchange, Inc. ("the Tokyo Stock Exchange") with a total of 75,400 investment units issued and outstanding (Securities Code: 8972). Subsequently, the Investment Corporation raised funds through eight public offerings and such. As a result, as of the end of the fiscal period under review (October 31, 2020), the number of investment units issued and outstanding totaled 428,510 units. The Investment Corporation entrusts Kenedix Real Estate Fund Management, Inc. ("the Asset Management Company") with its asset management and strives to maximize unitholder profits by securing stable earnings and sustainable growth of investment assets. To this end, the Investment Corporation adopts the basic policy of conducting flexible and dynamic investment that seeks to respond to the environment and market trends, endeavors to ensure a timely response to opportunities, and form a portfolio.

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StockViz Staff

January 15, 2025

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