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REIT Stocks

🏭 By Sector 20 stocks Updated: 22 May 2026 🌐 DE

Real Estate Investment Trusts — legally required to distribute 90% of taxable income, making them among the most reliable dividend payers in the market.

Results: 20
Total Mkt Cap: $105B
Avg Price: $17.59
Sorted by: Div. Yield ↓
Ticker Company Price Div. Yield P/E Mkt Cap Upside
CTY1S.HE Citycon $2.95 -0.67% 0.31% 2.1x $541.5M
BRSP BrightSpire Capital $5.67 -0.61% 0.11% $738M 14.7%
CHCT Community Healthcare Trust $17.37 -1.98% 0.11% 144.8x $496.3M 6.5%
LADR Ladder Capital $10.13 +1.5% 0.09% 23x $1.29B 21.6%
GNL Global Net Lease $9.34 -0.43% 0.08% $1.98B 8.9%
BRT BRT Realty Trust $14.55 -0.27% 0.07% $273.9M 26%
KREF KKR Real Estate Finance Trust $6.47 +0.94% 0.06% $416M -2.1%
LAND Gladstone Land $9.63 +1.05% 0.06% $415.4M 14.2%
WDP.BR Warehouses De Pauw $22.02 -2.05% 0.06% 13.4x $5.3B 23%
O Realty Income $62.02 -0.34% 0.05% 50.8x $57.83B 10.4%
ALEX Alexander and Baldwin $20.84 +0.05% 0.05% 23.4x $1.52B 0.8%
SAFE Safehold $14.66 +1.38% 0.05% 9.3x $1.05B 28.4%
JBGS JBG SMITH Properties $14.50 +0.69% 0.05% $879.5M 0%
STAG STAG Industrial $38.15 +0.16% 0.04% 29.6x $7.45B 8.7%
EPRT Essential Properties Realty $31.34 -0.14% 0.04% 24.7x $6.79B 18.3%
CAI.VI CA Immobilien $25.25 -1.17% 0.04% 13.4x $2.32B 7.2%
ILPT Industrial Logistics Properties $8.59 -1.09% 0.02% $572.3M 12.4%
VRE Veris Residential $19.00 +0.03% 0.02% 26x $1.94B 4%
MRL.MC Merlin Properties $14.86 +1.02% 0.01% 10.9x $9.2B 14.3%
OPEN Opendoor Technologies $4.53 -0.88% $4.37B 6.4%

Analysis and Context

This sector screener currently shows 20 stocks from the selected industry segment — updated daily. The average P/E ratio is 30.9x. Sectors move through cyclical phases strongly correlated with macro factors — interest rates, GDP growth, commodity prices, and regulatory environment all drive sector dynamics. Analysts see an average of 12.4% upside in these sector names. The average net margin across these companies is 22.8%. Compare metrics against the sector average to identify relative over- and undervaluations. Sector concentration increases portfolio risk — maintain adequate diversification across industries and business models.

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