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Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C

Stock
Stock
ISIN: US85254J4094
US85254J4094

Price

Price

Frequently asked questions

What is Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's market capitalization?

The market capitalization of Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C is $6.65B. Market capitalization is a measure of the total market value of a publicly traded company. It is calculated by multiplying the current stock price by the total number of outstanding shares.

What is Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's Price-to-Earnings (P/E) ratio?

The Price-to-Earnings (P/E) ratio (TTM) for Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C is 36.95. This ratio helps investors assess whether a stock is overvalued or undervalued compared to its earnings.

What is the Earnings Per Share (EPS) for Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C?

Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's Earnings Per Share (EPS) over the trailing twelve months (TTM) is 0.987. EPS indicates the company's profitability on a per-share basis.

What are the analyst ratings and target price for Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's stock?

Currently, 13 analysts cover Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's stock, with a consensus target price of $39.55. Analyst ratings provide insights into the stock's expected performance.

What is Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's revenue over the trailing twelve months?

Over the trailing twelve months, Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C reported a revenue of $751.37M.

What is the EBITDA for Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C?

Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's Earnings before interest, taxes, depreciation, and amortization (EBITDA) over the trailing twelve months is $549.49M. EBITDA measures the company's overall financial performance.

What is the free cash flow of Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C?

Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C has a free cash flow of -$412.74M. Free cash flow indicates the cash generated after accounting for cash outflows to support operations and capital assets.

What is the 5-year beta of Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's stock?

The 5-year beta for Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C is 1.08. A beta value indicates the stock's volatility relative to the market; a beta greater than 1 means higher volatility.

How many employees does Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C have, and what sector and industry does it belong to?

Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C employs approximately 95 people. It operates in the Real Estate sector, specifically within the Real Estate Operations industry.

What is the free float of Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C's shares?

The free float of Stag Industrial 6.875 Cumulative Redeemable Pref Shs Series C is 181.95M. Free float refers to the number of shares available for public trading, excluding restricted shares.

Financials

Market Cap

 
$6.65B

5Y beta

 
1.08

EPS (TTM)

 
0.987

Free Float

 
181.95M

P/E ratio (TTM)

 
36.95

Revenue (TTM)

 
$751.37M

EBITDA (TTM)

 
$549.49M

Free Cashflow (TTM)

 
-$412.74M

Analyst Ratings

The price target is $39.55 and the stock is covered by 13 analysts.

Buy

5

Hold

6

Sell

2

Information

STAG Industrial, Inc. is a real estate investment trust (REIT), which is focused on the acquisition, ownership and operation of industrial properties throughout the United States. Its platform is designed to identify properties for acquisition that offer relative value across CBRE-EA Tier 1 industrial property types and tenants through the principled application of its proprietary risk assessment model. Its primary business objectives are to own and operate a balanced and diversified portfolio that fits the needs of the markets it operates in, add value to the assets it acquires, and to enhance stockholder value over time by achieving sustainable long-term growth in distributable cash flow from operations. The Company’s portfolio consists of approximately 574 buildings in 41 states. It has an existing portfolio that includes 20 other properties in the Twin Cities and one in Carlos, Minnesota, spanning a total of nearly 3.5 million square feet.

95

Real Estate Operations

Real Estate

Identifier

ISIN

US85254J4094

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