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Business Units or Product Lines |
Camden Property Trust is primarily focused on the ownership, development, construction, and management of multifamily apartment communities. Its product lines include operational apartment communities, communities under development, and land holdings for future development. |
Business Models for Each Product Line |
Revenue is primarily generated through tenant rents from apartment leases. Major expenses include property management costs, maintenance, development costs for new properties, and administrative expenses. A portion of revenue is also reinvested into property enhancements to maintain or improve rental rates. |
Future Opportunities for Growth |
Growth opportunities include expanding into high-growth markets, developing new properties in areas with strong rental demand, and upgrading existing properties to increase rent potential. Strategic acquisitions can also drive future growth. |
Potential Major Risks |
Major risks include economic downturns affecting rental rates and occupancy, increases in interest rates which could raise development and borrowing costs, regulatory changes in real estate markets, and natural disasters that could impact property values or rental income. |
Learn More about Camden Property Trust:
Company Insights by Algobear (ChatGPT);
Tell me more about Camden Property Trust's latest earnings (CPT:Nyse)
Who are some of Camden Property Trust's competitors? (CPT:Nyse)
Are analysts bullish on Camden Property Trust? Please show it in a table format. (CPT:Nyse)
Also read:
https://finance.yahoo.com/CPT/profile
Market Cap-Display | Market Cap-Actual | Market Cap | Enterprise Value-Display | Enterprise Value-Actual | Enterprise Value | Trailing P/E | Forward P/E | Price/Sales | Price/Book | Enterprise Value/Revenue | Enterprise Value/EBITDA | Profit Margin | Operating Margin | Return on Assets | Return on Equity | Revenue-Display | Revenue-Actual | Revenue | Quarterly Revenue Growth | EBITDA-Display | EBITDA-Actual | EBITDA | Diluted EPS | Quarterly Earnings Growth | Total Cash-Display | Total Cash-Actual | Total Cash | Total Debt-Display | Total Debt-Actual | Total Debt | Total Debt/Equity | Current Ratio | Operating Cash Flow-Display | Operating Cash Flow-Actual | Operating Cash Flow | Levered Free Cash Flow-Display | Levered Free Cash Flow-Actual | Levered Free Cash Flow | % Held by Insiders | % Held by Institutions |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
12.22 B | 12220000000.0 | 12.22 | 15.68 B | 15680000000.0 | 15.68 | 74.85 | 72.99 | 7.89 | 2.61 | 10.16 | 17.71 | 10.50% | 18.68% | 2.07% | 3.49% | 1.56 B | 1560000000.0 | 1.56 | -0.30% | 880.0 mn | 883700000.0 | 0.88 | 1.5 | -81.70% | 20.0 mn | 21050000.0 | 0.02 | 3.49 B | 3490000000.0 | 3.49 | 0.7349 | 0.11 | 770.0 mn | 774880000.0 | 0.77 | 680.0 mn | 677360000.0 | 0.68 | 1.42% | 96.51% |
source:https://finance.yahoo.com/CPT/key-statistics
source:https://www.google.com/finance/quote/CPT:NYSE
source:https://finance.yahoo.com/CPT/analysis
source:https://finance.yahoo.com/CPT/fair-value
source:https://www.nasdaq.com/market-activity/stocks/CPT/price-earnings-peg-ratios
Key | Weighted | 5D | 1M | 3M | 6M | 1Y | 3Y | 10Y |
---|---|---|---|---|---|---|---|---|
Upside % (high) | 9.89% | 3.01% (116.01) | 10.39% (124.32) | 11.89% (126.01) | 13.35% (127.65) | 13.38% (127.69) | 51.52% (170.64) | 60.16% (180.37) |
Downside % (low) | 6.82% | 0.56% (111.99) | 9.12% (102.35) | 9.12% (102.35) | 9.12% (102.35) | 13.62% (97.28) | 26.47% (82.81) | 44.52% (62.48) |
Spread % | 3.06% | 2.45% | 1.27% | 2.77% | 4.23% | -0.24% | 25.05% | 15.64% |
CPT's price used for computing the stats is 112.6202 as on date
Key | Today | 5D | 2W | 1M | 3M | 6M | 1Y | 3Y | 10Y |
---|---|---|---|---|---|---|---|---|---|
Last Price-Trend PrevClose | -1.4% | 1.63% | 4.35% | -7.85% | 1.48% | -5.89% | 13.92% | -34.0% | 46.74% |
Last Price | 112.6202 | 112.6202 | 112.6202 | 112.6202 | 112.6202 | 112.6202 | 112.6202 | 112.6202 | 112.6202 |
Trend-Previous Close | 114.22 | 110.81 | 107.93 | 122.21 | 110.98 | 119.67 | 98.86 | 170.63 | 76.75 |
CPT's symbol cumulative return percent is computed basis data from date
5D | 2W | 1M | 3M | 6M | 1Y | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
5D window |
5D Opportunity:
returns:
1.63%
(3.69%),
p.close: 110.81
entry:
114.9,
exit:
114.9,
min.ret:
0.0%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
1.63%
(4.99%),
p.close: 110.81
entry:
116.34,
exit:
116.27,
min.ret:
0.06%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
1.63%
(3.99%),
p.close: 110.81
entry:
115.23,
exit:
118.59,
min.ret:
-2.92%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
1.63%
(4.12%),
p.close: 110.81
entry:
115.38,
exit:
117.36,
min.ret:
-1.72%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
1.63%
(4.0%),
p.close: 110.81
entry:
115.25,
exit:
116.28,
min.ret:
-0.9%
Using: 5D trend, 0 Days Left
|
5D Opportunity:
returns:
1.63%
(4.34%),
p.close: 110.81
entry:
115.62,
exit:
116.32,
min.ret:
-0.61%
Using: 5D trend, 0 Days Left
|
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2W window |
2W Opportunity:
SELL-APPROACHING
returns:
4.35%
(6.86%),
p.close: 107.93
entry:
115.33,
exit:
118.22,
min.ret:
-2.51%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
SELL-APPROACHING
returns:
4.35%
(5.44%),
p.close: 107.93
entry:
113.8,
exit:
116.3,
min.ret:
-2.19%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
SELL-APPROACHING
returns:
4.35%
(6.2%),
p.close: 107.93
entry:
114.63,
exit:
116.62,
min.ret:
-1.74%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
SELL-APPROACHING
returns:
4.35%
(5.75%),
p.close: 107.93
entry:
114.14,
exit:
114.58,
min.ret:
-0.38%
Using: 2W trend, 0 Days Left
|
2W Opportunity:
SELL-APPROACHING
returns:
4.35%
(6.34%),
p.close: 107.93
entry:
114.78,
exit:
115.42,
min.ret:
-0.56%
Using: 2W trend, 0 Days Left
|
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1M window |
1M Opportunity:
returns:
-7.85%
(-14.07%),
p.close: 122.21
entry:
105.01,
exit:
108.11,
min.ret:
2.95%
Using: 1M trend, 0 Days Left
|
1M Opportunity:
BUY-APPROACHING
returns:
-7.85%
(-11.04%),
p.close: 122.21
entry:
108.72,
exit:
111.14,
min.ret:
2.23%
Using: 1M trend, 0 Days Left
|
1M Opportunity:
BUY-APPROACHING
returns:
-7.85%
(-10.73%),
p.close: 122.21
entry:
109.1,
exit:
110.38,
min.ret:
1.17%
Using: 1M trend, 0 Days Left
|
1M Opportunity:
BUY-APPROACHING
returns:
-7.85%
(-8.9%),
p.close: 122.21
entry:
111.34,
exit:
113.66,
min.ret:
2.08%
Using: 1M trend, 0 Days Left
|
CPT's symbol current price is 112.62 (-1.4%) as on . Yesterday's close was 114.22. It's return velocities are computed basis data from date .