FIRST REAL ESTATE INVESTMENT TRUST

SGX: AW9U (First Reit)

Last update: 4 hours ago

0.240

-0.01 (-2.04%)

Market Trend

Short Term Medium Term
Industry REIT - Healthcare Facilities (SG) - -
REIT - Healthcare Facilities (Global) Bullish Bearish
Stock First Reit Bullish -

Analyst Consensus

Strong Sell
Sell
Neutral
Buy
Strong Buy

3 Buy

Avg. Price @ Call: 0.257

Similar Stocks

Stock Market Cap DY P/E P/B
FIRST REIT 501 M 4.83% 8.00 0.810
PARKWAYLIFE REIT 2 B 3.16% 21.24 1.51

First Real Estate Investment Trust is a healthcare real estate investment trust focused on investing in diverse yield-accretive healthcare and healthcare-related real estate assets within and outside of Asia. The Trust has a portfolio of 32 properties across Asia. These include 15 properties in Indonesia comprising 11 hospitals, two integrated hospitals & malls, one integrated hospital & hotel, and one hotel & country club; three nursing homes in Singapore; and 14 nursing homes in Japan.

Sector Real Estate
Industry REIT - Healthcare Facilities
Investment Style Small Value

Ownership

Name Date Shares Held
OUE Lippo Healthcare Limited 03 May 2024 677,997,828 (32.47%)
First REIT Management Limited 03 May 2024 206,046,451 (9.87%)
52 Weeks Range
0.205 - 0.270
Price Target Range
0.000 - 0.300
High 0.300 (Lim & Tan Securities, 25.00%) Buy
0.300 (OCBC Investment Research, 25.00%) Buy
0.300 (OCBC Investment, 25.00%) Buy
Median 0.300 (25.00%)
Average 0.300 (25.00%)
Total 3 Buy
Firm Date Target Price Call Price @ Call
Lim & Tan Securities 26 Mar 2024 0.300 (25.00%) Buy 0.250
OCBC Investment 21 Feb 2024 0.300 (25.00%) Buy 0.260
OCBC Investment Research 21 Feb 2024 0.300 (25.00%) Buy 0.260
Name Avg. Buy ($) Avg. Sell ($) Net Quantity Net Value ($)
First REIT Management Limited 0.245 - 4,322,963 1,059,126
Lippo Limited - - 0 0
Aggregate Net Quantity 4,322,963
Aggregate Net Value ($) 1,059,126
Aggregate Avg. Buy ($) 0.245
Aggregate Avg. Sell ($) -
Name Holder Date Type Quantity Price Value ($)
First REIT Management Limited Company 03 May 2024 Acquired (+) 4,322,963 0.245 1,059,126
Lippo Limited Substantial Shareholder 03 May 2024 Others 4,322,963 - -
Date Type Details
07 May 2024 Announcement Disclosure of Interest/ Changes in Interest of Substantial Shareholder(s)/ Unitholder(s)::Notification from Substantial Unitholders
03 May 2024 Announcement Disclosure of Interest/ Changes in Interest of Trustee-Manager/ Responsible Person::Disclosure of Interest/ Changes in Interest of Trustee-Manager/ Responsible Person
03 May 2024 Announcement General Announcement::Payment of management fee by way of issue of units in First Real Estate Investment Trust
03 May 2024 Announcement General Announcement::Payment of management fee by way of issue of units in First Real Estate Investment Trust
24 Apr 2024 Announcement Capital Distribution::Mandatory
24 Apr 2024 Announcement Cash Dividend/ Distribution::Mandatory
24 Apr 2024 Announcement Cash Dividend/ Distribution::Choice
24 Apr 2024 Announcement General Announcement::Business Update for 1Q 2024
22 Apr 2024 Announcement REPL::Annual General Meeting::Voluntary
16 Apr 2024 Announcement REPL::Annual General Meeting::Voluntary
05 Apr 2024 Announcement General Announcement::Date of Release of Business Updates for the First Quarter ended 31 March 2024
02 Apr 2024 Announcement General Announcement::Investor Presentation
28 Mar 2024 Announcement Annual Reports and Related Documents::
28 Mar 2024 Announcement Annual General Meeting::Voluntary
23 Feb 2024 Announcement Disclosure of Interest/ Changes in Interest of Trustee-Manager/ Responsible Person::Disclosure of Interest/ Changes in Interest of Trustee-Manager/ Responsible Person
23 Feb 2024 Announcement General Announcement::Payment of management fee by way of issue of units in First Real Estate Investment Trust
23 Feb 2024 Announcement General Announcement::Payment of management fee by way of issue of units in First Real Estate Investment Trust
20 Feb 2024 Announcement Notice of Valuation of Real Assets::Notice of Valuation of Properties
20 Feb 2024 Announcement WD::Notice of Valuation of Real Assets::Notice of Valuation of Properties
20 Feb 2024 Announcement Notice of Valuation of Real Assets::Notice of Valuation of Properties
20 Feb 2024 Announcement Capital Distribution::Mandatory
20 Feb 2024 Announcement Cash Dividend/ Distribution::Mandatory
20 Feb 2024 Announcement Cash Dividend/ Distribution::Choice
20 Feb 2024 Announcement Financial Statements and Related Announcement::Full Yearly Results
20 Feb 2024 TheEdge First REIT FY2023 DPU down 6.1% y-o-y to 2.48 cents
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TTM Dividend Yield 4.83%
5Y Average Dividend Yield 4.90%
Ex Date Announcement Date Payment Date Details
07 May 2024 24 Apr 2024 21 Jun 2024 0.0003 Cash (3 Cash Options)
07 May 2024 24 Apr 2024 21 Jun 2024 0.0026 Cash
27 Feb 2024 20 Feb 2024 28 Mar 2024 0.0003 Cash (3 Cash Options)
27 Feb 2024 20 Feb 2024 28 Mar 2024 0.0025 Cash
08 Nov 2023 01 Nov 2023 22 Dec 2023 0.0027 Cash
08 Nov 2023 01 Nov 2023 22 Dec 2023 0.0003 Cash (3 Cash Options)
08 Aug 2023 01 Aug 2023 25 Sep 2023 0.0003 Cash (3 Cash Options)
08 Aug 2023 01 Aug 2023 25 Sep 2023 0.0025 Cash
09 May 2023 25 Apr 2023 26 Jun 2023 0.0002 Cash (3 Cash Options)
09 May 2023 25 Apr 2023 26 Jun 2023 0.0028 Cash
21 Feb 2023 13 Feb 2023 30 Mar 2023 0.0033 Cash
21 Feb 2023 13 Feb 2023 30 Mar 2023 0.0003 Cash (3 Cash Options)
15 Nov 2022 08 Nov 2022 23 Dec 2022 0.0003 Cash (3 Cash Options)
15 Nov 2022 08 Nov 2022 23 Dec 2022 0.0029 Cash
12 Aug 2022 29 Jul 2022 26 Sep 2022 0.0032 Cash
12 Aug 2022 29 Jul 2022 26 Sep 2022 0.0003 Cash (3 Cash Options)
17 May 2022 06 May 2022 24 Jun 2022 0.001 Cash
17 May 2022 06 May 2022 24 Jun 2022 0.0004 Cash (3 Cash Options)
18 Feb 2022 10 Feb 2022 29 Mar 2022 0.0004 Cash (3 Cash Options)
18 Feb 2022 10 Feb 2022 29 Mar 2022 0.0014 Cash
03 Nov 2021 26 Oct 2021 17 Dec 2021 0.0004 Cash (3 Cash Options)
03 Nov 2021 26 Oct 2021 17 Dec 2021 0.0004 Cash
12 Aug 2021 29 Jul 2021 24 Sep 2021 0.0004 Cash (3 Cash Options)
17 May 2021 04 May 2021 28 Jun 2021 0.0005 Cash (3 Cash Options)
26 Jan 2021 14 Jan 2021 24 Mar 2021 0.001 Cash (3 Cash Options)
18 Nov 2020 10 Nov 2020 23 Dec 2020 0.0012 Cash
18 Nov 2020 10 Nov 2020 23 Dec 2020 0.0014 Cash (3 Cash Options)
06 Aug 2020 22 Jul 2020 25 Sep 2020 0.0002 Cash (3 Cash Options)
13 May 2020 06 May 2020 18 Jun 2020 0.0007 Cash (3 Cash Options)
13 May 2020 06 May 2020 18 Jun 2020 0.0102 Cash
05 Feb 2020 29 Jan 2020 13 Mar 2020 0.0009 Cash (3 Cash Options)
05 Feb 2020 29 Jan 2020 13 Mar 2020 0.0115 Cash
13 Nov 2019 06 Nov 2019 17 Dec 2019 0.0009 Cash (3 Cash Options)
13 Nov 2019 06 Nov 2019 17 Dec 2019 0.0115 Cash
14 Aug 2019 05 Aug 2019 17 Sep 2019 0.0118 Cash
14 Aug 2019 05 Aug 2019 17 Sep 2019 0.0007 Cash (3 Cash Options)
17 Apr 2019 10 Apr 2019 30 May 2019 0.0117 Cash
17 Apr 2019 10 Apr 2019 30 May 2019 0.0008 Cash (3 Cash Options)
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Annual Dividend Yield

Year Annual Dividend ($) Frequency/Year Yield %
2024 0.006 4 2.38
2023 0.012 8 4.68
2022 0.010 8 3.81
2021 0.003 5 0.89
2020 0.026 7 12.76
2019 0.037 6 3.76
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The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

Portfolio

Template

Your price alert

Risk Profile

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Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
Partial Profit (TP1)
Target Profit (TP2)
Maximum Loss (SL)

Disclaimer: The above is for illustrative purposes only and is NOT investment advice. Seek advice from a qualified financial professional.

Entry Price (EP)

Take Profit 1 (TP1)

Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
52WL
 
52WH
SL
EP
TP1
TP2

All alert prices are within 52 weeks price range

Realized Profit -
Unrealized Profit -
Dividend Received 2024 -
Total Profit -
Avg. Return -
Quantity (Buy) -
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Quantity (Sold) -
Avg. Price (Sold) -
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