Symbol Description Ent Val P/E ROE Div Yield Debt/Equity P/B ProfitMargin Debt/CF H-Rank C-Rank
AIRE reAlpha Tech Corp 57 M       1.9   0.00   71.0 50
ALBT Avalon GloboCare Corp 31 M   -89   48   0.00   72.5 54
ASPS Altisource Portfolio Solutions S A 256 M           -38   86.6 80
BEKE KE Holdings Inc 13 B 21 8.3 17 24 0.23 7.6 1.6 28.2 6
CBRE CBRE Group Inc 33 B 29 11   54 3.4 3.1 10.0 46.3 22
CIGI Colliers International Group Inc 8.7 B 84 8.3 0.25 111 6.7 1.5 12 54.7 31
COMP Compass Inc 1.8 B   -67   123 3.4 -6.6 -20 70.9 52
CSGP CoStar Group Inc 34 B 102 5.3   14 5.2 15 2.2 45.1 18
CWK Cushman & Wakefield plc 5.1 B   -2.1   219 1.3 -0.37 24 64.5 43
DBRG DigitalBridge Group Inc 4.6 B 16 10.0 0.22 16 3.0 22 1.8 34.6 11
DOUG Douglas Elliman Inc 165 M   -17   56 0.62 -4.5 -4.4 56.0 32
DUO Fangdd Network Group Ltd 10 B   -19   0.49 0.01 -14 -0.01 50.6 26
EXPI eXp World Holdings Inc 1.3 B   -3.6 2.1 0.01 5.9 -0.21 0.00 53.7 23
FLJ FLJ Group Limited 1.9 T           0.00   83.3 74
FRPH FRP Holdings Inc 621 M 108 1.1   39 1.4 17 33 50.2 25
FSV FirstService Corporation 9.1 B 74 11 0.53 104 7.3 2.3 5.1 49.8 25
FTHM Fathom Holdings Inc 51 M   -40   31 0.74 -7.0 -1.7 55.8 32
GBR New Concept Energy 4.8 M 25 0.63     1.2 16   62.1 40
GYRO Gyrodyne 37 M 46     69 0.24 -137 -5.2 55.7 29
HOUS Anywhere Real Estate Inc 3.6 B   -5.7   185 0.34 -1.7 16 55.5 30
IRS IRSA Inversiones Y Representaciones S 365 B 3.3 29 1053 38 0.01 136 8.8 10.0 0
JLL Jones Lang LaSalle Incorporated 12 B 39 3.6   48 1.4 1.1 5.4 48.1 23
KW Kennedy Wilson Holdings Inc 6.9 B   -14 11 295 1.2 -56 108 68.5 48
LEJU Leju Holdings Limited 76 M   -88   36 0.50 -16 -0.21 54.9 31
LODE Comstock Inc 31 M 4.1 15   13 0.64 718 -0.80 13.8 0
LRHC La Rosa Holdings Corp 20 M       111 14 -10.0 -0.82 72.7 54
MAYS J W Mays Inc 118 M   -0.90   57 1.7 -2.2 22 62.2 39
MDJH MDJM LTD 13 M   -34     3.4 0.00   78.9 67
MLP Maui Land & Pineapple Company Inc 393 M   -34     12 -129   83.8 75
MMI Marcus & Millichap Inc 955 M   -5.0 1.6 13 1.9 -5.3 -1.2 61.9 39
NEN New England Realty Associates Limited 398 M 30   2.1     11   74.1 58
NMRK Newmark Group Inc 3.8 B 42 4.0 1.1 109 1.5 1.7 -6.6 55.3 32
NYC American Strategic Investment Co Clas 460 M   -13   150 0.05 -66 -58 59.7 35
OMH Ohmyhome Limited 12 M   -157   20 2.8 -79 -0.23 66.4 44
OPAD Offerpad Solutions Inc 397 M   -104   256 2.1 -8.9 1.00 64.1 39
OPEN Opendoor Technologies Inc 3.3 B   -26   262 1.9 -4.0 1.1 62.9 38
RDFN Redfin Corporation 1.5 B   -172   2364 242 -13 17 72.9 55
REAX The Real Brokerage Inc 486 M   -91     13 -4.0   82.0 72
RFL Rafael Holdings Inc 33 M 16 1.9   1.7 0.39 796 -0.23 26.0 8
RMAX RE/MAX Holdings Inc 49 M     9.3   0.33 -21   71.6 53
RMR The RMR Group Inc 400 M 6.6 32 7.0 8.5 1.6 24 0.33 20.7 5
STHO Star Holdings 330 M   -27   44 0.40 -159 -10.0 56.9 33
TCI Transcontinental Realty Investors Inc 476 M 4.8 8.4   21 0.39 141 -5.6 18.4 1
TCN Tricon Residential Inc 8.9 B 27 3.2 2.1 157 0.78 12 44 44.2 20
UK Ucommune International Ltd 223 M   -133   825 0.06 -15 -7.1 60.8 37
WETH Wetouch Technology Inc -50 M   11   1.4   25   53.4 27

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