Valuation: Safehold Inc

Market Cap 109.98Cr 94Cr 88Cr 81Cr 152.23Cr 10TCr 153.73Cr 1.04TCr 405.49Cr 5.29TCr 412.94Cr 403.95Cr 18TCr P/E 2026 *
9.49x
P/E 2027 * 9.11x
Enterprise Value 592.5Cr 507.72Cr 475.74Cr 434.56Cr 820.11Cr 56TCr 828.2Cr 5.61TCr 2.18TCr 28TCr 2.22TCr 2.18TCr 94TCr EV / Sales 2026 *
13.1x
EV / Sales 2027 * 13.1x
Free-Float
77.06%
Yield 2026 *
4.61%
Yield 2027 * 4.67%
Manager TitleAgeSince
Chief Executive Officer 64 31/03/2023
President 44 01/12/2025
Director of Finance/CFO 43 01/02/2022
Director TitleAgeSince
Chairman 64 31/03/2023
Director/Board Member 67 01/08/2017
Director/Board Member 62 31/03/2023
Change 5-day change 1-year change 3-year change Capi.($)
+2.01%+1.82% - - 109.98Cr
+0.03%+0.77%+8.69%+11.24% 1.63TCr
+0.82%+3.16% - - 723.76Cr
+1.02%+1.24%+21.52%+18.47% 694.75Cr
-0.69%-0.16%-1.16%+30.24% 670.01Cr
+0.21%-6.20%-15.34%+13.56% 641.31Cr
-0.07%+1.05%-16.23%-23.85% 622.64Cr
+0.26%+2.75%+2.31%+8.60% 619.61Cr
+0.79%+1.65%+27.42%+37.69% 599.59Cr
-1.32%+8.07%-21.22%-20.21% 536.31Cr
Average +0.39%+0.20%+0.75%+9.47% 748.74Cr
Weighted average by Cap. +0.24%+0.05%+2.48%+10.37%

Financials

2026 *2027 *
Net sales 45Cr 39Cr 36Cr 33Cr 63Cr 4.33TCr 63Cr 429.71Cr 167.28Cr 2.18TCr 170.36Cr 166.65Cr 7.23TCr 48Cr 41Cr 38Cr 35Cr 66Cr 4.53TCr 66Cr 450.47Cr 175.36Cr 2.29TCr 178.59Cr 174.7Cr 7.58TCr
Net income 12Cr 9.97Cr 9.34Cr 8.53Cr 16Cr 1.11TCr 16Cr 110.19Cr 43Cr 559.6Cr 44Cr 43Cr 1.85TCr 12Cr 11Cr 9.88Cr 9.03Cr 17Cr 1.17TCr 17Cr 116.57Cr 45Cr 591.98Cr 46Cr 45Cr 1.96TCr
Net Debt 482.53Cr 413.48Cr 387.43Cr 353.9Cr 667.89Cr 46TCr 674.47Cr 4.57TCr 1.78TCr 23TCr 1.81TCr 1.77TCr 77TCr 512.82Cr 439.44Cr 411.76Cr 376.12Cr 709.82Cr 49TCr 716.82Cr 4.86TCr 1.89TCr 25TCr 1.93TCr 1.88TCr 82TCr
Logo Safehold Inc
Safehold Inc. is a real estate investment trust (REIT). The Company helps owners of multifamily, office, industrial, hospitality, student housing, life science and mixed-use properties to generate higher returns. The Company operates its business through one reportable segment by acquiring, managing and capitalizing ground leases. Its primary investment objective is to construct a diversified portfolio of Ground Leases that is focused on generating attractive quality risk-adjusted returns and support stable and growing distributions to its shareholders. The Company’s portfolio consists of Ground Leases and one master lease (relating to five hotel assets that it refers to as its Park Hotels Portfolio). Its portfolio of properties is located across Manhattan; Washington, District of Columbia (DC); Boston; Los Angeles; San Francisco; Denver; Honolulu; Nashville; Miami and Atlanta.
Employees
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Trader
Investor
Global
Quality
ESG MSCI
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