All Metrics
Sector note: Free-cash-flow multiples (P/FCF, FCF yield, FCF growth) are omitted — REITs are evaluated on funds from operations (FFO / AFFO), price-to-AFFO and dividend yield, not GAAP free cash flow.
ARE Valuation Metrics
ARE Stock Price Metrics
ARE Dividend Metrics
ARE Growth Rate Metrics
ARE Discounted Cash Flow Metrics
| Fair Value Price | - |
| Margin of Safety | - |
ARE Revenue Metrics
ARE PE Ratio Metrics
| PE Ratio | 102.59 |
| PE Ratio Avg TTM | 46.99 |
| PE Ratio Avg 3Y | 42.39 |
| Current VS TTM Avg | +118.30% |
| Current VS 3Y Avg | +142.04% |
| Current VS 5Y Avg | +156.77% |
ARE PS Ratio Metrics
| PS Ratio | 3.59 |
| PS Ratio Avg TTM | 3.49 |
| PS Ratio Avg 3Y | 5.47 |
| Current VS TTM Avg | +2.90% |
| Current VS 3Y Avg | -34.39% |
| Current VS 5Y Avg | -55.08% |
ARE PB Ratio Metrics
| PB Ratio | 0.66 |
| PB Ratio Avg TTM | 0.63 |
| PB Ratio Avg 3Y | 0.89 |
| Current VS TTM Avg | +4.51% |
| Current VS 3Y Avg | -25.63% |
| Current VS 5Y Avg | -43.44% |
ARE Debt to Equity Ratio Metrics
| Debt/Equity Ratio | 0.82 |
| Debt/Equity Ratio Avg TTM | 0.81 |
| Debt/Equity Ratio Avg 3Y | 0.72 |
| Current VS TTM Avg | +1.10% |
| Current VS 3Y Avg | +13.42% |
| Current VS 5Y Avg | +19.59% |
ARE PEG Ratio Metrics
| PEG Ratio | - |
| PEG Ratio Avg TTM | 0.12 |
| PEG Ratio Avg 3Y | 0.12 |
| Current VS TTM Avg | - |
| Current VS 3Y Avg | - |
| Current VS 5Y Avg | - |
ARE Earnings Yield
| Earnings Yield | 0.97% |
| Earnings Yield Avg TTM | 2.64% |
| Earnings Yield Avg 3Y | 2.39% |
| Current VS TTM Avg | -63.25% |
| Current VS 3Y Avg | -59.39% |
| Current VS 5Y Avg | -61.22% |
ARE EV/EBIT Ratio Metrics
| Ev/Ebit Ratio | 41.37 |
| Ev/Ebit Ratio Avg TTM | 38.32 |
| Ev/Ebit Ratio Avg 3Y | 43.01 |
| Current VS TTM Avg | +7.95% |
| Current VS 3Y Avg | -3.81% |
| Current VS 5Y Avg | -14.64% |
ARE EV/EBITDA Ratio Metrics
| Ev/Ebitda Ratio | 307.73 |
| Ev/Ebitda Ratio Avg TTM | 92.01 |
| Ev/Ebitda Ratio Avg 3Y | 16.06 |
| Current VS TTM Avg | +234.47% |
| Current VS 3Y Avg | +1815.97% |
| Current VS 5Y Avg | +1489.31% |
ARE EV/Assets Ratio Metrics
| Ev/Assets Ratio | 0.67 |
| Ev/Assets Ratio Avg TTM | 0.64 |
| Ev/Assets Ratio Avg 3Y | 0.76 |
| Current VS TTM Avg | +4.16% |
| Current VS 3Y Avg | -11.46% |
| Current VS 5Y Avg | -25.46% |
ARE EV/Sales Ratio Metrics
| Ev/Sales Ratio | 7.89 |
| Ev/Sales Ratio Avg TTM | 7.80 |
| Ev/Sales Ratio Avg 3Y | 9.61 |
| Current VS TTM Avg | +1.16% |
| Current VS 3Y Avg | -17.92% |
| Current VS 5Y Avg | -35.26% |
ARE Current Ratio Metrics
| Current Ratio | 0.29 |
| Current Ratio Avg TTM | 0.34 |
| Current Ratio Avg 3Y | 0.38 |
| Current VS TTM Avg | -16.13% |
| Current VS 3Y Avg | -24.83% |
| Current VS 5Y Avg | -33.02% |
ARE Quick Ratio Metrics
| Quick Ratio | 0.29 |
| Quick Ratio Avg TTM | 0.34 |
| Quick Ratio Avg 3Y | 0.38 |
| Current VS TTM Avg | -16.13% |
| Current VS 3Y Avg | -24.83% |
| Current VS 5Y Avg | -33.02% |
ARE ROIC Metrics
| ROIC | (4.34%) |
| ROIC Avg 3Y | 0.68% |
| ROIC Avg 5Y | 1.87% |
| Current VS 3Y Avg | -742.96% |
| Current VS 5Y Avg | -332.71% |
| Current VS 10Y Avg | -328.64% |
ARE Return on Assets Metrics
| ROA | (4.20%) |
| ROA Avg TTM | (1.67%) |
| ROA Avg 3Y | (0.40%) |
| Current VS TTM Avg | +151.50% |
| Current VS 3Y Avg | +956.60% |
| Current VS 5Y Avg | -784.78% |
ARE Return on Equity Metrics
| ROE | (9.25%) |
| ROE Avg TTM | (3.72%) |
| ROE Avg 3Y | (1.03%) |
| Current VS TTM Avg | +148.66% |
| Current VS 3Y Avg | +795.88% |
| Current VS 5Y Avg | -1029.65% |
ARE Net Profit Margin Metrics
| Net Profit Margin | 59.37% |
| Net Profit Margin Avg TTM | (26.28%) |
| Net Profit Margin Avg 3Y | 0.96% |
| Current VS TTM Avg | -325.94% |
| Current VS 3Y Avg | +6111.16% |
| Current VS 5Y Avg | +519.69% |
Last Updated: Saturday, June 27, 2026
About Alexandria Real Estate Equities, Inc.
Alexandria Real Estate Equities, Inc. (NYSE:ARE), an S&P 500® real estate investment trust, stands as the pioneering and most seasoned entity in the specialized domain of urban office properties. Since its inception in 1994, Alexandria has uniquely focused on the ownership, operation, and development of integrated campuses tailored for the life science, technology, and agtech sectors, strategically positioned within premier innovation ecosystems. By December 31, 2020, the company commanded a market capitalization of $31.9 billion and managed an extensive North American asset portfolio totaling 49.7 million square feet. This substantial base encompasses 31.9 million RSF of operational properties, 3.3 million RSF of premium Class A spaces currently under construction, 7.1 million RSF designated for near-to-mid-term development and refurbishment, and an additional 7.4 million SF earmarked for future projects. Alexandria has cultivated a significant footprint across vital innovation hubs such as Greater Boston, San Francisco, New York City, San Diego, Seattle, Maryland, and Research Triangle. Its established expertise lies in crafting superior Class A facilities within these urban campuses, fostering dynamic and collaborative environments. These spaces are instrumental in empowering innovative tenants to successfully attract and retain world-class professionals, thereby stimulating productivity, efficiency, creativity, and overall achievement. Furthermore, Alexandria extends its support to transformative life science, technology, and agtech companies through its dedicated venture capital platform. This distinct business model, coupled with rigorous underwriting practices, ensures a diverse and high-caliber tenant roster, ultimately driving elevated occupancy rates, extended lease durations, robust rental revenues, superior financial returns, and enhanced long-term asset appreciation.
- Sector
- Real Estate
- Industry
- REIT - Office
- CEO
- Peter Moglia