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Brixmor Property Group Inc

Brixmor Property Group Inc (BRX)

24.72
0.16
(0.65%)
At close: July 29 4:00PM
24.40
-0.32
( -1.29% )
After Hours: 5:48PM

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Key stats and details

Current Price
24.40
Bid
-
Ask
-
Volume
2,184,322
24.47 Day's Range 24.905
19.46 52 Week Range 24.97
Market Cap
Previous Close
24.56
Open
24.56
Last Trade
383993
@
24.72
Last Trade Time
18:30:00
Financial Volume
$ 54,067,579
VWAP
24.7526
Average Volume (3m)
1,937,882
Shares Outstanding
301,298,764
Dividend Yield
4.42%
PE Ratio
24.41
Earnings Per Share (EPS)
1.01
Revenue
1.25B
Net Profit
305.09M

About Brixmor Property Group Inc

Brixmor Property Group Inc is a real estate investment trust based in the United States. The company owns and operates a portfolio of grocery-anchored community and neighborhood shopping centers across the United States. It leases its rentable areas to retailers, restaurants, theatres, entertainment... Brixmor Property Group Inc is a real estate investment trust based in the United States. The company owns and operates a portfolio of grocery-anchored community and neighborhood shopping centers across the United States. It leases its rentable areas to retailers, restaurants, theatres, entertainment venues, and fitness centers, with the company's tenants consisting of large department stores, discount retailers, and grocery stores. Show more

Sector
Real Estate Investment Trust
Industry
Real Estate Investment Trust
Website
Headquarters
Baltimore, Maryland, USA
Founded
1970
Brixmor Property Group Inc is listed in the Real Estate Investment Trust sector of the New York Stock Exchange with ticker BRX. The last closing price for Brixmor Property was $24.56. Over the last year, Brixmor Property shares have traded in a share price range of $ 19.46 to $ 24.97.

Brixmor Property currently has 301,298,764 shares outstanding. The market capitalization of Brixmor Property is $7.40 billion. Brixmor Property has a price to earnings ratio (PE ratio) of 24.41.

BRX Latest News

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 29 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 26/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 26 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 25/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 25 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 24/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 24 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 23/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 23 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 22/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 22 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 19/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 19 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 18/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 18 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 17/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 17 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 16/07/2024 IE00B1XNH568...

iShares II FTSE MIB UCITS (Dist) Net Asset Value(s)

iShares II FTSE MIB UCITS (Dist) 16 July 2024   Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV/per share Base iShares FTSE MIB UCITS ETF EUR (Dist) 15/07/2024 IE00B1XNH568...

PeriodChangeChange %OpenHighLowAvg. Daily VolVWAP
10.030.12310217480524.3724.9724.085240058624.39783811CS
41.426.1792863359422.9824.9722.385186433523.69875059CS
122.049.1234347048322.3624.9721.32193788222.75496797CS
261.77.4889867841422.724.9720.795232519922.5373301CS
521.818.0123948649822.5924.9719.46234494122.1894738CS
1561.87.9646017699122.627.1917.62230644122.60269586CS
2606.0532.97002724818.3527.197.51256850319.6853515CS

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