Edition:
India

American Assets Trust Inc (AAT.N)

AAT.N on New York Stock Exchange

45.12USD
19 Mar 2019
Change (% chg)

$-0.55 (-1.20%)
Prev Close
$45.67
Open
$45.67
Day's High
$45.71
Day's Low
$45.10
Volume
74,129
Avg. Vol
75,424
52-wk High
$46.62
52-wk Low
$31.70

Revenue & Earnings Per Share

    Revenue* Earnings Per Share**
FY 2018 Dec '18 82.61 0.142
Sep '18 82.51 0.221
Jun '18 85.02 0.065
Mar '18 80.73 -0.010
FY 2017 Dec '17 81.75 0.148
Sep '17 82.34 0.194
Jun '17 77.11 0.117
Mar '17 73.79 0.160
 
*Note: Units in Millions ofU.S. Dollars
**Note: Units in U.S. Dollars

Consensus Estimates Analysis

  # of Estimates Mean High Low 1 Year Ago
SALES (in millions)
Quarter Ending Mar-19 3 82.39 83.75 80.90 83.99
Quarter Ending Jun-19 3 82.42 84.20 79.50 84.59
Year Ending Dec-19 4 335.79 351.00 320.38 336.20
Year Ending Dec-20 5 350.46 381.00 328.79 337.77
Earnings (per share)
Quarter Ending Mar-19 1 0.05 0.05 0.05 0.18
Quarter Ending Jun-19 1 0.07 0.07 0.07 0.19
Year Ending Dec-19 1 0.30 0.30 0.30 0.81
Year Ending Dec-20 1 0.51 0.51 0.51 0.90
Sales and Profit Figures in US Dollar (USD);

Valuation Ratios

Dividends

Growth Rates

Financial Strength

Profitability Ratios

Efficiency

Management Effectiveness

  1 Year 3 Year 5 Year
Sales % 7.06 4.98 7.79
EPS (TTM) % -16.63 39.53 --
Dividend % 6.60 5.92 4.77
Note: Units in Millions of US Dollars

Performance for American Assets Trust Inc

Period %
Actual
% vs.
S&P 500
Rank In
Industry
Industry
Rank
4 Week -1.11 -4.51 73 --
13 Week 2.57 -2.42 99 --
26 Week -4.00 -11.30 83 --
52 Week -1.08 -16.16 88 --
YTD -6.52 -17.91 69 --
Note:: Rank is a percentile that ranges from 0 to 99, with 99 = best.

Institutional Holders

% Shares Owned: 0.00%
# of Holders: 283
Total Shares Held: 47,633,886
3 Mo. Net Change: 472,946
# New Positions: 37
# Closed Positions: 20
# Increased Positions: 129
# Reduced Positions: 104
# Net Buyers: 25
NYSE and AMEX quotes delayed by at least 20 minutes. NASDAQ delayed by at least 15 minutes. For a complete list of exchanges and delays, please click here.