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QuarterlyIQ Insights · EQR

Correlations

How macro factors push and pull this stock, and how its valuation compares to peers and to its own history.

Macro factor sensitivity

Each bar shows how much today's macro reading is pushing the composite (beta × state, in composite-equivalent points). Green helps; red hurts.

as of 2026-06-09
Growth+5.8 pts
beta: 0.20state: 0.29strength: low
Inflation-2.2 pts
beta: 0.10state: -0.22strength: low
Rates+20 pts
beta: -0.55state: -0.37strength: high
Labor+0.2 pts
beta: -0.15state: -0.01strength: low

Top drivers today: Rates +20, Growth +5.8, Inflation -2.2, Labor +0.2

Relative valuation

Higher score = cheaper. Each row scores the stock against either peers or its own history on the named multiple.

vs. Real Estate sector
  • P/E85
  • EV/EBITDA
  • P/S19
  • FCF yield65
  • PEG
  • P/E vs. own history39

Peer composite scores

Top peers in this sector by market cap, with their latest composite score for context.

30 sector peers
  • WELL
    Welltower
    +14
  • PLD
    Prologis
    +13
  • EQIX
    Equinix
    +13
  • AMT
    American Tower
    +32
  • SPG
    Simon Property Group
    +25
  • DLR
    Digital Realty
    +14
  • O
    Realty Income
    +9.3
  • PSA
    Public Storage
    +19
  • CCI
    Crown Castle
    +7.0
  • VTR
    Ventas
    +9.1
  • CBRE
    CBRE Group
    +21
  • IRM
    Iron Mountain
    +13

Sector context

Macro context
+24
Sector context
+19
Combined
+26

Realized vol (252d): 20.1% · Beta (1y, vs XLRE): 1.01

Coming next

A rolling correlation matrix vs. the S&P 500, the sector ETF, and the full peer set is on the way, alongside backtest cohort evidence (historical returns for stocks that previously shared this signal profile).

Not investment advice. Scores describe historical and current data; they are not forecasts of future returns. Consult a licensed advisor before making investment decisions.