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IRM

Iron Mountain

NYSEReal EstateReit - SpecialtySnapshot 2026-05-08

$128.84+1.60%
Close 2026-05-08 · 1-day change
The bottom line

As of May 8, 2026, IRM has a composite score of 17.2 and a signal label of "mild favorable." This score is influenced by a medium confidence level of 73.9 and reflects various factors, including macroeconomic conditions and sector trends. The top drivers include macro rates, growth, labor, and inflation. The analysis is provisional.

Composite +17as of 2026-05-08

Price

Daily closes from AlphaVantage. Earnings/event dots are placed inline.

Close 2026-05-08
Daily closes. Scroll over the chart to zoom; click a range to reset.
EarningsMaterial event

Factor signals

Read top-to-bottom: thesis (is this a strong company over a 1–3 year hold), watch flags (has something changed worth re-reading), and position context (how violent might the path be). Each pill is a parallel diagnostic — never aggregated into a single score.

L1

Thesis

is this a strong company over a 1–3 year hold?
F1 · Recent financial performance
neutral
Mid-cohort
Why this rank
  • Direction share
    1.00
  • Slope (norm)
    -0.04
  • Bonus
    0.00
Operating income, last 4 quarters ($M)
246260309195
F2 · Value
expensive
Most expensive 10% of real estate cohort
Why this rank
Price
$128.84
TTM EPS
$0.27
Earnings yield
0.2%
P/E (TTM)
477.2

Trailing four: 2024-Q3, 2025-Q1, 2025-Q2, 2025-Q3

F3 · Earnings quality
robust
Top 20% cash conversion in real estate cohort
Why this rank
TTM NI ($M)
184
TTM CFO ($M)
1,197
CFO/NI
6.52
L2

Watch

has something changed worth re-reading?
F4 · Management stability
Insufficient data
No score yet
Earnings setup · pre-print positioning
forward-looking
bullish6 analysts, 91% Buyfor period ending 2026-06-30
Why this setup
Consensus revisions

EPS estimate $0.55 → $0.56 (+0.8% / 30d). 3 raised, 3 cut, 6 covering analysts.

Rating actions

0 upgrades, 0 downgrades / 30d, 2 maintained. 91% of analysts rate Buy.

Price target activity

1 PT revisions / 30d. Avg target 10.5% above current price.

Material events

1 positive, 0 negative / 30d. See F4 management tile for the event list.

L3

Position context

how violent might the path be while I hold it?
Risk profile · realized
backward-looking
moderateworst 12m loss −25%, typical day ±1.3%
Why this risk level

Recent vol — 30d annualized 40%; 252d 31%.

Drawdown — Max 1y −25%. Bad day move −3%.

Beta to sector ETF (XLRE) 1.37 over 1y.

Liquidity — score 100/100.

Sub-scores — vol 48/100, drawdown 50/100, beta 63/100, earnings vol .

Sector regime
headwind-3.1%sector vs S&P 500, 60d

via XLRE

Tailwind = sector leading the S&P 500; headwind = trailing. Both can be constructive — historically, headwind regimes have averaged stronger forward returns than tailwind.

AI cycle regime · market-wide
2-axis classifier
HeatingManiaSquallCrisisEarnings →Mood ↑
HeatingE +0.13 · M +0.71
Single-axisCHASEz +2.97+1.285d

Context label only — describes the market state (e.g. real bear vs narrative panic, healthy uptrend vs late-stage froth). It is not a per-ticker buy/sell signal and does not predict factor performance.

Not investment advice. As of 2026-05-08.

3

What changed

The most important moves since the prior daily snapshot.

  1. No material changes since the prior snapshot.

No material changes since the prior snapshot.

as of 2026-05-08

4

Management scorecard

How management runs the business — capital, margins, balance sheet, and how reliably they guide and deliver.

Composite52.5 / 100
Capital allocation21
Earnings discipline71
Margin discipline76
Balance sheet78
Guidance credibility
Post-call reaction55
as of 2026-05-08
4

What management is focused on

Priorities management has stated in recent disclosures, with status and evidence drawn from earnings calls, filings, and press releases.

No qualifying priorities for this snapshot. Check back after the next refresh.

5

How this stock is priced

Two ways to read price: against peers in the same business, and against the company's own history.

Compared to peers
10higher = cheaper

Looks more expensive than peers.

Compared to its own history
65higher = cheaper

Around its own typical valuation.

P/E
56.9x
EV/EBITDA
27.2x
FCF yield
-1.7%

P/E over the last 5 years

71 monthly points
fullas of 2026-05-08
7

How this compares

A side-by-side read on composite, valuation, and risk versus peers.

StockCompositeValuationRisk
IRM
Iron Mountain
+17fullmoderate
WELL
Welltower
+7.9expensivelow
PLD
Prologis
+10fulllow
EQIX
Equinix
+22fairmoderate
AMT
American Tower
+18fairmoderate
8

Risk — how this stock moves

What a normal day looks like, what a bad day looks like, and the worst the last year has thrown at it.

A typical day
How much price usually moves either way.
1.3%
A bad day (95th %ile)
A rough but not unusual down day.
-3.0%
Worst 12-month loss
Deepest peak-to-trough drop in the last year.
-25.1%
Earnings-day move
How much price usually moves on earnings day.
moderateas of 2026-05-08
9

What could change this view

Conditional scenarios — if X happens, the score would shift by about Y points. These are not predictions.

Upside triggers
  • If real_estate sector trend rises from +0.00 into 'improving' (>= +0.20)+5.0 pts
  • If next-quarter EPS surprise repeats current direction (latest surprise +17.0% on 2026-03-31)+2.4 pts
Downside triggers
  • If next-quarter guidance is cut (currently RAISED as of 2026-04-30)-16 pts
  • If rates state reverses from -0.37 (negative) to +0.37 (positive)-8.0 pts
  • If real_estate sector trend falls from +0.00 into 'weakening' (<= -0.20)-5.0 pts
10

Material updates

Recent SEC 8-K filings ranked by likely impact, confidence, and recency.

  1. 2026-04-309d agoItem 2.02

    Results of Operations and Financial Condition. On April 30, 2026, Iron Mountain Incorporated, or the Company, issued an earnings press release and supplemental financial information for the quarter ended March 31, 2026. In addition, the Company will be using a slide presentation during its earnings conference call. Copies of the earnings press release, slide presentation and supplemental financial information are furnished as Exhibits 99.1, 99.2 and 99.3, respectively, hereto and posted on th…

    earnings preannouncementpositivescore 59
11

Score history

The composite score, snapshot by snapshot. The dotted line at zero separates leaning-positive from leaning-negative.

60 snapshots
Data freshness · As of 2026-05-08 · Macro 2026-05-08 · Sector 2026-05-07 · Fundamentals 2026-02-12 · Price 2026-05-07 · Generated 2026-05-08 · Spec 2.3

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