Canadian Apartment Properties Real Estate Investment Trust
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Market Snapshot
$5.41B
780.2
Canadian Apartment Properties Real Estate Investment Trust is an open-ended mutual fund trust, which engages in the management of interests in multi-unit residential real estate properties, including apartments, townhomes, and manufactured home communities. The company is headquartered in Toronto, Ontario. The firm owns and manages interests in multi-unit residential rental properties. The company owns approximately 45,500 residential apartment suites and townhomes that are well-located across Canada and the Netherlands. The firm's objectives are to maintain a focus on maximizing occupancy and responsibly growing occupied average monthly rent (Occupied AMR) in accordance with local conditions in each of its markets; upgrade the quality and diversification of the property portfolio through repositioning and capital recycling initiatives to grow earnings and cash flow potential; and maintain strong financial management and a conservative and well-balanced capital structure to increase FFO per unit, NAV per unit, among others.
Canadian Apartment Properties Real Estate Investment Trust is an open-ended mutual fund trust, which engages in the management of interests in multi-unit residential real estate properties, including apartments, townhomes, and manufactured home communities. The company is headquartered in Toronto, Ontario. The firm owns and manages interests in multi-unit residential rental properties. The company owns approximately 45,500 residential apartment suites and townhomes that are well-located across Canada and the Netherlands. The firm's objectives are to maintain a focus on maximizing occupancy and responsibly growing occupied average monthly rent (Occupied AMR) in accordance with local conditions in each of its markets; upgrade the quality and diversification of the property portfolio through repositioning and capital recycling initiatives to grow earnings and cash flow potential; and maintain strong financial management and a conservative and well-balanced capital structure to increase FFO per unit, NAV per unit, among others.
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