Your browser is no longer supported. Please, upgrade your browser.
Independence Realty Trust, Inc.
Index- P/E111.56 EPS (ttm)0.19 Insider Own0.10% Shs Outstand102.02M Perf Week2.00%
Market Cap2.63B Forward P/E122.40 EPS next Y0.17 Insider Trans0.00% Shs Float- Perf Month5.88%
Income18.80M PEG22.31 EPS next Q0.04 Inst Own82.40% Short Float- Perf Quarter7.58%
Sales221.10M P/S11.91 EPS this Y-69.30% Inst Trans0.31% Short Ratio19.19 Perf Half Y28.65%
Book/sh7.29 P/B2.94 EPS next Y33.59% ROA1.10% Target Price21.38 Perf Year86.26%
Cash/sh0.06 P/C346.58 EPS next 5Y5.00% ROE2.70% 52W Range11.17 - 21.73 Perf YTD59.49%
Dividend0.48 P/FCF- EPS past 5Y-27.50% ROI2.60% 52W High0.69% Beta0.89
Dividend %2.24% Quick Ratio- Sales past 5Y14.20% Gross Margin57.60% 52W Low95.88% ATR0.43
Employees444 Current Ratio- Sales Q/Q8.50% Oper. Margin20.90% RSI (14)64.92 Volatility1.89% 2.06%
OptionableYes Debt/Eq1.42 EPS Q/Q296.40% Profit Margin8.50% Rel Volume0.63 Prev Close21.42
ShortableYes LT Debt/Eq1.36 EarningsOct 27 AMC Payout245.90% Avg Volume925.72K Price21.88
Recom2.20 SMA204.46% SMA506.84% SMA20026.19% Volume541,640 Change2.15%
Apr-26-21Initiated BMO Capital Markets Outperform $20
Apr-21-21Downgrade BTIG Research Buy → Neutral
Jan-11-21Initiated BTIG Research Buy $15
Dec-15-20Upgrade Deutsche Bank Hold → Buy $15
Sep-15-20Resumed Robert W. Baird Outperform $13
Aug-05-20Upgrade CapitalOne Equal Weight → Overweight $13
Jul-09-20Upgrade KeyBanc Capital Markets Sector Weight → Overweight $13
Mar-10-20Upgrade Stifel Hold → Buy $16
Oct-31-19Downgrade Compass Point Buy → Neutral
Oct-21-19Downgrade JMP Securities Mkt Outperform → Mkt Perform
Sep-27-19Initiated National Securities Buy $14
Apr-09-19Initiated Stifel Hold
Feb-06-19Downgrade B. Riley FBR Buy → Neutral $10.50
Nov-19-18Initiated CapitalOne Equal Weight
Oct-16-18Initiated Citigroup Neutral $10.25
Sep-17-18Initiated Boenning & Scattergood Outperform
Dec-05-17Initiated KeyBanc Capital Mkts Sector Weight
Jul-11-17Resumed FBR & Co. Outperform $10.75
Jun-15-17Upgrade FBR & Co. Mkt Perform → Outperform $9.75 → $11.50
Aug-04-16Reiterated FBR Capital Mkt Perform $8 → $9.50
Oct-07-21 08:00AM  
Oct-05-21 04:05PM  
Oct-04-21 07:00AM  
Oct-01-21 04:51PM  
Sep-16-21 12:54PM  
Sep-13-21 04:40PM  
Sep-02-21 02:00PM  
Aug-16-21 11:05AM  
Aug-14-21 09:06AM  
Aug-11-21 09:00AM  
Aug-07-21 09:03AM  
Aug-05-21 09:00AM  
Aug-04-21 12:05PM  
Aug-03-21 05:11PM  
Aug-02-21 09:30AM  
Jul-31-21 09:00AM  
Jul-30-21 04:05PM  
Jul-29-21 03:37PM  
Jul-28-21 12:39PM  
Jul-27-21 10:04PM  
Jul-26-21 05:45PM  
Jul-09-21 05:10PM  
Jun-14-21 04:25PM  
Jun-07-21 04:05PM  
May-18-21 09:05AM  
May-17-21 02:00PM  
Apr-29-21 04:30PM  
Apr-28-21 05:45PM  
Apr-07-21 04:05PM  
Mar-15-21 04:41PM  
Mar-11-21 08:17AM  
Mar-05-21 09:10AM  
Feb-11-21 04:00PM  
Feb-10-21 06:05PM  
Jan-29-21 02:19AM  
Jan-26-21 04:05PM  
Jan-19-21 04:05PM  
Jan-05-21 04:05PM  
Dec-28-20 10:22AM  
Dec-14-20 04:24PM  
Dec-11-20 12:01AM  
Oct-30-20 12:02AM  
Oct-29-20 07:00AM  
Oct-28-20 06:05PM  
Oct-02-20 04:05PM  
Sep-21-20 10:39AM  
Sep-15-20 04:27PM  
Sep-01-20 08:30AM  
Aug-07-20 02:28PM  
Jul-30-20 07:00PM  
Jul-29-20 07:05PM  
Jul-10-20 04:05PM  
Jun-27-20 03:19PM  
Jun-15-20 04:19PM  
Jun-03-20 08:44AM  
Jun-01-20 08:43AM  
May-24-20 03:29AM  
May-08-20 06:30PM  
May-06-20 08:05PM  
Apr-21-20 01:04PM  
Apr-09-20 08:00AM  
Mar-27-20 08:42AM  
Mar-26-20 08:00AM  
Mar-24-20 06:10AM  
Mar-16-20 04:47PM  
Mar-09-20 01:39PM  
Feb-24-20 04:05PM  
Feb-20-20 04:59PM  
Feb-19-20 04:07PM  
Feb-12-20 06:45PM  
Feb-07-20 10:22AM  
Jan-31-20 04:05PM  
Jan-24-20 04:05PM  
Jan-02-20 09:11AM  
Dec-19-19 06:07PM  
Dec-16-19 04:39PM  
Nov-19-19 07:16AM  
Independence Realty Trust, Inc. (NYSE: IRT) is a real estate investment trust that owns and operates multifamily apartment properties across non-gateway U.S. markets, including Atlanta, Louisville, Memphis, and Raleigh. IRT's investment strategy is focused on gaining scale within key amenity rich submarkets that offer good school districts, high-quality retail and major employment centers. IRT aims to provide stockholders attractive risk-adjusted returns through diligent portfolio management, strong operational performance, and a consistent return on capital through distributions and capital appreciation.