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Automotive Properties Real Estate Investment Trust
TSX:APR.UN

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Automotive Properties Real Estate Investment Trust
TSX:APR.UN
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Price: 10.93 CAD -0.73%
Market Cap: 536.6m CAD
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Profitability Summary

59/100
Profitability
Score

We take all the information about a company's profitability (such as its margins, capital efficiency, free cash flow generating ability, and more) and consolidate it into one single number - the profitability score. The higher the profitability score, the more profitable the company is.

Past Growth

To be successful and remain in business, both growth and profitability are important and necessary. Net Income growth is often seen as a sign of a company's efficiency from an operational standpoint, but is influenced heavily by a company's goals and challenges and should therefore be assessed in conjunction with other metrics like revenue and operating income growth.

Margins

Profit margins represent what percentage of sales has turned into profits. Simply put, the percentage figure indicates how many cents of profit the company has generated for each dollar of sale.

Profit margins help investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Earnings Waterfall
Automotive Properties Real Estate Investment Trust

Revenue
93.8m CAD
Operating Expenses
-16.2m CAD
Operating Income
77.6m CAD
Other Expenses
-32.8m CAD
Net Income
44.8m CAD

Margins Comparison
Automotive Properties Real Estate Investment Trust Competitors

Country Company Market Cap Operating
Margin
Net
Margin
CA
Automotive Properties Real Estate Investment Trust
TSX:APR.UN
533.1m CAD
83%
48%
US
Equinix Inc
NASDAQ:EQIX
90.4B USD
18%
12%
US
American Tower Corp
NYSE:AMT
85.5B USD
40%
10%
US
Digital Realty Trust Inc
NYSE:DLR
58.9B USD
11%
7%
US
Public Storage
NYSE:PSA
52.2B USD
48%
36%
US
Crown Castle International Corp
NYSE:CCI
39.5B USD
35%
19%
US
Extra Space Storage Inc
NYSE:EXR
31.3B USD
43%
25%
US
Iron Mountain Inc
NYSE:IRM
30.7B USD
20%
2%
US
VICI Properties Inc
NYSE:VICI
30.4B USD
96%
74%
US
SBA Communications Corp
NASDAQ:SBAC
21.7B USD
55%
26%
US
Weyerhaeuser Co
NYSE:WY
20.3B USD
11%
7%
Country CA
Market Cap 533.1m CAD
Operating Margin
83%
Net Margin
48%
Country US
Market Cap 90.4B USD
Operating Margin
18%
Net Margin
12%
Country US
Market Cap 85.5B USD
Operating Margin
40%
Net Margin
10%
Country US
Market Cap 58.9B USD
Operating Margin
11%
Net Margin
7%
Country US
Market Cap 52.2B USD
Operating Margin
48%
Net Margin
36%
Country US
Market Cap 39.5B USD
Operating Margin
35%
Net Margin
19%
Country US
Market Cap 31.3B USD
Operating Margin
43%
Net Margin
25%
Country US
Market Cap 30.7B USD
Operating Margin
20%
Net Margin
2%
Country US
Market Cap 30.4B USD
Operating Margin
96%
Net Margin
74%
Country US
Market Cap 21.7B USD
Operating Margin
55%
Net Margin
26%
Country US
Market Cap 20.3B USD
Operating Margin
11%
Net Margin
7%
No Stocks Found

Return on Capital

Return on capital ratios give a sense of how well a company is using its capital (equity, assets, capital employed, etc.) to generate profits (operating income, net income, etc.). In simple words, these ratios show how much income is generated for each dollar of capital invested.

Return on Capital Comparison
Automotive Properties Real Estate Investment Trust Competitors

Country Company Market Cap ROE ROA ROCE ROIC
CA
Automotive Properties Real Estate Investment Trust
TSX:APR.UN
533.1m CAD
7%
4%
6%
6%
US
Equinix Inc
NASDAQ:EQIX
90.4B USD
8%
3%
5%
4%
US
American Tower Corp
NYSE:AMT
85.5B USD
27%
2%
8%
6%
US
Digital Realty Trust Inc
NYSE:DLR
58.9B USD
2%
1%
1%
1%
US
Public Storage
NYSE:PSA
52.2B USD
17%
9%
12%
11%
US
Crown Castle International Corp
NYSE:CCI
39.5B USD
21%
3%
6%
6%
US
Extra Space Storage Inc
NYSE:EXR
31.3B USD
6%
3%
5%
5%
US
Iron Mountain Inc
NYSE:IRM
30.7B USD
5 252%
1%
8%
5%
US
VICI Properties Inc
NYSE:VICI
30.4B USD
11%
6%
8%
8%
US
SBA Communications Corp
NASDAQ:SBAC
21.7B USD
-13%
7%
15%
13%
US
Weyerhaeuser Co
NYSE:WY
20.3B USD
5%
3%
5%
5%
Country CA
Market Cap 533.1m CAD
ROE
7%
ROA
4%
ROCE
6%
ROIC
6%
Country US
Market Cap 90.4B USD
ROE
8%
ROA
3%
ROCE
5%
ROIC
4%
Country US
Market Cap 85.5B USD
ROE
27%
ROA
2%
ROCE
8%
ROIC
6%
Country US
Market Cap 58.9B USD
ROE
2%
ROA
1%
ROCE
1%
ROIC
1%
Country US
Market Cap 52.2B USD
ROE
17%
ROA
9%
ROCE
12%
ROIC
11%
Country US
Market Cap 39.5B USD
ROE
21%
ROA
3%
ROCE
6%
ROIC
6%
Country US
Market Cap 31.3B USD
ROE
6%
ROA
3%
ROCE
5%
ROIC
5%
Country US
Market Cap 30.7B USD
ROE
5 252%
ROA
1%
ROCE
8%
ROIC
5%
Country US
Market Cap 30.4B USD
ROE
11%
ROA
6%
ROCE
8%
ROIC
8%
Country US
Market Cap 21.7B USD
ROE
-13%
ROA
7%
ROCE
15%
ROIC
13%
Country US
Market Cap 20.3B USD
ROE
5%
ROA
3%
ROCE
5%
ROIC
5%
No Stocks Found

Free Cash Flow

Free cash flow (FCF) is the money a company has left over after paying its operating expenses and capital expenditures. The more free cash flow a company has, the more it can allocate to dividends, paying down debt, and growth opportunities.

If a company has a decreasing free cash flow, that is not necessarily bad if the company is investing in its growth.

See Also

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