Valuation: RAM Essential Services Property Fund

Market Cap 218M 151M 133M 124M 114M 213M 14.46B 1.47B 574M 7.16B 567M 554M 24.74B P/E 2026 *
11.5x
P/E 2027 * 8.82x
Enterprise Value 472M 327M 287M 268M 246M 461M 31.31B 3.18B 1.24B 15.5B 1.23B 1.2B 53.57B EV / Sales 2026 *
8.9x
EV / Sales 2027 * 7.94x
Free-Float
59.75%
Yield 2026 *
10.5%
Yield 2027 * 10.5%
07-23 RAM Essential Services Property Fund to Sell Five Retail Assets; Shares Up 4% MT
06-24 Ram Essential Services Property Fund Declares Dividend for the Quarter Ending June 30, 2026, Payable on July 30, 2026 CI
05-20 RAM Essential Services Property Fund Announces Company Secretary Changes, Effective May 13, 2026 CI
03-23 RAM Essential Services Property Fund Declares Unfranked Dividend for the Quarter Ending March 31, 2026, Payable on April 30, 2026 CI
02-26 RAM Essential Services Property Fund Reports Earnings Results for the Half Year Ended December 31, 2025 CI
12-23 RAM Essential Services Property Fund Declares Dividend for the Quarter Ending December 31, 2025, Payable on January 30, 2026 CI
30/09/25 Tranche Update on RAM Essential Services Property Fund's Equity Buyback Plan announced on November 21, 2023. CI
29/09/25 Ram Essential Services Property Fund appoints Kieran Pryke as new board chair RE
29/09/25 RAM Essential Services Property Fund Appoints New Board Chair MT
26/09/25 RAM Essential Services Property Fund Announces Dividend for the Financial Reporting or Payment Period Ending September 30, 2025, Payable on October 24, 2025 CI
27/08/25 RAM Essential Services Property Fund Reports Earnings Results for the Full Year Ended June 30, 2025 CI
27/08/25 RAM Essential Services Property Fund Appoints Steven Pritchard as an Independent Director, Effective 27 August 2025 CI
23/06/25 Ram Essential Services Property Fund Announces Dividend for the Financial Reporting or Payment Period Ending Ended/Ending June 30, 2025, Payable on July 30, 2025 CI
1 week+3.57%
Current month+7.41%
1 month+2.35%
3 months-7.45%
6 months-24.35%
Current year-25.64%
1 week 0.42
Extreme 0.42
0.45
1 month 0.4
Extreme 0.4
0.45
Current year 0.4
Extreme 0.395
0.58
1 year 0.4
Extreme 0.395
0.65
3 years 0.4
Extreme 0.395
0.76
5 years 0.4
Extreme 0.395
1.05
10 years 0.4
Extreme 0.395
1.05
Manager TitleAgeSince
Chief Executive Officer - 03/11/2018
Director of Finance/CFO - -
Investor Relations Contact - -
Director TitleAgeSince
Chairman - -
Director/Board Member - 20/10/2021
Director/Board Member - 03/11/2018
Date Insider Type Main position Quantity % Market Cap.
25/3/25 Buy

Chairman

447,500 0.0890%
25/3/25 Buy

Chairman

40,000 0.0080%
25/3/25 Buy

Chairman

100,000 0.0199%
Change 5-day change 1-year change 3-year change Capi.($)
0.00%+3.57%-26.89%-41.22% 152M
-1.19%-0.69%+16.68%+9.66% 16.84B
+0.35%+2.45%+20.15%+10.45% 6.97B
-0.31%-3.79%+5.02%+30.61% 6.94B
+2.35%+5.23%+4.18%+20.79% 6.83B
-0.92%+2.32% - - 6.72B
+0.40%+0.60%-13.92%-23.02% 6.37B
-0.40%+3.23%+2.01%+8.08% 6.19B
-0.77%+0.87%+22.17%+30.89% 6.04B
-0.61%+2.95%+12.75%+46.33% 4.92B
Average -0.20%+1.56%+4.68%+10.29% 6.8B
Weighted average by Cap. -0.34%+1.95%+9.81%+14.72%

Financials

2026 *2027 *
Net sales 53.02M 36.72M 32.27M 30.12M 27.64M 51.74M 3.52B 357M 140M 1.74B 138M 135M 6.02B 51.69M 35.8M 31.46M 29.37M 26.95M 50.45M 3.43B 348M 136M 1.7B 134M 132M 5.87B
Net income 6M 4.16M 3.65M 3.41M 3.13M 5.86M 398M 40.42M 15.81M 197M 15.6M 15.26M 681M 2.7M 1.87M 1.64M 1.53M 1.41M 2.64M 179M 18.19M 7.11M 88.64M 7.02M 6.87M 306M
Net Debt 254M 176M 155M 144M 132M 248M 16.85B 1.71B 669M 8.34B 661M 646M 28.83B 192M 133M 117M 109M 100M 188M 12.76B 1.3B 507M 6.31B 500M 489M 21.82B
Logo RAM Essential Services Property Fund
RAM Essential Services Property Fund (the Fund) is an Australia-based stapled real estate investment trust. The Fund consists of a geographically diversified and defensive portfolio of medical and essential retail-based properties, underpinned by a tenant profile including national supermarkets and private hospital operators, and offers growth opportunities through significant value-add development potential. The Fund’s objective is to provide securityholders with stable and secure income with the potential for both income and capital growth through exposure to a defensive portfolio of assets with favorable sector trends. The Fund’s responsible entity is RAM Property Funds Management Ltd. The Fund’s investment manager is RAM Property Investment Management Pty Ltd.
Employees
-
Date Price Change Volume
29/07/26 A$0.4350 0.00% 728,252
28/07/26 A$0.4350 +2.35% 85,470
27/07/26 A$0.4250 -3.41% 575,760
24/07/26 A$0.4400 -2.22% 734,938
23/07/26 A$0.4500 +8.43% 2,216,327
Trader
Investor
Global
Quality
ESG MSCI
-
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
2
Last Close Price
0.4350AUD
Average target price
0.6050AUD
Spread / Average Target
+39.08%

Annual profits - Rate of surprise