Currency
REITs shown
    Click a column name to filter · click a row for detail · right-click any value for source
    Singapore REITs sorted by market capitalisation; activate a row for detail; right-click or long-press any value for its source.

    Yield TTM prefers manager-disclosed DPU over Yahoo's headline (Yahoo can include capital distributions). P/NAV uses manager-reported NAV per unit when available; otherwise Yahoo's price-to-book as a labelled fallback. Gearing, ICR, WALE, Property Yield, NAV and Occupancy come from each manager's most recent quarterly business update — open a row to see the exact source URL, or right-click any value.

    Currency badges show the REIT's trading currency. SGD is implicit and shown only when foreign. Ratios (yield, gearing, occupancy, etc.) are currency-independent and compare directly; raw market cap and price are not currency-translated — apply your own FX awareness when comparing absolute figures across currencies.

    Composite "quality" scores capture capital-management discipline, recurring yield, and operating metrics — sector-aware. They do NOT capture sponsor strength, tenant credit, refinancing cliffs, distribution composition (organic vs capital top-ups), or unit-dilution from manager fees. Use as a triage tool, never as a buy signal.