Urstadt Biddle Properties Inc. is a real estate investment trust (REIT), which is engaged in the acquisition, ownership, and management of commercial real estate. The Company's segments include Ridgeway and All Other Operating Segments. The Company is engaged in the acquisition, ownership and management of commercial real estate, primarily neighborhood and community shopping centers in the metropolitan tri-state area outside of the City of New York. The Company's primary business is the ownership, management, and redevelopment of retail properties. In addition, it owns and operates self-storage facilities at two of its retail properties. It is also developing a third self-storage facility at its Pompton Lakes, NJ property. The Company's major tenants include supermarket chains and other retailers who sell basic necessities. It owns or has equity interests in approximately 78 properties containing a total of approximately 5.1 million square feet of gross leasable area (GLA).
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The current share price compared to the 52-week low.
The volatility of a stock over a given time period. It is calculated by determining the average standard deviation from the average price of the stock over one month or 21 business days. Historical volatility can be compared with implied volatility to determine if a stock's options are over- or undervalued.
GAAP EPS (TTM) refers to a company's earnings per share (EPS) for the trailing twelve-month (TTM) period. EPS is calculated by dividing the adjusted income available to common stockholders for the trailing twelve months by the trailing twelve-month diluted weighted average shares outstanding.
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The measure of a security's volatility in relation to the S&P 500. Beta less than 1 means the security's price or NAV has been less volatile than the market. Beta greater than 1 means the security's price or NAV has been more volatile than the market.
Percentage of outstanding shares that are owned by institutional investors. Calculated from current quarterly filing as of today.
The number of shares of a security that have been sold short by investors. It is typically expressed as a percentage of the total number of shares outstanding and is reported on a monthly basis.
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