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Rexford Industrial Realty, Inc. (REXR) Stock: Price, Forecast & Analyst Target

Rexford Industrial Realty, Inc. (REXR) — MoonshotScore 27/100 (Weak band), calculated Oct 5, 2026. Price $36.98 (+0.78%), as of the Oct 5, 2026 trading session; market cap $8.48B. Expected results Oct 22, 2026.

Educational signal · not a buy or sell recommendation · How to read this

Market value / cash and short-term investments: 263.11× (market value Oct 5, 2026; cash Jun 30, 2026) · expected results Oct 22, 2026

$36.98 +$0.285 (+0.78%) Market Cap $8.48B

Rexford Industrial Realty, Inc. · REXR · NYSE · Real Estate · REIT - Industrial

Research dated 2026-09-13: Rexford Industrial Realty owns, operates and repositions industrial property across infill Southern California; it is not an industrial manufacturer. The case rests on whether that concentrated property strategy can sustain operating cash generation and dividends while debt is high, cash is thin and accounting earnings have become volatile.

Price as of Oct 5, 2026

Key Statistics

27 of 100

MoonshotScore v2 · Rexford Industrial Realty (REXR)

Weak
Business Quality Thin (38)
Financial Safety Strained (24)
Valuation Bubble (12)
Growth Durability Flat (52)
Momentum Surging (80)
Why this rating? Method, drivers & history

Bands for the MoonshotScore: Exceptional 80-100 · Strong 65-79 · Fair 45-64 · Weak below 45.

  • Business Quality — Is this a genuinely good business?
  • Financial Safety — Could this blow up on me?
  • Valuation — Am I paying a fair price?
  • Growth Durability — Is the growth real and likely to last?
  • Momentum — Is the market already moving on this?
The ten-second read ·

Strong price action running well ahead of the business — a fragile balance sheet underneath; a move to treat with suspicion, not chase. Business Quality: Thin; Financial Safety: Strained; Valuation: Bubble; Growth Durability: Flat; Momentum: Surging.

Enterprise value relative to EBITDA is the main valuation drag relative to sector peers.

  • quarterly revenue $246M (Q2 FY2026, quarter ended Jun 2026)
  • EPS beat 5 of 8
  • Altman Z 0.84 · Piotroski F 5

Holding back: balance-sheet strain, a rich price

Helping: positive momentum

What has the MoonshotScore done over time?

MoonshotScore snapshots recorded for REXR (29 recorded, newest six shown)
RecordedScoreBand
27Weak
27Weak
27Weak
27Weak
27Weak
27Weak

The score was 27 in the stored Oct 4, 2026 snapshot and remains 27 in the current publication computed Oct 5, 2026 (0); the largest pillar moves were Momentum -1; the pillar moves offset under the sector-relative weighting, so the headline score is unchanged. This current publication is not yet represented in the immutable snapshot archive.

Calculation uses the most recent completed US trading session. Live price changes do not update the score immediately.

Computed · Educational signal · not a buy or sell recommendation · How the MoonshotScore is computed →

Price & valuation

Dates shown where recorded
MeasureValueAs of
Latest provided price$36.98
Change on the day+0.78%
52-week range$32.14–$44.38
Market capitalisation$8.48B
Price / earnings (trailing)36.55
Shares traded on the day2.04M
Beta (volatility vs the S&P 500)1.2
Dividends per share (last 12 months)$1.73
Dividend yield (last 12 months)4.68%

Price & events

Weekly closing price with reported quarters marked Weekly closing price from Sep 5, 2025 to Oct 5, 2026: low $32, high $44, latest $37. 4 reported quarters marked, 2 above and 2 below the recorded estimate. $44 $32 high $44 Oct 15, 2025 · Earnings results · reported above the recorded estimate · close $441Feb 4, 2026 · Earnings results · reported below the recorded estimate · close $392Apr 23, 2026 · Earnings results · reported above the recorded estimate · close $353Jul 23, 2026 · Earnings results · reported below the recorded estimate · close $394 Sep 5, 2025 Oct 5, 2026 · $37 $43Sep 5, 2025$42Sep 19, 2025$42Oct 3, 2025$44Oct 17, 2025$41Oct 31, 2025$41Nov 14, 2025$42Nov 28, 2025$41Dec 12, 2025$39Dec 26, 2025$41Jan 9, 2026$40Jan 23, 2026$39Feb 6, 2026$38Feb 20, 2026$36Mar 6, 2026$34Mar 20, 2026$33Apr 2, 2026$37Apr 17, 2026$36May 1, 2026$35May 15, 2026$35May 29, 2026$35Jun 12, 2026$34Jun 26, 2026$34Jul 10, 2026$39Jul 24, 2026$37Aug 7, 2026$37Aug 21, 2026$37Sep 4, 2026$38Sep 18, 2026$37Oct 2, 2026

Triangles mark reported quarters on the line: pointing up is above the recorded estimate, down is below, a diamond means no estimate on file. Numbers key to the dated list. Point at or tab to any week for its close.

Events behind the price

  • · Earnings results · above the recorded estimate
  • · Earnings results · below the recorded estimate
  • · Earnings results · above the recorded estimate
  • · Earnings results · below the recorded estimate

Results dates follow the earnings feed; call dates follow the transcript provider. Nearby dates do not establish that an event caused a price move.

Upcoming events

As of

Dated events ahead, in order, not to scaleOct 15, 2026, Dividend payment date; Oct 22, 2026, Next results due. Spacing is order only and carries no duration.Oct 5, 20261Oct 15, 20262Oct 22, 2026
  1. Dividend payment dateCompany record
  2. Next results dueProvider estimate

Chronological order, not a duration scale. The provider's estimated date can change.

What to watch next

Other perspectives

Council score for Rexford Industrial Realty (REXR): perspectives

Council is a separate blend of available disciplines; MoonshotScore above remains the five-pillar research rating.

9-Factor Breakdown

Revenue Growth Neutral
Gross Margin Strong
Operating Leverage Neutral
Cash Runway Strong
R&D Intensity Neutral
Insider Activity Moderate
Trading Liquidity Strong
Price Momentum Weak
News Sentiment Neutral

Legends Council

6 lenses, 0 current

AI simulations built from the named investors' published principles. Not affiliated with, endorsed by, or the opinion of these individuals. How these lenses are built

Dalio-style lens (simulated) Ray Dalio Favorable read
Griffin-style lens (simulated) Ken Griffin Neutral read
Simons-style lens (simulated) Jim Simons Neutral read
Englander-style lens (simulated) Izzy Englander Favorable read
Klarman-style lens (simulated) Seth Klarman Neutral read
Moon AI lens (model) Neutral read

Read on: Sep 11, 2026 · older than the 27 hours refresh window; not a current reading

Munger's Mindset

Balance Sheet & Valuation · historical

Financial Health Weak
Margin of Safety Fairly Valued
Profit Margin Weak
Revenue Growth Neutral
Debt/Equity Neutral
ROE Negative
Gross Margin Strong

Read on: Sep 11, 2026 · older than the 27 hours refresh window; not a current reading

How to read these bars and different assessments

Council is a separate blend of available disciplines; MoonshotScore above remains the five-pillar research rating.

Bars show each model's ordered assessment on its own scale, not a probability or a comparable investment return. The adjacent words give the assessment; more filled segments indicate a stronger model reading.

On Sep 11, 2026, the Munger lens read the price at that time as fairly valued against its own estimate of value.

Readings on this page are from Oct 5, 2026, except a card that shows its own read date.

Watch the REXR film — every key number, told as a short cinematic story

~2 min · open the film

1 · What is it?

What is Rexford Industrial Realty (REXR), and what does it report?

Short answer · as of

Rexford buys, operates and repositions warehouses and related industrial properties in supply-constrained Southern California markets.

Research dated 2026-09-13.

Rexford buys, operates and repositions warehouses and related industrial properties in supply-constrained Southern California markets. Demand therefore reaches the company through occupancy and property economics, while redevelopment and asset management provide additional routes to value creation.

Reported revenue and operating profit describe the consolidated property platform, not goods produced or shipped. Annual revenue has expanded across the available history, but net income has not followed a smooth path, so revenue growth alone does not capture the economics visible to shareholders.

Sources (as of 2026-09-13): Business description; Sector / industry (provider taxonomy); Annual revenue and net result (USD millions); Quarterly income statement (USD thousands)

2 · Latest results

What do the latest results show for Rexford Industrial Realty (REXR)?

Short answer · as of

The most recent reported quarter, Q2 FY2026, carried revenue of $246M.

Research dated 2026-09-13.

The latest period showed revenue holding near the prior period and operating profit improving modestly. Net income, however, swung from profit to a deep loss, while operating cash flow remained positive but weakened; the divergence places the source of the loss below the operating result rather than in a collapse of property revenue.

The broader pattern is mixed. Annual revenue continued to rise while annual net income declined, and recent reported earnings have alternated sharply between profits and losses despite much steadier revenue. Rexford describes repositioning and asset management as core value-creation tools, but the available results show that accounting outcomes can move far more violently than the property top line.

Sources (as of 2026-09-13): Quarterly income statement (USD thousands); Operating cash flow by quarter (USD millions); Annual revenue and net result (USD millions); Reported versus estimated, last 8 quarters; Trailing twelve-month ratio set; Business description

Where is operating spending going?

Revenue alongside research and development, selling, general and administrative expenses, and the FMP standardized operating result.

Latest quarter · revenue
$245.51M Jun 30, 2026
Latest quarter · SG&A
$13.69M Jun 30, 2026
Latest quarter · FMP standardized operating result
$102.12M Jun 30, 2026
Where is operating spending going? — FMP standardized evidence
Period endRevenueR&DSG&AFMP standardized operating result
Jun 30, 2026$245.51MNot available$13.69M$102.12M
Mar 31, 2026$245.08MNot available$14.93M$100.46M
Dec 31, 2025$240.66MNot available$0.00$92.79M
Sep 30, 2025$253.24MNot available$20.04M$94.15M

USD. The operating result is the FMP-standardized value supplied by FMP; it may differ from a filing’s GAAP loss from operations when the provider classifies separately presented items differently. It is not net income or cash flow.

Did results meet expectations?

Reported earnings and revenue alongside the estimates recorded by the provider.

Latest report · revenue
$243.00M Jul 23, 2026
Latest report · revenue estimate
$240.24M Jul 23, 2026
Latest report · revenue vs estimate
Above estimate Jul 23, 2026
Latest report · EPS vs estimate
Below estimate Jul 23, 2026
Did results meet expectations? — reported evidence
Report dateRevenue · reportedRevenue · estimateEPS · reportedEPS · estimate
Jul 23, 2026$243.00M$240.24M−$2.2600$0.2947
Apr 23, 2026$242.14M$242.42M$0.3800$0.2669
Feb 4, 2026$243.23M$247.86M−$0.3000$0.2469
Oct 15, 2025$246.76M$246.38M$0.3700$0.3099

Dates are report dates, not fiscal period ends. Revenue is in USD; EPS is USD per share, rounded to four decimals. The earnings feed does not establish a basic, diluted or adjusted basis. Earnings-feed EPS may differ from statement EPS; the two series are not combined.

Quarterly income statement — 4 quarters
Revenue, net income and earnings per share by quarter
PeriodRevenueNet incomeEPS
Q2 FY2026$246M-$507M-$2.26 (diluted)
Q1 FY2026$245M$91M$0.38 (diluted)
Q4 FY2025$241M-$65M-$0.30 (diluted)
Q3 FY2025$253M$90M$0.35 (diluted)
3 · Financial strengths and risks

What are the financial strengths and risks for Rexford Industrial Realty (REXR)?

Short answer

Cash and short-term investments were $32.23M at the Jun 30, 2026 balance-sheet date. Operating cash flow was $106.79M for the quarter ended Jun 30, 2026, meaning operations generated cash. These figures do not establish a cash runway.

Research dated 2026-09-13.

The property base continues to produce positive operating cash flow, and capital spending has remained below that cash inflow in every recent period shown. That gives Rexford internally generated funds for property investment and dividend support even when reported net income is negative.

Liquidity is the sharper constraint. Cash has fallen steeply from its recent peak and is small beside debt and total liabilities; the current and quick ratios reinforce that near-term imbalance. Concentration in infill Southern California can strengthen scarcity value, but it also ties occupancy, leasing economics and redevelopment returns to the same regional industrial market.

The dividend has been maintained and modestly increased across recent distributions, yet its durability ultimately depends on property cash generation and access to capital rather than the current cash balance alone. Weak distress and return screens add reason to treat leverage, liquidity and recurring cash conversion as connected risks.

Sources (as of 2026-09-13): Operating cash flow by quarter (USD millions); Cash, investments and debt; Cash and investment components; Cash and short-term investments over time (USD millions); Trailing twelve-month ratio set; Distress and quality screens; Recent dividends paid; Next scheduled dividend; Dividends per share, last 12 months (split-adjusted); Dividend yield, last 12 months; Business description

Data-derived red flags

  • Financial-distress signal — its Altman Z-Score of 0.84 sits in the distress zone (elevated bankruptcy risk).
  • Negative return on equity (-4.8%) — the business is not currently generating profit on shareholder capital.

How much cash does the business generate or use?

Quarterly operating cash flow shows cash generated or used by operations.

Latest quarter · operating cash flow
$106.79M Jun 30, 2026
Previous quarter · operating cash flow
$141.17M Mar 31, 2026
How much cash does the business generate or use? — reported evidence
Period endOperating cash flowCapital expenditure (reported)
Jun 30, 2026$106.79M−$48.06M
Mar 31, 2026$141.17M−$63.04M
Dec 31, 2025$111.75M−$81.93M
Sep 30, 2025$149.63M−$89.15M

Operating cash-flow bars share one scale and show magnitude; negative values mean cash used.

USD. Negative operating cash flow means cash used. Capital expenditure keeps the provider’s reported sign; it is not added here to estimate free cash flow or runway.

4 · What to check next?

What should you watch next at Rexford Industrial Realty (REXR)?

Short answer · as of

The next earnings report is expected on Oct 22, 2026.

Research dated 2026-09-13.

Watch whether revenue resumes growth without another wide gap between operating profit, net income and operating cash flow. The scheduled earnings release is especially useful for testing whether the recent accounting loss was an isolated dislocation or part of a continuing pattern; analyst estimates currently imply a softer near-term revenue base before later recovery.

Cash movement deserves equal attention. Continued capital spending alongside a shrinking cash balance would make debt funding, asset activity and cash conversion increasingly important, while stronger operating cash flow would ease that pressure. A recently disclosed material agreement also merits attention for its effect on leverage and portfolio economics when subsequent filings provide the financial consequences.

Leadership continuity is another practical checkpoint. Laura Clark is the named chief executive, and recent filings include repeated changes involving directors or principal officers; future periodic reports can show whether strategic execution and disclosure settle around the current team.

Sources (as of 2026-09-13): Next earnings report; Analyst revenue and earnings estimates (average); Quarterly income statement (USD thousands); Operating cash flow by quarter (USD millions); Cash and short-term investments over time (USD millions); Cash, investments and debt; Recent SEC filings; Most recent periodic reports; Named officers

5 · Peer comparison

How does Rexford Industrial Realty compare with its peers?

Short answer

Rexford Industrial Realty's score ranks 13th of 13 in the bounded comparison shown, against 12 same-model peers. These are company scores, not expected investment returns. The set lists named competitors first, then companies in the same data-provider industry classification closest in market value; that classification is the provider's, not our judgment of business similarity.

Research dated 2026-09-13.

Rexford differs from broadly diversified industrial landlords through geographic concentration: its portfolio is built around infill Southern California rather than a national network. Its growth model also includes repositioning existing property, so execution depends on sourcing and improving constrained-market assets as well as operating occupied buildings.

That concentration creates a cleaner exposure to a scarce industrial market but less geographic cushioning when local leasing conditions weaken. Institutional ownership remains broad, while analyst stances range from favorable to cautious, reflecting disagreement over how much the specialized portfolio offsets leverage, liquidity and uneven earnings.

Sources (as of 2026-09-13): Business description; Sector / industry (provider taxonomy); Institutional ownership (13F); Largest 5 institutional holders; Analyst actions, most recent per firm; Cash, investments and debt; Quarterly income statement (USD thousands)

Peer set — price, market value and MoonshotScore
CompanyPriceMarket valueScore
Innovative Industrial Properties, Inc. (IIPR) Same industry, near in market value$50.54 Oct 5, 2026$1.46B90 5-pillar Oct 5, 2026
Public Storage (PSA) Same industry, near in market value$281.66 Oct 5, 2026$52.9B90 5-pillar Oct 5, 2026
Terreno Realty Corporation (TRNO) Same industry, near in market value$64.43 Oct 5, 2026$6.88B84 5-pillar Oct 5, 2026
EastGroup Properties, Inc. (EGP) Named competitor$195.84 Oct 5, 2026$10.5B74 5-pillar Oct 5, 2026
STAG Industrial, Inc. (STAG) Same industry, near in market value$36.05 Oct 5, 2026$6.95B68 5-pillar Oct 5, 2026
CubeSmart (CUBE) Named competitor$37.19 Oct 5, 2026$8.50B67 5-pillar Oct 5, 2026
Prologis, Inc. (PLD) Same industry, near in market value$128.08 Oct 5, 2026$120B64 5-pillar Oct 5, 2026
AGNC Investment Corp. (AGNC) Named competitor$8.65 Oct 5, 2026$10.1B60 5-pillar Oct 5, 2026
Extra Space Storage Inc. (EXR) Same industry, near in market value$132.91 Oct 5, 2026$28.2B57 5-pillar Oct 5, 2026
JanOne Inc. (JAN) Same industry, near in market value$28.75 Oct 5, 2026$6.17B42 5-pillar Oct 5, 2026
Sachem Capital Corp. (SCCF) Same industry, near in market value$24.53 Oct 5, 2026$1.17B37 5-pillar Oct 5, 2026
Gladstone Land Corporation (LAND) Same industry, near in market value$9.68 Oct 5, 2026$412M33 5-pillar Oct 5, 2026
Rexford Industrial Realty (REXR) — this page$36.98$8.48B27

Only 5-pillar scores are ranked together. Other models are not directly comparable. Price and score dates are shown separately; market-value dates are unavailable.

Screen more Real Estate stocks

The records behind this page

Analyst targets & estimates

What analysts have on file

Price target, low to high
$36.00 – $43.00
Consensus target
$39.17
Median target
$39.00

Consensus record · Captured .

Measured against a quoted price of $36.98 (as of Oct 5, 2026).

Insider activity

Form 4 records via FMP · Of the newest 60 records, those within the last 180 days, newest dated Jun 13, 2026

Transactions
16
Identified insiders
10
Purchases
0
Sales
1
Other transactions
15

Purchases and sales use the reported transaction category. Other transactions include awards, exercises, gifts, withholding and unclassified activity; an acquisition or disposition alone is not a purchase or sale. These records do not establish intent.

Who holds the shares?

Institutional ownership reported through 13F filings.

Reporting holders
435 Period end Jun 30, 2026
Previous quarter · holders
441 Prior to period end Jun 30, 2026
Who holds the shares? — reported evidence
Holders in provider snapshotShares
Blackrock, INC.38,602,017
Price T Rowe Associates INC /Md/28,114,159
Vanguard Portfolio Management LLC19,593,447
Capital International Investors11,689,069
Principal Financial Group INC11,004,961

Quarterly filings lag the period end. Holder rows are names in the provider snapshot, not a verified ranking; individual filing dates are not supplied. Related managers may appear separately, so these positions are not summed. Holder snapshot as of Jun 30, 2026.

What has been published about Rexford Industrial Realty (REXR)?

Read these with our analysis →

Rexford Industrial Realty Real Estate Stock: Key Questions Answered

Research dated 2026-09-13; the answers below are from that research, and the full attribution is under Sources. The last 2 questions are answered from this page's own dated data, not from the research.

Why is Rexford concentrated in infill Southern California?

Rexford describes the region as a high-demand industrial market with constrained supply. Concentration allows its acquisition, repositioning and property-management capabilities to focus on that market, while leaving results more exposed to local leasing and asset conditions.

Sources (as of 2026-09-13): Business description; SEC filing business address

Why can Rexford report a loss while its properties still produce cash?

The latest operating result remained positive and operating cash flow stayed positive even as net income became deeply negative. That separation shows why the accounting bottom line can move differently from cash generated by the property platform.

Sources (as of 2026-09-13): Quarterly income statement (USD thousands); Operating cash flow by quarter (USD millions); Reported versus estimated, last 8 quarters; Trailing twelve-month ratio set

What supports Rexford’s dividend while cash on hand is low?

Recurring operating cash flow is the immediate support, not the small cash balance by itself. Recent distributions have been maintained and modestly raised, but debt, capital spending and further cash depletion remain relevant to durability.

Sources (as of 2026-09-13): Recent dividends paid; Next scheduled dividend; Dividends per share, last 12 months (split-adjusted); Operating cash flow by quarter (USD millions); Cash, investments and debt; Cash and short-term investments over time (USD millions)

How does repositioning affect Rexford’s growth profile?

Repositioning lets Rexford seek improved economics from properties already acquired rather than relying solely on portfolio expansion. It also adds execution and capital-spending exposure, making cash conversion from property investment an important test of the strategy.

Sources (as of 2026-09-13): Business description; Operating cash flow by quarter (USD millions); Cash and short-term investments over time (USD millions)

What is the REXR stock price today?

The last price recorded on this page for Rexford Industrial Realty, Inc. (REXR) is $36.98, as of the Oct 5, 2026 trading session (source: Financial Modeling Prep (FMP) · quote). It is a provider snapshot, not a live exchange feed, so check a brokerage quote before you trade.

What is the REXR price target?

The analyst consensus price target for Rexford Industrial Realty, Inc. (REXR) is $39.17 (range $36.00 to $43.00, median $39.00), per FMP data captured Oct 5, 2026. Targets are analyst opinions and change often; they are not a Stock Expert AI forecast.

Disclaimer: This content is for informational purposes only and does not constitute investment advice. Always do your own research and consult a financial advisor.

Research written by Codex (gpt-5.6-sol) on 2026-09-13. AI-authored analysis; source dates are shown with each answer. Editorial oversight is systemic, not page-by-page. Editorially accountable: Sedat ANAK, Founder and Editor-in-Chief.

Sources (as of 2026-09-13): Legal name; Sector / industry (provider taxonomy); Business description; Quarterly income statement (USD thousands); Operating cash flow by quarter (USD millions); Cash, investments and debt; Recent dividends paid

Sources — records for every figure on this page (79 figures)

The 79 rows below are exactly the facts the evidence-backed sections of this page printed — the 10-second verdict, the MoonshotScore, price and market value, the five questions with their receipts, and the records behind this page. Known dates and sources are recorded on their own rows; an em dash or UNRECORDED tier preserves a stored observation without inventing either. The quarterly income statement is provider-standardized (FMP) under one row, and scale definitions — a 0-100 rating, the band ladder, the Piotroski 0–9 range — are fixed rather than measured. No number in those sections was generated by a model. The register does not cover quoted third-party headlines, the dated council readings, or the Frequently Asked Questions; each of those says where it came from where it stands.

"As of" is the date the value is true for where the source carries one — a quarter end, a filing date, a price close, the day the score was computed. A cached observation with no source date remains undated; the page publication date is not used as a substitute.

OFFICIAL — 1 fact from SEC filings and earnings calls

OFFICIAL facts used on this page
Fact IDFactValue as shownAs ofTierSource
id.hqSEC filing business address11620 Wilshire Boulevard, Suite 1000, LOS Angeles, CA, 90025OFFICIALSEC EDGAR filer business address — The SEC filer business address. Our market-data provider separately lists "11620 Wilshire Boulevard, Los Angeles, CA, 90025-6821, US".

FMP — 67 facts from Financial Modeling Prep endpoint families

FMP facts used on this page
Fact IDFactValue as shownAs ofTierSource
earn.nextNext earnings dateOct 22, 2026FMPFinancial Modeling Prep (FMP) earnings calendar — The date is our provider's estimate until the company confirms it.
px.lastLatest provided price$36.98FMPFinancial Modeling Prep (FMP) · quote — Dated to the US trading session the price belongs to, derived from the quote record's timestamp (weekend and pre-open reads roll back to the previous weekday; exchange holidays are not modelled). The record does not establish an exchange execution time. Retrieved 2026-10-05T19:34:42.165Z.
px.changeChange on the day+0.78%FMPFinancial Modeling Prep (FMP) · quote
px.mcapMarket capitalization$8.48BFMPFinancial Modeling Prep (FMP) quote — Provider market cap uses the share class it prices; a company with more than one class may show a larger total elsewhere. Market cap record date: 2026-10-05. Source capture time was not supplied. No share-count basis is inferred; this page preserves the reported amount instead of recalculating it from shares.
px.change_absChange on the day, in dollars+$0.285FMPFinancial Modeling Prep (FMP) · quote
fin.q_revenueRevenue, Q2 FY2026$246MFMPFinancial Modeling Prep (FMP) · income statement (quarterly)
px.range5252-week range$32.14–$44.38FMPFinancial Modeling Prep (FMP) quote
px.pePrice / earnings (trailing)36.55FMPFinancial Modeling Prep (FMP) · quote
px.volumeShares traded on the day2.04MFMPFinancial Modeling Prep (FMP) · quote
px.betaBeta1.2FMPFinancial Modeling Prep (FMP) company profile
id.ceoChief executiveLaura ClarkFMPFinancial Modeling Prep (FMP) key executives (proxy-derived) — Titles and pay come from the company's proxy statement as our provider parsed it.
id.employeesEmployees256FMPFinancial Modeling Prep (FMP) employee count, from the company's filing
fin.annualRevenue and net result by fiscal year5 fiscal years, FY2021 through FY2025: FY2021 revenue $452.24M, net result $128.24M; FY2022 revenue $631.20M, net result $167.58M; FY2023 revenue $797.83M, net result $238.02M; FY2024 revenue $936.41M, net result $273.80M; FY2025 revenue $1.00B, net result $212.03MFMPFinancial Modeling Prep (FMP), from the company's 10-K income statements
fin.gross_marginGross margin (trailing twelve months)61.0%FMPFinancial Modeling Prep (FMP) key-metrics-ttm + ratios-ttm — A ratio our provider could not compute is absent rather than shown as zero.
fin.q_table.depth.2026-06-30.revenue_kRevenue — period end 2026-06-30$245.51MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-06-30.sga_kSG&A — period end 2026-06-30$13.69MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-06-30.operating_result_kFMP standardized operating result — period end 2026-06-30$102.12MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-03-31.revenue_kRevenue — period end 2026-03-31$245.08MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-03-31.sga_kSG&A — period end 2026-03-31$14.93MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2026-03-31.operating_result_kFMP standardized operating result — period end 2026-03-31$100.46MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-12-31.revenue_kRevenue — period end 2025-12-31$240.66MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-12-31.sga_kSG&A — period end 2025-12-31$0.00Period end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-12-31.operating_result_kFMP standardized operating result — period end 2025-12-31$92.79MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-09-30.revenue_kRevenue — period end 2025-09-30$253.24MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-09-30.sga_kSG&A — period end 2025-09-30$20.04MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
fin.q_table.depth.2025-09-30.operating_result_kFMP standardized operating result — period end 2025-09-30$94.15MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements — Quarterly statement note
earn.history.depth.2026-07-23.revenue_actualRevenue · reported — report date 2026-07-23$243.00MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-07-23.revenue_estimatedRevenue · estimate — report date 2026-07-23$240.24MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-07-23.eps_actualEPS · reported — report date 2026-07-23−$2.2600Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-07-23.eps_estimatedEPS · estimate — report date 2026-07-23$0.2947Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-04-23.revenue_actualRevenue · reported — report date 2026-04-23$242.14MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-04-23.revenue_estimatedRevenue · estimate — report date 2026-04-23$242.42MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-04-23.eps_actualEPS · reported — report date 2026-04-23$0.3800Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-04-23.eps_estimatedEPS · estimate — report date 2026-04-23$0.2669Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-04.revenue_actualRevenue · reported — report date 2026-02-04$243.23MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-04.revenue_estimatedRevenue · estimate — report date 2026-02-04$247.86MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-04.eps_actualEPS · reported — report date 2026-02-04−$0.3000Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2026-02-04.eps_estimatedEPS · estimate — report date 2026-02-04$0.2469Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-15.revenue_actualRevenue · reported — report date 2025-10-15$246.76MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-15.revenue_estimatedRevenue · estimate — report date 2025-10-15$246.38MReport date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-15.eps_actualEPS · reported — report date 2025-10-15$0.3700Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
earn.history.depth.2025-10-15.eps_estimatedEPS · estimate — report date 2025-10-15$0.3099Report date · FMPFinancial Modeling Prep (FMP) earnings — Earnings-history note
fin.q_tableQuarterly income statement4 quarters through Q2 FY2026FMPFinancial Modeling Prep (FMP) · income statement (quarterly), as filed
fin.cash_investmentsCash and short-term investments$32.23MFMPFinancial Modeling Prep (FMP), from the company's balance sheet — Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability. Long-term investments are excluded and remain unclassified. Restrictions on cash and short-term investments require separate review.
fin.opcf_latestLatest-quarter operating cash flow$106.79MFMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Period end: 2026-06-30. Negative operating cash flow means cash used. This figure is not a cash-runway estimate.
fin.long_term_investmentsLong-term investments (classification unverified)$0.00FMPFinancial Modeling Prep (FMP), from the company's balance sheet — Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability.
fin.total_debtTotal debt$3.37BFMPFinancial Modeling Prep (FMP), from the company's balance sheet — Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability.
fin.price_to_bookPrice to book value1.09×FMPFinancial Modeling Prep (FMP) key-metrics-ttm + ratios-ttm — A ratio our provider could not compute is absent rather than shown as zero.
fin.opcf.depth.2026-06-30.operating_cash_flow_mOperating cash flow — period end 2026-06-30$106.79MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2026-03-31.operating_cash_flow_mOperating cash flow — period end 2026-03-31$141.17MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2026-06-30.capex_mCapital expenditure (reported) — period end 2026-06-30−$48.06MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2026-03-31.capex_mCapital expenditure (reported) — period end 2026-03-31−$63.04MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-12-31.operating_cash_flow_mOperating cash flow — period end 2025-12-31$111.75MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-12-31.capex_mCapital expenditure (reported) — period end 2025-12-31−$81.93MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-09-30.operating_cash_flow_mOperating cash flow — period end 2025-09-30$149.63MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
fin.opcf.depth.2025-09-30.capex_mCapital expenditure (reported) — period end 2025-09-30−$89.15MPeriod end · FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements — Cash-flow note
earn.pt_rangeAnalyst price target, low to high$36.00 – $43.00FMPFinancial Modeling Prep (FMP) · price-target consensus — Captured Oct 5, 2026 · Coverage not supplied
earn.pt_consensusConsensus analyst price target$39.17FMPFinancial Modeling Prep (FMP) · price-target consensus — Captured Oct 5, 2026 · Coverage not supplied
earn.pt_medianMedian analyst price target$39.00FMPFinancial Modeling Prep (FMP) · price-target consensus — Captured Oct 5, 2026 · Coverage not supplied
own.insidersInsider transactions via FMP16 transactions · 0 purchases, 1 sales, 15 other transactions · 10 identified insiders · of the newest 60 records, those within the last 180 days, newest dated Jun 13, 2026FMPFinancial Modeling Prep (FMP), carrying Form 4 transaction records — Purchases and sales use the reported transaction category. Other transactions include awards, exercises, gifts, withholding and unclassified activity; an acquisition or disposition alone is not a purchase or sale. These records do not establish intent.
own.institutions.depth.holdersReporting holders435FMPFinancial Modeling Prep (FMP) institutional ownership summary, from 13F filings — 13F filings are quarterly and lag the quarter end by up to 45 days. Period end Jun 30, 2026
own.institutions.depth.holders_previous_quarterPrevious quarter · holders441FMPFinancial Modeling Prep (FMP) institutional ownership summary, from 13F filings — 13F filings are quarterly and lag the quarter end by up to 45 days. Prior to period end Jun 30, 2026
own.top_holders.depth.holder_0.sharesBlackrock, INC. — shares in provider snapshot38,602,017FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_1.sharesPrice T Rowe Associates INC /Md/ — shares in provider snapshot28,114,159FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_2.sharesVanguard Portfolio Management LLC — shares in provider snapshot19,593,447FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_3.sharesCapital International Investors — shares in provider snapshot11,689,069FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.
own.top_holders.depth.holder_4.sharesPrincipal Financial Group INC — shares in provider snapshot11,004,961FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings — Provider snapshot as of 2026-06-30; individual filing date not supplied.

UNRECORDED — 3 facts from stored observations whose source was not recorded

UNRECORDED facts used on this page
Fact IDFactValue as shownAs ofTierSource
earn.historyReported versus estimated, recent quartersEPS beat 5 of 8UNRECORDEDStored earnings-history observation — Captured 2026-10-04
fin.scoresDistress and quality screensAltman Z 0.84 · Piotroski F 5UNRECORDEDStored financial-scores observation — Captured 2026-10-04 · Expired observation
fin.ratiosReturn and yield ratios (trailing twelve months)ROE -4.8% · ROA -3.4% · current ratio 0.05 · earnings yield -4.8% · free-cash-flow yield 2.7%—UNRECORDEDStored key metrics — Date unknown

COMPUTED — 5 facts from our arithmetic, formula restated

COMPUTED facts used on this page
Fact IDFactValue as shownAs ofTierSource
fin.mcap_to_cashMarket value per dollar of cash and short-term investments263.11×—COMPUTEDComputed on this page from the figures above — The market capitalisation printed on this page divided by cash and short-term investments of $32.23M at Jun 30, 2026. Long-term investments are excluded and remain unclassified. Restrictions on cash and short-term investments require separate review. Market cap record date: 2026-10-05. Balance-sheet reference date: 2026-06-30. The inputs do not establish a single common source date for this ratio.
div.ttm_per_shareDividends per share, last 12 months (split-adjusted)$1.73COMPUTEDFinancial Modeling Prep (FMP) split-adjusted dividend history — Sum of 4 split-adjusted declared dividends with an ex-date in the 365 days to 2026-10-05, per current share. Ex-dates are not payment dates; special dividends are included. Not a declared annual rate.
div.ttm_yieldDividend yield, last 12 months4.68%COMPUTEDFinancial Modeling Prep (FMP) split-adjusted dividend history and quote — Split-adjusted dividends with ex-dates in the trailing 365-day window divided by the packet price, on the same current-share basis. Price date follows the quote, latest price bar or packet-build day when unstamped. Not a forecast or declared annual rate.
earn.history.depth.2026-07-23.revenue_actual.comparisonLatest report · revenue vs estimateAbove estimateReport date · COMPUTEDComputed from Financial Modeling Prep (FMP) earnings — Earnings-history note — Method: compare reported revenue ($243.00M) with the recorded estimate ($240.24M) at displayed precision. Equal displayed values are in line. This compares reported results with recorded estimates, not investment returns.
earn.history.depth.2026-07-23.eps_actual.comparisonLatest report · EPS vs estimateBelow estimateReport date · COMPUTEDComputed from Financial Modeling Prep (FMP) earnings — Earnings-history note — Method: compare reported EPS (−$2.2600) with the recorded estimate ($0.2947) at displayed precision. Equal displayed values are in line. This compares reported results with recorded estimates, not investment returns.

OURS — 3 facts from Stock Expert AI's own score and rank

OURS facts used on this page
Fact IDFactValue as shownAs ofTierSource
ours.moonshotMoonshotScore v227 of 100 · Weak · pillars 38 / 24 / 12 / 52 / 80OURSStock Expert AI MoonshotScore v2 engine
ours.valuation_driverRecorded valuation score driverEnterprise value relative to EBITDA is the main valuation drag relative to sector peers.OURSStock Expert AI MoonshotScore v2 engine · stored factor contributions
ours.moonshot_changeMoonshotScore movement27 (stored snapshot Oct 4, 2026) → 27 (current publication computed Oct 5, 2026) (0)OURSStock Expert AI current score publication and immutable score snapshots — The current score publication is not yet represented in the immutable snapshot archive.

Fact-family notes

  1. Quarterly statement note. Source series as of 2026-06-30. USD. The operating result is the FMP-standardized value supplied by FMP; it may differ from a filing’s GAAP loss from operations when the provider classifies separately presented items differently. It is not net income or cash flow. Applies to Fact IDs: fin.q_table.depth.2026-06-30.revenue_k, fin.q_table.depth.2026-06-30.sga_k, fin.q_table.depth.2026-06-30.operating_result_k, fin.q_table.depth.2026-03-31.revenue_k, fin.q_table.depth.2026-03-31.sga_k, fin.q_table.depth.2026-03-31.operating_result_k, fin.q_table.depth.2025-12-31.revenue_k, fin.q_table.depth.2025-12-31.sga_k, fin.q_table.depth.2025-12-31.operating_result_k, fin.q_table.depth.2025-09-30.revenue_k, fin.q_table.depth.2025-09-30.sga_k, fin.q_table.depth.2025-09-30.operating_result_k.
  2. Earnings-history note. Source series as of 2026-07-23. Dates are report dates, not fiscal period ends. Revenue is in USD; EPS is USD per share, rounded to four decimals. The earnings feed does not establish a basic, diluted or adjusted basis. Earnings-feed EPS may differ from statement EPS; the two series are not combined. Applies to Fact IDs: earn.history.depth.2026-07-23.revenue_actual, earn.history.depth.2026-07-23.revenue_estimated, earn.history.depth.2026-07-23.revenue_actual.comparison, earn.history.depth.2026-07-23.eps_actual.comparison, earn.history.depth.2026-07-23.eps_actual, earn.history.depth.2026-07-23.eps_estimated, earn.history.depth.2026-04-23.revenue_actual, earn.history.depth.2026-04-23.revenue_estimated, earn.history.depth.2026-04-23.eps_actual, earn.history.depth.2026-04-23.eps_estimated, earn.history.depth.2026-02-04.revenue_actual, earn.history.depth.2026-02-04.revenue_estimated, earn.history.depth.2026-02-04.eps_actual, earn.history.depth.2026-02-04.eps_estimated, earn.history.depth.2025-10-15.revenue_actual, earn.history.depth.2025-10-15.revenue_estimated, earn.history.depth.2025-10-15.eps_actual, earn.history.depth.2025-10-15.eps_estimated.
  3. Cash-flow note. Source series as of 2026-06-30. USD. Negative operating cash flow means cash used. Capital expenditure keeps the provider’s reported sign; it is not added here to estimate free cash flow or runway. Applies to Fact IDs: fin.opcf.depth.2026-06-30.operating_cash_flow_m, fin.opcf.depth.2026-03-31.operating_cash_flow_m, fin.opcf.depth.2026-06-30.capex_m, fin.opcf.depth.2026-03-31.capex_m, fin.opcf.depth.2025-12-31.operating_cash_flow_m, fin.opcf.depth.2025-12-31.capex_m, fin.opcf.depth.2025-09-30.operating_cash_flow_m, fin.opcf.depth.2025-09-30.capex_m.
Published
Research standards
Methodology · Editorial policy · Corrections

Sources used for research written 2026-09-13

Historical evidence preserved with this analysis. Current figures are listed separately above.

EvidenceCaptured valueSource dateSource typeSource
Legal name
Rexford Industrial Realty, Inc.
2026-02-11OFFICIALSEC EDGAR — 10-K filed 2026-02-11
Sector / industry (provider taxonomy)
Real Estate / REIT - Industrial

The company's SEC filings classify it under SIC 6798 — Real Estate Investment Trusts.

2026-09-13FMPFinancial Modeling Prep (FMP) company profile
Business description
Rexford Industrial Realty, Inc. creates value by investing in, operating and repositioning industrial properties throughout infill Southern California, the world's fourth largest industrial market and consistently the highest-demand with lowest-supply major market in the nation over the long term. The Company’s highly differentiated strategy enables internal and external growth opportunities through its proprietary value creation and asset management capabilities. Rexford Industrial’s high-quality, irreplaceable portfolio comprised 419 properties with approximately 51.2 million rentable square feet occupied by a stable and diverse tenant base. Structured as a real estate investment trust (REIT) listed on the New York Stock Exchange. Rexford Industrial is an S&P MidCap 400 Index member. Rexford Industrial Realty, Inc. was incorporated on January 18th, 2013 in Maryland, USA.
2026-09-13FMPFinancial Modeling Prep (FMP) company profile
Quarterly income statement (USD thousands)
Captured record · 8 entries
  • Quarter ended 2026-06-30 — EPS: -$2.26 per share, SG&A: $13.69M, EPS basic: -$2.26 per share, EPS basis: diluted, Revenue: $245.51M, EPS diluted: -$2.26 per share, Net result: -$506.90M, Gross profit: $189.29M, Operating result: $102.12M
  • Quarter ended 2026-03-31 — EPS: $0.38 per share, SG&A: $14.93M, EPS basic: $0.38 per share, EPS basis: diluted, Revenue: $245.08M, EPS diluted: $0.38 per share, Net result: $91.19M, Gross profit: $188.31M, Operating result: $100.46M
  • Quarter ended 2025-12-31 — EPS: -$0.3 per share, SG&A: $0, EPS basic: -$0.3 per share, EPS basis: diluted, Revenue: $240.66M, EPS diluted: -$0.3 per share, Net result: -$65.42M, Gross profit: $27.77M, Operating result: $92.79M
  • Quarter ended 2025-09-30 — EPS: $0.35 per share, SG&A: $20.04M, EPS basic: $0.35 per share, EPS basis: diluted, Revenue: $253.24M, EPS diluted: $0.35 per share, Net result: $89.92M, Gross profit: $195.36M, Operating result: $94.15M
  • Quarter ended 2025-06-30 — EPS: $0.48 per share, SG&A: $19.75M, EPS basic: $0.48 per share, EPS basis: diluted, Revenue: $249.51M, EPS diluted: $0.48 per share, Net result: $116.33M, Gross profit: $194.21M, Operating result: $174.46M
  • Quarter ended 2025-03-31 — EPS: $0.3 per share, SG&A: $19.87M, EPS basic: $0.3 per share, EPS basis: diluted, Revenue: $252.29M, EPS diluted: $0.3 per share, Net result: $71.20M, Gross profit: $197.03M, Operating result: $177.16M
  • Quarter ended 2024-12-31 — EPS: $0.26 per share, SG&A: $21.94M, EPS basic: $0.27 per share, EPS basis: diluted, Revenue: $242.90M, EPS diluted: $0.26 per share, Net result: $62.19M, Gross profit: $186.89M, Operating result: $164.95M
  • Quarter ended 2024-09-30 — EPS: $0.3 per share, SG&A: $20.93M, EPS basic: $0.3 per share, EPS basis: diluted, Revenue: $241.84M, EPS diluted: $0.3 per share, Net result: $67.77M, Gross profit: $186.98M, Operating result: $166.05M
2026-06-30FMPFinancial Modeling Prep (FMP), from the company's 10-Q and 10-K income statements
Operating cash flow by quarter (USD millions)
Captured record · 8 entries
  • Quarter ended 2026-06-30 — Capital expenditure: -$48.06M, Operating cash flow: $106.79M
  • Quarter ended 2026-03-31 — Capital expenditure: -$63.04M, Operating cash flow: $141.17M
  • Quarter ended 2025-12-31 — Capital expenditure: -$81.93M, Operating cash flow: $111.75M
  • Quarter ended 2025-09-30 — Capital expenditure: -$89.15M, Operating cash flow: $149.63M
  • Quarter ended 2025-06-30 — Capital expenditure: -$83.20M, Operating cash flow: $128.16M
  • Quarter ended 2025-03-31 — Capital expenditure: -$79.15M, Operating cash flow: $152.55M
  • Quarter ended 2024-12-31 — Capital expenditure: -$88.38M, Operating cash flow: $116.26M
  • Quarter ended 2024-09-30 — Capital expenditure: -$120.00M, Operating cash flow: $127.24M
2026-06-30FMPFinancial Modeling Prep (FMP), from the company's 10-Q cash-flow statements
Cash, investments and debt
Total debt: $3.37B; Liquidity basis: cash and short-term investments; Total liabilities: $3.74B; Cash and short-term investments: $32.23M; Cash and investments: $32.20M; Long-term investments: $0; Long-term investments classification: unclassified

Long-term investments are shown separately; their marketability is not established by the provider field. The cash and short-term investment balance does not establish unrestricted availability.

2026-06-30FMPFinancial Modeling Prep (FMP), from the company's balance sheet
Recent dividends paid
Captured record · 4 entries
  • Ex date: 2026-06-30, Payment date: 2026-07-15, Amount per share: $0.44
  • Ex date: 2026-03-31, Payment date: 2026-04-15, Amount per share: $0.44
  • Ex date: 2025-12-31, Payment date: 2026-01-15, Amount per share: $0.43
  • Ex date: 2025-09-30, Payment date: 2025-10-15, Amount per share: $0.43

Declared amounts per share on their ex-dates. A single payment does not establish an annual rate, and a special dividend is not separated here.

2026-06-30FMPFinancial Modeling Prep (FMP) dividend history
Annual revenue and net result (USD millions)
Captured record · 5 entries
  • FY2025 — R&D: $0, Revenue: $1.00B, Period end: 2025-12-31, Net result: $212.03M
  • FY2024 — R&D: $0, Revenue: $936.41M, Period end: 2024-12-31, Net result: $273.80M
  • FY2023 — R&D: $0, Revenue: $797.83M, Period end: 2023-12-31, Net result: $238.02M
  • FY2022 — R&D: $0, Revenue: $631.20M, Period end: 2022-12-31, Net result: $167.58M
  • FY2021 — R&D: $0, Revenue: $452.24M, Period end: 2021-12-31, Net result: $128.24M
2025-12-31FMPFinancial Modeling Prep (FMP), from the company's 10-K income statements
Reported versus estimated, last 8 quarters
Captured record · 8 entries
  • Reported 2026-07-23 — EPS actual: -$2.26 per share, EPS estimated: $0.2947 per share, Revenue actual: $243.00M, Revenue estimated: $240.24M
  • Reported 2026-04-23 — EPS actual: $0.38 per share, EPS estimated: $0.2669 per share, Revenue actual: $242.14M, Revenue estimated: $242.42M
  • Reported 2026-02-04 — EPS actual: -$0.3 per share, EPS estimated: $0.2469 per share, Revenue actual: $243.23M, Revenue estimated: $247.86M
  • Reported 2025-10-15 — EPS actual: $0.37 per share, EPS estimated: $0.3099 per share, Revenue actual: $246.76M, Revenue estimated: $246.38M
  • Reported 2025-07-16 — EPS actual: $0.48 per share, EPS estimated: $0.2482 per share, Revenue actual: $241.57M, Revenue estimated: $246.03M
  • Reported 2025-04-16 — EPS actual: $0.3 per share, EPS estimated: $0.2737 per share, Revenue actual: $248.82M, Revenue estimated: $244.71M
  • Reported 2025-02-05 — EPS actual: $0.27 per share, EPS estimated: $0.27 per share, Revenue actual: $239.74M, Revenue estimated: $242.99M
  • Reported 2024-10-16 — EPS actual: $0.3 per share, EPS estimated: $0.2799 per share, Revenue actual: $238.40M, Revenue estimated: $235.81M
2026-07-23FMPFinancial Modeling Prep (FMP) earnings
Trailing twelve-month ratio set
Quick ratio: 0.05; Current ratio: 0.05; Debt to equity: 0.45; Net margin: -39.7%; Gross margin: 61%; Operating margin: 39.6%; Return on assets: -3.4%; Return on equity: -4.8%

Price-based multiples captured at research time are not repeated here; the page shows each once, from current figures with their own dates. A ratio our provider could not compute is absent rather than shown as zero.

2026-09-13FMPFinancial Modeling Prep (FMP) key-metrics-ttm + ratios-ttm
Cash and investment components
Total basis: cash short and long-term investments; Total: $32.20M; Cash and short-term investments: $32.20M; Long-term investments: $0; Long-term investments classification: unclassified

Sums the balance sheet's cash and short-term investments with its long-term investments.; The long-term investment field does not establish marketability; the sum is not a measure of available liquidity.; These provider fields do not establish investment access restrictions or explain differences from third-party cash figures.

2026-06-30COMPUTEDComputed from the balance sheet
Cash and short-term investments over time (USD millions)
Captured record · 8 entries
  • 2026-06-30 — Amount: $32.20M, Cash basis: cash and short-term investments
  • 2026-03-31 — Amount: $51.70M, Cash basis: cash and short-term investments
  • 2025-12-31 — Amount: $165.80M, Cash basis: cash and short-term investments
  • 2025-09-30 — Amount: $314.40M, Cash basis: cash and short-term investments
  • 2025-06-30 — Amount: $431.10M, Cash basis: cash and short-term investments
  • 2025-03-31 — Amount: $504.60M, Cash basis: cash and short-term investments
  • 2024-12-31 — Amount: $56.00M, Cash basis: cash and short-term investments
  • 2024-09-30 — Amount: $61.80M, Cash basis: cash and short-term investments
2026-06-30FMPFinancial Modeling Prep (FMP), from the company's quarterly balance sheets
Distress and quality screens
Altman Z-score: 0.88; Piotroski F-score: 5

Altman Z below 1.8 is the conventional distress zone. The screen is built for manufacturers and industrials; for banks, insurers and property companies it is not a meaningful reading.

2026-09-13FMPFinancial Modeling Prep (FMP) financial scores
Next scheduled dividend
Ex date: 2026-09-30; Declared on: 2026-07-20; Record date: 2026-09-30; Payment date: 2026-10-15; Amount per share: $0.44

Amount is per share as declared, before any withholding. Owning the share before the ex-date is what carries entitlement.

2026-07-20FMPFinancial Modeling Prep (FMP) dividend calendar
Dividends per share, last 12 months (split-adjusted)
$1.73

Sum of 4 split-adjusted declared dividends with an ex-date in the 365 days to 2026-09-13, per current share. Ex-dates are not payment dates; special dividends are included. Not a declared annual rate.

2026-06-30COMPUTEDFinancial Modeling Prep (FMP) split-adjusted dividend history
Dividend yield, last 12 months
4.55%

Split-adjusted dividends with ex-dates in the trailing 365-day window divided by the packet price, on the same current-share basis. Price date follows the quote, latest price bar or packet-build day when unstamped. Not a forecast or declared annual rate.

2026-09-11COMPUTEDFinancial Modeling Prep (FMP) split-adjusted dividend history and quote
Next earnings report
Date: 2026-10-21; EPS estimate: $0.3533 per share; Revenue estimate: $234.41M

The date is our provider's estimate until the company confirms it.

2026-09-13FMPFinancial Modeling Prep (FMP) earnings calendar
Analyst revenue and earnings estimates (average)
Captured record · 4 entries
  • FY2027 — EPS average: $1.53 per share, Revenue average: $904.67M, Revenue low: $863.90M, Revenue high: $957.46M, Analysts (revenue): 7
  • FY2028 — EPS average: $1.29 per share, Revenue average: $909.98M, Revenue low: $819.98M, Revenue high: $1.02B, Analysts (revenue): 7
  • FY2029 — EPS average: $0.84 per share, Revenue average: $899.60M, Revenue low: $859.06M, Revenue high: $952.10M, Analysts (revenue): 3
  • FY2030 — EPS average: $1.27 per share, Revenue average: $1.04B, Revenue low: $994.09M, Revenue high: $1.10B, Analysts (revenue): 5
2026-09-13FMPFinancial Modeling Prep (FMP) analyst estimates
Recent SEC filings2026-08-18OFFICIALSEC EDGAR filer submissions
Most recent periodic reports
Annual: Document: https://www.sec.gov/Archives/edgar/data/1571283/000157128326000006/rexr-20251231.htm, Filed: 2026-02-11, Period end: 2025-12-31; Quarterly: Document: https://www.sec.gov/Archives/edgar/data/1571283/000157128326000040/rexr-20260630.htm, Filed: 2026-07-28, Period end: 2026-06-30
2026-07-28OFFICIALSEC EDGAR filer submissions
Named officers
CEO: Laura Clark; Officers: Sharyl LaPorte — Title: Senior Vice President of Property Management; Doug Bettisworth — Title: Senior Vice President of Investor Relations & Capital Markets; Carlos Puertas — Title: Senior Vice President of Human Resources; Carlos Serra — Title: Executive Vice President of Development & Construction; John Nahas — Title: Chief Operating Officer, Pay: $2.12M, Born: 1983; Víctor J. Ramírez — Title: Executive Vice President & Controller; Cassidy Esper — Title: Senior Vice President of Marketing & Communications; Mikayla Lynch — Title: Director of Investor Relations & Capital Markets

Titles and pay come from the company's proxy statement as our provider parsed it.

2026-09-13FMPFinancial Modeling Prep (FMP) key executives (proxy-derived)
Institutional ownership (13F)
Holders: 435; Quarter: 2026-06-30; Holders previous quarter: 441

13F filings are quarterly and lag the quarter end by up to 45 days.

2026-06-30FMPFinancial Modeling Prep (FMP) institutional ownership summary, from 13F filings
Largest 5 institutional holders
Captured record · 5 entries
  • Holder: Blackrock, INC., Shares: 38,602,017
  • Holder: Price T Rowe Associates INC /Md/, Shares: 28,114,159
  • Holder: Vanguard Portfolio Management LLC, Shares: 19,593,447
  • Holder: Capital International Investors, Shares: 11,689,069
  • Holder: Principal Financial Group INC, Shares: 11,004,961
2026-06-30FMPFinancial Modeling Prep (FMP) institutional holders, from 13F filings
Analyst actions, most recent per firm
Captured record · 10 entries
  • 2026-09-01 — Firm: Wells Fargo, Action: maintain, Rating: Overweight, Previous rating: Overweight
  • 2026-08-31 — Firm: Scotiabank, Action: maintain, Rating: Sector Outperform, Previous rating: Sector Outperform
  • 2026-08-19 — Firm: Mizuho, Action: maintain, Rating: Neutral, Previous rating: Neutral
  • 2026-08-06 — Firm: Jefferies, Action: downgrade, Rating: Hold, Previous rating: Buy
  • 2026-08-03 — Firm: JP Morgan, Action: maintain, Rating: Underweight, Previous rating: Underweight
  • 2026-07-27 — Firm: Evercore ISI Group, Action: maintain, Rating: Outperform, Previous rating: Outperform
  • 2026-07-16 — Firm: Barclays, Action: maintain, Rating: Underweight, Previous rating: Underweight
  • 2026-05-21 — Firm: Truist Securities, Action: maintain, Rating: Buy, Previous rating: Buy
  • 2026-02-13 — Firm: Citigroup, Action: maintain, Rating: Neutral, Previous rating: Neutral
  • 2026-02-06 — Firm: Cantor Fitzgerald, Action: maintain, Rating: Overweight, Previous rating: Overweight

One row per firm — the firm's most recent action in our feed. Other data vendors may carry firms ours does not.

2026-09-01FMPFinancial Modeling Prep (FMP) analyst grades
SEC filing business address
11620 WILSHIRE BOULEVARD, SUITE 1000, LOS ANGELES, CA, 90025

The SEC filer business address. Our market-data provider separately lists "11620 Wilshire Boulevard, Los Angeles, CA, 90025-6821, US".

2026-09-13OFFICIALSEC EDGAR filer business address
Data Sources & Methodology
Figures come from Financial Modeling Prep (FMP). If FMP has no figure for a ticker, a price or fundamental may come from a Yahoo Finance fallback, or a price from an Alpaca fallback. SEC EDGAR is used only for filing links and company identity details (legal name, address), never for figures. AI analysis by Stock Expert AI proprietary algorithms. Technical indicators via industry-standard calculations. Last updated: .
Data Provenance
Sources: Financial Modeling Prep (FMP) — Primary · Yahoo Finance — Fallback · Alpaca — Tertiary
Last fetched:
Cache TTL: Quote 5min · Profile 7d · Financials 7d · Insider 48h
How we use AI: Numbers are pulled directly from FMP & Yahoo Finance — our AI writes the analysis, it never edits the figures.
Data provided as-is for educational purposes. Not financial advice. Methodology

Data provided for informational purposes only.

ETFs that hold REXR

Funds in our ETF coverage that list REXR among the top 10 holdings on their fund page, largest weight first. Each weight is the fund's reported holding weight as of the date in its row.

ETFWeightHoldings as of
Pacer Industrial Real Estate ETF (INDS)3.46%