US Masters Residential Property Fund

  • IPO date:
  • Sector: Real Estate
  • GIC Group:
  • Industry: REIT-Residential
  • Company website

Company description

US Masters Residential Property Fund (Fund) was established in 2011 and is listed on the Australian Securities Exchange (URF.ASX). The Fund was established to give investors exposure to US residential property and is the largest Australian-listed property trust with a primary strategy of investing in freestanding and multi-tenant US residential property in the New York metropolitan area. The Fund is focused on seeking to achieve long-term returns through a combination of income from rental yields along with potential long-term capital growth. Since 2011, the Fund's portfolio has grown to 982 housing units across 551 freestanding properties, with a gross asset value of approximately $1.2 billion (as at 30 June 2020). The Fund conducts all its New York metropolitan area residential investment through its controlled entity US Masters Residential Property (USA) Fund, a Maryland Real Estate Investment Trust (US REIT). A dedicated team of highly-skilled professionals based in New York manages every aspect of the real estate investment process ? from acquiring the properties and rehabilitating the assets, to leasing the homes and ongoing tenant management.

Financial highlights

Market Capitalization$357.7791 million
P/E Ratio8200
P/E Growth Ratio
Book Value0.631
Dividend Per Share0
Earnings Per Share0.01
EBITDA11,158.554
Profit Margin0.5386
Operating Margin TTM0.2829
Return on Assets TTM0.0069
Return on Equity TTM0.0495
Revenue TTM39,249.904

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2015-12-31 23,413.6 13,757.76 9,655.84
2016-12-31 31,235.04 15,444.96 15,790.08
2017-12-31 34,713.2 14,694.97 20,018.23
2018-12-31 39,261.61 16,043.23 23,218.38
2019-12-31 50,685.29 19,060.33 31,624.96
2020-12-31 45,155.666 18,472.889 26,682.777
2021-12-31 39,400.76 12,311.61 27,089.15

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2015-12-31 1,107,316 572,174.35 450,996.95 388,720.49
2016-12-31 123,212.092 1,246,299.3 662,455.39 540,289.75 472,669.283
2017-12-31 182,798.77 1,368,330.81 679,402.27 560,260.86 455,858.921
2018-12-31 106,992.735 1,497,238.56 763,832.41 669,700.53 457,711.657
2019-12-31 85,875.027 1,295,956.73 735,140.53 650,104.32 448,400.079
2020-12-31 74,720.179 1,033,219.981 623,543.821 547,722.78 450,704.528
2021-12-31 56,714.776 975,358.35 530,559.71 477,930.82 453,173.851

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2015-12-31 -30,611.35 -57,723.45 -11,926.99
2016-12-31 -45,127.626 -43,235.674 -10,345.36 123,212.092 -13,804.1
2017-12-31 -13,218.799 -42,851.347 59,586.678 123,212.092 182,798.77 -16,361.781
2018-12-31 -28,135.04 -32,451.654 -75,806.035 182,798.77 106,992.735 -22,419.376
2019-12-31 -154,512.952 -29,215.317 -21,117.708 106,992.735 85,875.027 -21,748.629
2020-12-31 -95,519.724 -12,820.076 -11,154.848 85,875.027 74,720.179 -10,143.689
2021-12-31 21,140.021 -10,003.34 -18,005.403 74,720.179 56,714.776 -9,973.316