3UN0

Global Medical REIT Inc.

Real Estate · EUR · F

3UN0

Price

€31.75

-0.18%

Cap

€460.18M

Earnings

30d Trend

+9.0%

3UN0
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0 days · % change from startPowered by Brain47
52-week range100%
€1.49€31.80

Near 52-week highs — limited upside before resistance

VolatilityModerate

34% annualised over 90 days

Chiron Real Estate Inc. is a net-lease medical REIT that acquires healthcare facilities and leases those facilities to physician groups and regional and national healthcare systems. Chiron Real Estate Inc. was established on March 18, 2011 and is based in Bethesda, United States.

BRAIN47 SIGNAL

0
MODERATE
Risk Level50
Quality27
Momentum47
Technical56
REIT Fundamentals56

Raw weighted: 44×Macro 0.99 (1%)=44

RISK LEVEL

50/100
90d Volatility
34.2%Moderate
ATR %
3.0%High daily moves
Max Drawdown (1Y)
-20.2%Normal

QUALITY

27/100
ROE (avg)
-1.7%Negative
Piotroski F-Score
4/9Average
Debt/Equity
1.30Moderate
Accruals
-6.4%Cash earnings
Interest Coverage
1.1xTight

MOMENTUM

47/100
6-1M Momentum
-2.6%Flat
1M Return
+11.4%Strong recent gains

TECHNICAL

56/100
RSI (14)
59.7Neutral
Price vs SMA200
+10.3%Bullish trend
MACD
+0.10Bullish momentum
Bollinger Band
73%Mid-range
SMA Cross
Death CrossDeath Cross
Trend Quality (KER)
0.246Noisy/choppy

REIT FUNDAMENTALS

56/100
Dividend Yield
14.26%High income
Debt/Equity
1.30xModerate
Interest Coverage
1.1xStrained

Macro: neutral (×0.99) - Fear/Greed: 61 (Greed) - Data: 100%

Running historical backtest...

BRAIN47 HORIZON ANALYSIS

<3 months58
3-12 months67
1-5+ years52

3-6 month opportunity — emerging trend

BRAIN47'S ASSESSMENT

I rate Global Medical REIT Inc. at 44/100 — a MODERATE reading on the Brain47 Signal. The strongest factor is technical at 56/100. I classify this as a income position with the strongest thesis on a medium-term horizon.

PAST PERFORMANCE

1 MONTH

+11.4%

3 MONTHS

+8.2%

12 MONTHS

Trailing returns — past performance, not a projection.

DETAILED ANALYSIS

3-6 month opportunity — emerging trend. Technical (56) and Fundamentals (56) are the primary strengths. I note that quality is the weakest area at 27/100 — this warrants monitoring. Historical volatility is moderate at 34%. I classify this as an income position — the 14.3% yield combined with the dividend profile makes it suitable for income generation.

incomeScore: 44/100

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Generated by Brain47 AI. Educational research only. Not financial advice. Brain47 is not authorised by the FCA to provide investment advice.