XRN
Chiron Real EstateDNYSE / Equity Real Estate Investment Trusts (REITs)
Last Price
At close
2026-07-23
Current thesis
The positive read is that Chiron is using fresh preferred capital to fund a deliberate move into seniors housing, with the first Alexandria closings expected in Q2 2026, a third asset slated for Q4 2026, same-property cash NOI still growing 3.2%, and no near-term debt maturity wall highlighted in the earnings release. The median target in the packet is $37.3929, above both the May 7, 2026 anchor price of $32.30 and the May 8, 2026 close of $33.99.
Posture
Defensive
Lead driver
Value
What changed
Value remains the lead driver in the composite, 7D delta +4.8.
What can break
Capital structure complexity from the Series C preferred, including commitment fees, dividend burden, conversion features, and governance rights granted to Maewyn.
Momentum
47
Value
65
Sentiment
31
Setup hits (3d)
0 · Net Neutral
AI TargetsBase $31.00 · Bull $37.00 · Bear $27.00
Data freshness
Prices
As of 2026-07-23
Fundamentals
As of 2026-07-23 • Vendor: Data Vendor v1
Scores
As of 2026-07-23 • Model: HYBRID_IC_RP
AI Memo
As of 2026-05-09 • Model: RankAlpha Sentiment Codex
Investment thesisAs of 2026-07-23
Investment thesis
As of 2026-07-23
Supporting evidence
What
Grade D · Defensive
Confidence Medium · Net Neutral
Target $39.38
Why
Momentum47 · Δ7d +0.2
Value65 · Δ7d +4.8
Sentiment31 · Δ7d -1.6
So what
Weak posture (Net Neutral). Prioritize risk control and patience.
Lead driver: Value · See fundamentals
Momentum
47
26% active weight
Current posture
7d trendSoftening
Δ7d
+0.2
Δ21d
-3.0
Value
65
39% active weight
Current posture
7d trendImproving
Δ7d
+4.8
Δ21d
+4.8
Sentiment
31
34% active weight
Current posture
7d trendSoftening
Δ7d
-1.6
Δ21d
-0.4
Why this grade
Composite grade D. Momentum 46.8 / Value 65.0 / Sentiment 31.1
Fundamentals (TTM)As of 2026-07-23
Fundamentals (TTM)
As of 2026-07-23
Market Cap
$541.01M
Beta
1.21
Shares Out
13.23M
P/E (TTM) · Derived
-45.1
P/S (TTM)
3.16
P/FCF (TTM) · Derived
-18.74
Rev YoY
+7.0%
EPS YoY
-136.0%
Gross Margin
+42.4%
Op Margin
-3.6%
Net Debt
$659.79M
Current Ratio
1.18
As of 2026-07-23 • Updated nightlySource: Internal modelMethodology

