Keppel DC REIT was listed on the Singapore Exchange on 12 December 2014 as the first pure-play data centre REIT in Asia. Keppel DC REIT's investment strategy is to principally invest, directly or indirectly, in a diversified portfolio of income-producing real estate assets which are used primarily for data centre purposes, as well as real estate and assets necessary to support the digital economy. Keppel DC REIT's investments comprise a mix of colocation, fully-fitted and shell and core assets, as well as debt securities, thereby reinforcing the diversity and resiliency of its portfolio. Keppel DC REIT is managed by Keppel DC REIT Management Pte. Ltd. (the Manager) and is sponsored by Keppel, a global asset manager and operator with strong expertise in sustainability-related solutions spanning the areas of infrastructure, real estate and connectivity. Keppel DC REIT was incorporated in 2011 in Singapore.
Frequently asked questions
What sector does Keppel DC REIT (KPDCF) operate in?
Keppel DC REIT belongs to the Other sector and operates in the REIT - Office industry.
What is Keppel DC REIT (KPDCF) current stock price?
As of the latest data, Keppel DC REIT stock price is $1.63, with a previous close of $1.63.
What is Keppel DC REIT (KPDCF) current market capitalization?
Keppel DC REIT market cap is approximately 4.46 billion.
What is Keppel DC REIT (KPDCF) Earnings Per Share (EPS)?
The trailing EPS is $0.15.
What is Keppel DC REIT (KPDCF) Price-to-Earnings (P/E) ratio?
Keppel DC REIT current P/E ratio is 10.83.
Does Keppel DC REIT (KPDCF) pay dividends?
Yes. Keppel DC REIT pays semiannual dividends with an annualized yield of 11.05% and an estimated annual payout of $0.18 per share.
When is the next ex-dividend date for Keppel DC REIT (KPDCF)?
The next ex-dividend date is scheduled for September 08, 2026.
When is Keppel DC REIT (KPDCF) next earnings report?
Keppel DC REIT is expected to release its next earnings report on December 31, 2026.
What is Keppel DC REIT (KPDCF) beta (volatility) score?
Keppel DC REIT has a beta of 0.836, meaning its volatility is roughly in line with the market.