NYSE:REXR

Rexford Industrial Realty, Inc. (REXR) Financial Overview

Font: Financial Modeling Prep  • Oct 15, 2025

Market Chart
  • Earnings per Share (EPS) of $0.37 fell short of the estimated $0.59 but showed growth from the previous year.
  • Revenue for Q3 2025 was approximately $246.76 million, slightly below estimates, with net income increasing to $87.1 million.
  • Financial Ratios indicate investor confidence and a strong valuation relative to revenue and cash flow.

Rexford Industrial Realty, Inc. (NYSE:REXR) is a real estate investment trust (REIT) that specializes in industrial properties located in Southern California. The company focuses on acquiring, owning, and operating industrial properties, which are essential for logistics and distribution. REXR competes with other industrial REITs in the region, striving to maintain a strong market presence.

On October 15, 2025, REXR reported earnings per share (EPS) of $0.37, which fell short of the estimated $0.59. Despite this, the company showed growth compared to the previous year's third quarter, where EPS was $0.30. This indicates a positive trend in earnings, even though it did not meet market expectations.

REXR's revenue for the third quarter of 2025 was approximately $246.76 million, slightly below the estimated $251 million. The company's net income attributable to common stockholders was $87.1 million, an increase from $65.1 million in the same quarter last year. This growth in net income reflects the company's ability to generate more profit despite missing revenue estimates.

The company's financial ratios provide further insight into its performance. REXR has a price-to-earnings (P/E) ratio of 31.36, showing investor confidence in its earnings potential. The price-to-sales ratio of 10.12 and enterprise value to sales ratio of 13.07 indicate a high market valuation relative to its revenue. These ratios suggest that investors have high expectations for REXR's future growth.

REXR's financial health is supported by a debt-to-equity ratio of 0.38, indicating a moderate level of debt compared to equity. The current ratio of 2.16 suggests a strong ability to cover short-term liabilities with short-term assets. Additionally, the enterprise value to operating cash flow ratio of 24.60 highlights the company's valuation in relation to its cash flow from operations, while an earnings yield of 3.19% provides insight into the return on investment relative to its share price.

Market Overview
CTNT
Cheetah Net Supply Chain Service Inc.
$0.04
28.40%
INTC
Intel Corporation
$82.54
23.60%
SOXS
Direxion Daily Semiconductor Bear 3X ETF
$13.52
-13.86%
NVDA
NVIDIA Corporation
$208.27
4.32%
SCNI
Scinai Immunotherapeutics Ltd.
$0.74
61.62%
TZA
Direxion Daily Small Cap Bear 3X ETF
$5.04
-0.98%
NOK
Nokia Oyj
$10.46
1.21%
BYND
Beyond Meat, Inc.
$0.87
-8.07%
CHSN
Chanson International Holding
$0.18
-92.62%
TSLL
Direxion Daily TSLA Bull 2X ETF
$12.17
1.25%