1. MARKETS
  2. SECTOR : REAL ESTATE
  3. INDUSTRY : REAL ESTATE INVESTMENT TRUSTS
  4. KITE REALTY GROUP TRUST
Kite Realty Group Trust XNYS: KRG
22.53 -0.20 (-0.88%)
1.9M
XNYS Volume

XNYS 12 Sep, 2025 5:30 PM (EDT)

Analyst Downgrade
Citi downgrades Kite Realty Group Trust to 'Neutral'; cuts the target price to $24 See details

Analyze undervaluation/ overvaluation of Kite Realty Group Trust with current and 1 Year Forward PE

INSIGHT
Kite Realty Group Trust is undervalued at both current PE and future earnings estimates
Right Now : Current PE vs 5 year Average PE
Undervalued
Fair price

Based on 5Yr Average PE

437.1
Upside

Current PE versus 5Yr Average PE

1839.96 %
1 Year Forward : 5 Yr Average PE & Projected 1Yr Forward EPS*
Undervalued
Fair price

Based on 1Yr Forward EPS

389.7
Upside

5 Yr Average PE & 1Yr Forward EPS

1629.77 %
Info: The Kite Realty Group Trust's current PE is 28.70 ,while its 5 year PE average is 556.7. Its forward PE based on analyst estimates is 32.2
Note: The forward PE ratio (or forward price-to-earnings ratio) is calculated by dividing the current share price of a company by the estimated(1Yr) future (“forward”) earnings per share (EPS) of that company.
Choose Stock, Parameter and Date Range
Furthest date for non subscribers is 13-09-2023

Analyze undervaluation/ overvaluation of Kite Realty Group Trust with historical PE and PBV ratios

from 13 Sep, 2023 to 12 Sep, 2025

Restated PE

Strong Buy Zone

4.9% into PE buy sell zone

% time spent below current PE
0 20 40 60 80 100
Strong upside potential
Gains already realized

Out of 367 days, Kite Realty Group Trust traded 18 (4.9%) days below the current PE of on Restated basis.

Originally Reported PE

Strong Buy Zone

5.1% into PE buy sell zone

% time spent below current PE
0 20 40 60 80 100
Strong upside potential
Gains already realized

Out of 356 days, Kite Realty Group Trust traded 18 (5.1%) days below the current PE of on Originally Reported basis.

Note: This is a reverse percentile score. Values close to 100% are bad while values close to 0% are good. Days when PE is negative are not considered in the analysis
PE range Days traded in range % Days traded in range Days traded within & below range % Days traded within & below range
26-29
Current PE is 28.7
23 6.5% 23 6.5%
29-81
Forward PE is 32.19
12 3.4% 35 9.8%
81-86
40 11.2% 75 21.1%
86-99
54 15.2% 129 36.2%
99-121
49 13.8% 178 50.0%
121-166
53 14.9% 231 64.9%
166-365
54 15.2% 285 80.1%
365-1180
35 9.8% 320 89.9%
1180-1280
36 10.1% 356 100.0%
Total 356 356
PE range Days traded in range % Days traded in range Days traded within & below range % Days traded within & below range
26-29
Current PE is 28.7
23 6.3% 23 6.3%
29-83
Forward PE is 32.19
24 6.5% 47 12.8%
83-87
28 7.6% 75 20.4%
87-99
55 15.0% 130 35.4%
99-126
60 16.3% 190 51.8%
126-165
48 13.1% 238 64.9%
165-365
58 15.8% 296 80.7%
365-1179
35 9.5% 331 90.2%
1179-1280
36 9.8% 367 100.0%
Total 367 367

FAQ

  • What is the PE ratio?

    In its simplest definition, the price-to-earnings ratio (PE ratio) represents the price an investor pays per dollar of a company's earnings.
    For example, if a company has a PE ratio of 25, investors are willing to pay USD 25 for each dollar of the company's current earnings. This indicates that investors value the stock at 25 times its current earnings, with an expectation of future earnings growth.
    The PE ratio fluctuates based on investor sentiment towards a company. Positive sentiment drives the stock price higher, resulting in a higher PE ratio (investors pay more for each dollar of earnings). Conversely, negative sentiment lowers the PE ratio (investors pay less for each dollar of earnings).
  • What is the PE buy/sell zone?

    The PE buy/sell zone is calculated based on how many days a stock has traded at its current PE level.
    To do this, we compare the current PE to the stock’s historical PE performance, to find out how often (for how many days in the past) the stock has traded at its current PE value.
    If the stock has usually traded above its current PE level (it’s at a higher PE for the majority of trading days), then the stock is cheaper than usual and in the PE buy zone.
    If the stock has usually traded below its current PE level (it’s at a lower PE for the majority of trading days), then the stock is more expensive than usual and in the PE sell zone.
  • How is the PE buy sell zone useful?

    The PE buy sell zone tells you if a stock’s current PE level is unusually high or low, and if a stock doesn’t typically trade at that level. It helps investors identify stocks that are undervalued or overvalued in terms of their typical PE trading behavior.
    Investors should keep in mind that the buy zone/sell zone is not a foolproof buy or sell signal. For example, the PE of a stock may have fallen substantially due to adverse events or negative news. Or the PE may have risen sharply after the company has won new orders, made an acquisition, announced a buyback, or some other positive event. PE Buy/Sell Zone signals should be looked at in conjunction with other information.
  • Why are the number of days different for Restated and Originally Reported data?

    This can be because of any of the 2 following reasons:
    1. Days when PE is negative are not considered in the analysis. So if only 1 of the Restated or Originally Reported PE is negative and the other is not, then the days will be different
    2. Companies have reported Originally Reported data for limited period.