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Fiscal Wizard · Single-issue tearsheet

ARE / Jun 21, 2026 Run #7396

ARE

Alexandria Real Estate Equities, Inc.

Alexandria Real Estate Equities, Inc., an S&P 500 company, is a best-in-class, mission-driven life science REIT making a positive and lasting impact on the world. With our founding, Alexandria pioneered the life science real estate niche. Alexandria is the preeminent and longest-tenured owner, operator and developer of collaborative Megacampus ecosystems in AAA life science innovation cluster locations, including Greater Boston, the San Francisco Bay Area, San Diego, Seattle, Maryland, Research Triangle and New York City. Alexandria Real Estate Equities, Inc. is based in Pasadena, California and is established in January 05, 1994, and incorporated in Maryland.

Composite verdict

F 22.0 / 100
Bearish setup · Reversal 11 drivers · 5 gates blocking
  • Trendline Break
  • Parabolic SAR Flip
  • MACD Signal Cross
Consider long put target Δ ~0.70 · ~35 DTE Bearish setup, Grade A → ITM put target

Industry rank 13th of 18 in REIT - Office

rescore-sweep
Technical synthesisRegime: volatile downtrend
Bull 0%Evidence: High · 17 signals100% Bear
Momentum Bearish 25Mean-reversion Neutral 44

No notable composite patterns — the signals don't cluster into a named setup right now.

Where value comes fromMargin of safety +38%

Earnings power doesn't cover the capital structure (high debt) — the EPV decomposition isn't meaningful for this name.

Fundamentals Mixed

41.8 / 100

Score-bearing fundamentals shown here exclude gate-only risk checks. · 35 metrics shown.

Strongest
Weakest
Days Sales Outstanding 100
EPS Growth (YoY) 0
Free Cash Flow Yield 100
Asset Turnover 12
Margin of Safety 100
EBITDA Margin 22

Technicals Bearish

2.3 / 100

Bearish setup leads (Trendline Break, Parabolic SAR Flip, MACD Signal Cross); bulls gated by guards. · 43 signals shown.

Strongest
Weakest
Trendline Break 8
Parabolic SAR Flip 12
MACD Signal Cross 14

Risk Gates

5 blocking 6 caution

5 guards active, 22 signals gated.

Interest Coverage Blocking

Weak interest coverage blocks bullish signals — debt-service risk.

Net Debt / EBITDA Blocking

High net debt / EBITDA blocks bullish signals — credit-leverage risk.

Piotroski F-Score Blocking

Bottom-band Piotroski F blocks bullish signals — fundamental-quality risk.

Realized Volatility Regime Blocking

High-vol regime mutes mean-reversion signals; low-vol regime mutes breakout signals.

Breakdown

Look under the hood

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Pick a category, above, to crack it open.

Every chip in either subscore card drills into the metrics or signals that fed it — including the formula, the threshold band, and what the current reading means for ARE.