REITs and real-estate operators — the listed property sector ranked by market cap.
| # | Company | Market Cap | Price | 1D | 1Y | QL Signal |
|---|---|---|---|---|---|---|
| 1 | CBRE GROUP, INC. CBRE |
$41Blarge | $141 | +1.83% | -15.3% | Underweight |
| 2 | Invitation Homes Inc. INVH |
$16Blarge | $27.54 | -0.07% | -10.1% | Underweight |
| 3 | Jones Lang LaSalle, Inc. JLL |
$16Blarge | $347 | +1.41% | +10.4% | Underweight |
| 4 | Compass, Inc. COMP |
$8.1Bmid | $10.51 | +3.75% | +11.5% | Neutral |
| 5 | Terreno Realty Corporation TRNO |
$7.1Bmid | $65.27 | +0.38% | +11.2% | Neutral |
| 6 | Millrose Properties, Inc. MRP |
$4.9Bmid | $29.69 | +0.34% | -14.8% | Underweight |
| 7 | Colliers International Group Inc. Subordinate Voting Shares CIGI |
$4.8Bmid | $93.35 | +2.37% | -44.5% | Underweight |
| 8 | St. Joe Company JOE |
$3.7Bmid | $65.86 | +3.07% | +25.2% | Neutral |
| 9 | MARRIOTT VACATIONS WORLDWIDE CORPORATION VAC |
$3.6Bmid | $104 | +2.47% | +30.4% | Underweight |
| 10 | Curbline Properties Corp. CURB |
$3.4Bmid | $29.32 | -0.27% | +28.3% | Neutral |
| 11 | Cushman & Wakefield Ltd. CWK |
$3.0Bmid | $12.90 | +1.74% | -22.2% | Neutral |
| 12 | Opendoor Technologies Inc OPEN |
$2.7Bmid | $2.79 | -0.71% | -72.6% | Underweight |
| 13 | Newmark Group, Inc. NMRK |
$2.6Bmid | $14.42 | +1.76% | -25.0% | Neutral |
| 14 | UBRAN EDGE PROPERTIES UE |
$2.6Bmid | $20.57 | -0.63% | -3.0% | Neutral |
| 15 | Blackstone Digital Infrastructure Trust Inc. BXDC |
$2.0Bmid | $19.90 | +1.12% | no return history | Neutral |
| 16 | Getty Realty Corp. GTY |
$2.0Bsmall | $32.27 | -0.62% | +13.3% | Neutral |
| 17 | Ellington Financial Inc. EFC |
$1.7Bsmall | $12.89 | -0.84% | -4.8% | Neutral |
| 18 | Innovative Industrial Properties, Inc. IIPR |
$1.6Bsmall | $56.25 | +1.17% | -1.5% | Neutral |
| 19 | Forestar Group Inc. FOR |
$1.4Bsmall | $26.85 | +1.24% | -5.6% | Neutral |
| 20 | Piedmont Realty Trust, Inc. PDM |
$1.2Bsmall | $9.57 | +1.70% | +9.0% | Neutral |
| 21 | MARCUS & MILLICHAP MMI |
$1.2Bsmall | $31.27 | +0.64% | -5.8% | Neutral |
| 22 | AGNT, Inc. AGNT |
$672Msmall | $4.02 | +7.20% | no return history | Buy |
| 23 | Hudson Pacific Properties, Inc. HPP |
$664Msmall | $12.23 | +2.95% | -40.8% | Underweight |
| 24 | Gladstone Commercial Corporation - REIT GOOD |
$615Msmall | $12.71 | +0.94% | -3.0% | Neutral |
| 25 | AH Realty Trust, Inc. AHRT |
$471Msmall | $6.32 | -0.16% | no return history | Neutral |
| 26 | Tejon Ranch Co. TRC |
$438Msmall | $16.21 | +0.56% | -3.8% | Neutral |
| 27 | FRP Holdings, Inc. FRPH |
$425Msmall | $22.15 | -0.45% | -12.8% | Neutral |
| 28 | Boston Omaha Corporation BOC |
$409Msmall | $13.57 | +0.44% | -1.2% | Underweight |
| 29 | Sky Harbour Group Corporation SKYH |
$396Msmall | $10.01 | -2.53% | -1.3% | Underweight |
| 30 | Office Properties Income Trust OPI |
$370Msmall | $16.84 | +4.47% | no return history | Neutral |
| 31 | Five Point Holdings, LLC Class A Common Shares FPH |
$363Msmall | $5.05 | +1.00% | -15.5% | Neutral |
| 32 | Maui Land & Pineapple Co. MLP |
$324Msmall | $16.29 | +1.31% | -13.0% | Buy |
| 33 | American Realty Investors, Inc. ARL |
$260Msmall | $16.08 | +2.10% | -4.3% | Neutral |
| 34 | Claros Mortgage Trust, Inc. CMTG |
$213Msmall | $1.51 | -1.95% | -60.4% | Underweight |
| 35 | Comstock Holding Companies, Inc. CHCI |
$206Msmall | $20.07 | -4.47% | +21.1% | Underweight |
| 36 | Angel Oak Mortgage REIT, Inc. AOMR |
$188Msmall | $8.10 | 0.00% | -17.7% | Neutral |
| 37 | Douglas Elliman Inc. DOUG |
$157Msmall | $1.73 | +0.58% | -36.2% | Underweight |
| 38 | AMREP Corporation AXR |
$122Msmall | $22.94 | -0.13% | +3.1% | Neutral |
| 39 | Mobile Infrastructure Corporation BEEP |
$116Msmall | $2.80 | -1.75% | -23.1% | Neutral |
| 40 | Star Holdings Shares of Beneficial Interest STHO |
$112Msmall | $9.31 | -2.31% | +4.3% | Underweight |
| 41 | Seritage Growth Properties Class A common shares of beneficial interest, par value $0.01 SRG |
$108Msmall | $1.92 | +0.52% | -56.3% | Neutral |
| 42 | Intergroup Corporation (The) INTG |
$81Msmall | $37.74 | -2.47% | +97.6% | Underweight |
| 43 | Mays (J.W.) Inc MAYS |
$81Msmall | $42.44 | -0.38% | no return history | Neutral |
| 44 | Alset Inc. Common Stock (TX) AEI |
$43Msmall | $1.11 | -2.19% | -70.0% | Underweight |
| 45 | Fathom Holdings Inc. FTHM |
$20Msmall | $0.58 | 0.00% | -79.4% | Underweight |
| 46 | Offerpad Solutions Inc. OPAD |
$18Msmall | $3.80 | +0.80% | -92.4% | Underweight |
| 47 | Linkhome Holdings Inc. LHAI |
$17Msmall | $1.04 | -4.67% | -88.1% | Underweight |
| 48 | Gyrodyne, LLC GYRO |
$11Msmall | $5.00 | +1.01% | -49.4% | Neutral |
| 49 | reAlpha Tech Corp. AIRE |
$9Msmall | $1.51 | +2.01% | -95.1% | Neutral |
| 50 | La Rosa Holding Corp. LRHC |
$9Msmall | $2.58 | -3.01% | -99.9% | Underweight |
Which major wrappers carry this ranking — counted over 18 curated funds (sector SPDRs + broad-market index funds), not every ETF in existence. The full stock ↔ ETF passive-flow map is at Equities Network.
The largest listed real estate companies by market cap are CBRE GROUP, INC. ($41B), Invitation Homes Inc. ($16B), Jones Lang LaSalle, Inc. ($16B), Compass, Inc. ($8.1B), Terreno Realty Corporation ($7.1B). The full ranking of 51 stocks refreshes daily at quantlogix.ai/public/real-estate.
Among the top-50 real estate stocks by market cap, the best 1-year returns are Intergroup Corporation (The) (+97.6%), MARRIOTT VACATIONS WORLDWIDE CORPORATION (+30.4%), Curbline Properties Corp. (+28.3%), measured to 2026-09-11. Past performance does not predict future results.
Among 18 curated major wrappers, the funds holding the most of the top 50 real estate stocks are VTI (15), IJH (12), MDY (12). Full map: Equities Network.
Market caps, prices, and day changes come from the daily universe build (last refreshed 2026-09-13 05:30); 1-year returns come from the performance-rankings build (measured to 2026-09-11). A stock without a price or return history says so rather than showing zero.
Methodology. Rankings are by market capitalization from the daily universe build (last refreshed 2026-09-13 05:30) — prices and day changes carry the same stamp, not live quotes. 1-year returns come from the performance-rankings build (measured to 2026-09-11); a stock without return history says so. The QL Signal is the QuantLogix 5-factor composite — an educational read on technical posture, not investment advice. Every row links to the full stock page with signals, fundamentals, and news.