HHC Factor Report

Data as of market close on: 1/31/2023.

Fundamental analysis of HHC using the major investing factors, including value, quality, momentum, and low volatility.
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Latest Close: $85.49 Market Cap ($ mil): $4,266 Sector: Services Industry: Real Estate Operations 52 Week High: $105.51 52 Week Low: $50.90 Relative Strength: 58 Twelve Minus One Return: -20.7% Standard Deviation: 48.0% Insider Ownership: 0.89%
PE Ratio: 17.6 Price/Sales: 2.2 Price/Book: 1.2 Price/Cash Flow: 9.7 EV/EBITDA: 17.54 Dividend Yield: N/A Shareholder Yield: -5.73% Piotroski F Score: 5 Mohanram G Score: 4 Institutional Ownership: 98.04%
Return on Equity: 6.9% Return on Assets: 2.6% Return on Tangible Capital: N/A Return on Invested Capital: 4.5% WACC: 5.4% Debt/Equity: 1.33 LT EPS Growth: -11.3% LT Sales Growth: 7.9% Beta: 1.43 Profit Margin: 12.56%
The Howard Hughes Corporation owns, manages and develops commercial, residential and mixed-use real estate throughout the United States. The Company operates through four segments: Operating Assets, Master Planned Communities (MPC), Seaport, and Strategic Developments. The Operating Assets segment consists of developed or acquired retail, office, hospitality and multi-family properties along with other real estate investments. Its MPC segment consists of the development and sale of land in large scale, long term community development projects in and around Las Vegas, Nevada; Houston, Texas; Phoenix, Arizona; and Columbia, Maryland. Its Seaport segment consists of approximately 461,000 square feet of restaurant, retail and entertainment properties situated in three primary locations in New York, New York: Pier 17, Historic Area/Uplands and Tin Building. Strategic Developments segment consists of residential condominium and commercial property projects.

Factor Profile

HHC's exposure to the major factors (100 is highest).

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