SMA Factor Report

Data as of market close on: 7/11/2025.

Fundamental analysis of SMA using the major investing factors, including value, quality, momentum, and low volatility.
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SMARTSTOP SELF STORAGE REIT INC (SMA) Fundamentals

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Latest Close: $36.13 Market Cap ($ mil): $1,366 Sector: Transportation Industry: Misc. Transportation 52 Week High: $37.79 52 Week Low: $29.89 Relative Strength: 99 Twelve Minus One Return: N/A Standard Deviation: N/A Insider Ownership: N/A
PE Ratio: N/A Price/Sales: 5.6 Price/Book: 2.9 Price/Cash Flow: 37.6 EV/EBITDA: 21.03 Dividend Yield: N/A Shareholder Yield: N/A Piotroski F Score: 2 Mohanram G Score: 3 Institutional Ownership: N/A
Return on Equity: -6.6% Return on Assets: -0.5% Return on Tangible Capital: N/A Return on Invested Capital: N/A WACC: 6.2% Debt/Equity: 2.49 LT EPS Growth: N/A LT Sales Growth: 15.4% Beta: N/A Profit Margin: -3.95%
SmartStop Self Storage REIT, Inc. is a self-managed real estate investment trust (REIT) with a fully integrated operations team of approximately 600 self-storage professionals focused on growing the SmartStop Self Storage brand. The Company is focused on the acquisition, ownership and operation of self-storage properties located primarily within the top 100 metropolitan statistical areas (MSAs) throughout the United States and Canada. Its segments include self storage operations and the Managed REIT Platform business. The Company, through its subsidiary, SmartStop REIT Advisors, LLC, also sponsors other self-storage programs. It owns or manages a portfolio of approximately 229 operating properties in 23 states, the District of Columbia, and Canada, comprising 164,300 units and 18.4 million rentable square feet. The Company and its affiliates own or manage 43 operating self-storage properties in Canada, which total approximately 36,400 units and 3.7 million rentable square feet.

Factor Profile

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

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Optimal portfolios presented on Validea.com represent the rebalancing period that has led to the best historical performance for each of our equity models. Each optimal portfolio was determined after the fact with performance information that was not available at portfolio inception. As a result, an investor could not have invested in the optimal portfolio since its inception. Optimal portfolios are presented to allow investors to quickly determine the portfolio size and rebalancing period that has performed best for each of our models in our historical testing.

Both the model portfolio and benchmark returns presented for all equity portfolios on Validea.com are not inclusive of dividends. Returns for our ETF portfolios and trend following system, and the benchmarks they are compared to, are inclusive of dividends. The S&P 500 is presented as a benchmark because it is the most widely followed benchmark of the overall US market and is most often used by investors for return comparison purposes. As with any investment strategy, there is potential for profit as well as the possibility of loss and investors may incur a loss despite a past history of gains. Past performance does not guarantee future results. Results will vary with economic and market conditions.

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