CDP - Copt Defense Properties

NYSE * Real Estate * Office REITs

$32.49

$-0.14 (-0.43%)

About Copt Defense Properties

COPT Defense Properties, an S&P MidCap 400 Company, is a self-managed REIT focused on owning, operating and developing properties in locations proximate to, or sometimes containing, key U.S. Government defense installations and missions (referred to as its Defense/IT Portfolio). The Company's tenants include the USG and their defense contractors, who are primarily engaged in priority national security activities, and who generally require mission-critical and high security property enhancements. As of December 31, 2025, the Company's Defense/IT Portfolio of 201 properties, including 24 owned through unconsolidated joint ventures, encompassed 23.2 million square feet and was 96.5% leased.

CDP Key Statistics

Market Cap

$3.75B

P/E Ratio

24.25

P/B Ratio

2.44

EPS

$1.34

Dividend Yield

0.04%

Revenue Growth

+0.1%

Profit Margin

0.2%

Employees

430

How CDP Compares to Peers

CDP has the lowest P/E ratio in Office REITs, suggesting it may be the most undervalued
CDP has the highest profit margins in Office REITs
CDP is the smallest among peers, which may offer higher growth potential

P/E Rank

#1

of 2

Margin Rank

#1

of 2

Growth Rank

#2

of 2

Size Rank

#2

of 2

CompanyP/EGrowthCompare
CDP24.20%-
AMZN34.90%vs AMZN

Copt Defense Properties Company Information

Headquarters
Maryland; U.S.A
Website
www.copt.com
Sector
Real Estate
Industry
Office REITs
Data Updated:
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CDP Lician Score

10% confidence
5.0/10
Neutral

CDP has a Lician Score of 5/10 (Average). Areas of concern: Growth.

value

5.0

growth

3.0

quality

5.0

momentum

5.0

safety

5.0

The Lician Score is a comprehensive 1-10 rating that evaluates CDPacross five key dimensions: Value (valuation relative to sector),Growth (revenue and earnings trajectory),Quality (profitability and balance sheet strength),Momentum (price trends and analyst sentiment), andSafety (volatility and risk metrics).

CDP Financial Snowflake

5-axis analysis across key investment dimensions

4.6/10

Neutral

35810Value5.0Growth3.0Quality5.0Momentum5.0Safety5.04.6/10
5.0

Value

3.0

Growth

5.0

Quality

5.0

Momentum

5.0

Safety

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