S&P 500 7,500.58 ▲ 80.48 (+1.08%) DOW 51,564.70 ▲ 72.10 (+0.14%) NASDAQ 26,517.93 ▲ 496.23 (+1.91%) US Markets Closed â€ĸ 12:50 AM ET

PSTL

Postal Realty Trust, Inc.

Price Chart
Latest Quote

$22.79

+0.25 (+1.11%)
Current Price
Previous Close $22.54
Open $22.54
Day High $22.83
Day Low $22.31
Volume 672,303
Fetched: 2026-06-22T04:50:41
Stock Information
Quarterly Dividend / Yield $0.98 / 4.30%
Shares Outstanding 27.62M
Quarterly Dividend Yield 4.30%
Quarterly Dividend $0.98
Total Debt $388.65M
Cash Equivalents $3.86M
Revenue $100.32M
Net Income $13.06M
Sector Real Estate
Industry REIT - Office
Market Cap $800.12M
P/E Ratio 43.83
EPS (TTM) $0.52
Exchange NYQ
🌐 Visit Website
📊 Comprehensive Analysis
Company Data
Enterprise Value$1.09B
Sales$100.32M
Income$13.06M
Book/sh$10.57
Cash/sh$0.14
Employees42
Financial Ratios
Quick Ratio1.88
Current Ratio1.98
Debt/Eq104.91
EPS Growth TTM83.80%
Returns & Margins
ROA3.12%
ROE5.92%
Gross Margin78.27%
Operating Margin33.68%
Profit Margin15.84%
Ownership
Insider Ownership4.78%
Institutional Ownership82.88%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E35.55
P/S7.98
P/B2.16
Analyst Data
Recommendationbuy
Target Price$25.04
Technical Indicators
SMA20$23.18
SMA50$22.26
SMA200$17.90
RSI47.44
ATR0.6355
Shares Float26.15M
Short Float10.32%
Short Ratio7.19
Volatility0.80
Rel Volume2.05
Performance History
Week-3.39%
Month-1.77%
Quarter+21.49%
6 Months+50.76%
YTD+44.78%
Year+60.75%
3 Years+86.95%
5 Years+47.40%
10 Years+98.56%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
⭐ Premium Feature

Sign up for free to view detailed scoring breakdown — premium is free during our trial period!

Recent Price History
Date Close Volume
2026-06-18 $22.79 688,200
2026-06-17 $22.54 408,300
2026-06-16 $23.31 228,400
2026-06-15 $23.16 342,700
2026-06-12 $23.89 224,200
2026-06-11 $23.59 279,800
2026-06-10 $23.33 353,100
2026-06-09 $23.45 483,100
2026-06-08 $22.78 252,100
2026-06-05 $22.74 278,800
2026-06-04 $22.63 270,900
2026-06-03 $22.09 259,400
2026-06-02 $22.51 296,700
2026-06-01 $22.58 432,600
2026-05-29 $23.04 421,400
2026-05-28 $23.46 325,500
2026-05-27 $24.22 264,800
2026-05-26 $24.05 268,400
2026-05-22 $23.69 292,500
2026-05-21 $23.70 332,800
2026-05-20 $23.53 343,100
2026-05-19 $23.20 294,200
About Postal Realty Trust, Inc.

Postal Realty Trust, Inc. is a proven leader in acquiring and managing US Postal Service properties as the largest owner of USPS facilities nationally. We believe our assets, which consist of mission-critical logistics infrastructure that supports e-commerce and last mile delivery, provide both stable and growing cash flows, underpinned by a U.S. federal government-supported tenant, a high lease retention rate, and predictable annual rent growth. Postal Realty Trust, Inc. is based in Cedarhurst, New York.

Period:
Loading...
Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $24,372,000 $21,894,000 $17,785,000 $14,978,000
Cost Of Revenue $21,030,000 $18,974,000 $15,374,000 $12,793,000
Total Revenue $95,823,000 $76,372,000 $63,712,000 $53,330,000
Operating Revenue $95,823,000 $76,372,000 $63,712,000 $53,330,000
Expenses
Interest Expense $15,239,000 $12,041,000 $9,339,000 $5,378,000
Total Expenses $62,211,000 $57,184,000 $49,716,000 $43,630,000
Other Income Expense $614,000 $2,010,000 $679,000 $1,029,000
Other Non Operating Income Expenses $30,000 $21,000 $679,000 $1,029,000
Net Non Operating Interest Income Expense $-16,101,000 $-12,761,000 $-10,020,000 $-5,973,000
Total Other Finance Cost $869,000 $746,000 $686,000 $596,000
Interest Expense Non Operating $15,239,000 $12,041,000 $9,339,000 $5,378,000
Operating Expense $41,181,000 $38,210,000 $34,342,000 $30,837,000
General And Administrative Expense $17,192,000 $16,008,000 $14,654,000 $13,110,000
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $14,149,000 $6,596,000 $3,709,000 $3,854,000
Net Interest Income $-16,101,000 $-12,761,000 $-10,020,000 $-5,973,000
Interest Income $7,000 $26,000 $5,000 $1,000
Normalized Income $13,565,870 $4,634,347 $3,709,000 $3,854,000
Net Income From Continuing And Discontinued Operation $14,149,000 $6,596,000 $3,709,000 $3,854,000
Total Operating Income As Reported $34,338,000 $21,177,000 $13,996,000 $9,700,000
Net Income Common Stockholders $11,493,000 $4,805,000 $2,342,000 $2,857,000
Net Income $14,149,000 $6,596,000 $3,709,000 $3,854,000
Net Income Including Noncontrolling Interests $18,098,000 $8,321,000 $4,583,000 $4,744,000
Net Income Continuous Operations $18,098,000 $8,321,000 $4,583,000 $4,744,000
Pretax Income $18,125,000 $8,437,000 $4,655,000 $4,756,000
Special Income Charges $633,000 $-404,000 $0 $0
Interest Income Non Operating $7,000 $26,000 $5,000 $1,000
Operating Income $33,612,000 $19,188,000 $13,996,000 $9,700,000
Depreciation Amortization Depletion Income Statement $23,989,000 $22,202,000 $19,688,000 $17,727,000
Depreciation And Amortization In Income Statement $23,989,000 $22,202,000 $19,688,000 $17,727,000
Gross Profit $74,793,000 $57,398,000 $48,338,000 $40,537,000
Per Share
Diluted EPS $0.47 $0.21 $0.12 $0.15
Basic EPS $0.47 $0.21 $0.12 $0.15
Other
Tax Effect Of Unusual Items $870 $27,347 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $56,769,000 $40,691,000 $33,682,000 $27,861,000
Total Unusual Items $584,000 $1,989,000 $0 $0
Total Unusual Items Excluding Goodwill $584,000 $1,989,000 $0 $0
Reconciled Depreciation $20,647,000 $19,282,000 $17,277,000 $15,542,000
EBITDA (Bullshit earnings) $57,353,000 $42,680,000 $33,682,000 $27,861,000
EBIT $33,364,000 $20,478,000 $13,994,000 $10,134,000
Diluted Average Shares $24,349,251 $22,565,155 $20,145,151 $18,545,494
Basic Average Shares $24,349,251 $22,565,155 $20,145,151 $18,545,494
Diluted NI Availto Com Stockholders $11,493,000 $4,805,000 $2,342,000 $2,857,000
Otherunder Preferred Stock Dividend $2,656,000 $1,791,000 $1,367,000 $997,000
Minority Interests $-3,949,000 $-1,725,000 $-874,000 $-890,000
Tax Provision $27,000 $116,000 $72,000 $12,000
Other Special Charges $142,000 $404,000 - -
Write Off $-775,000 $404,000 $0 -
Impairment Of Capital Assets $-775,000 - - -
Gain On Sale Of Security $-49,000 $2,393,000 - -
Selling General And Administration $17,192,000 $16,008,000 $14,654,000 $13,110,000
Other Gand A $17,192,000 $16,008,000 $14,654,000 $13,110,000
Fetched: 2026-06-20
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $267,250,000 $236,808,000 $227,517,000 $211,609,000
Total Assets $759,057,000 $646,818,000 $567,345,000 $501,303,000
Total Non Current Assets $746,355,000 $634,978,000 $558,186,000 $493,454,000
Other Non Current Assets $11,800,000 $14,519,000 $13,369,000 $15,968,000
Goodwill And Other Intangible Assets $17,949,000 $14,477,000 $16,045,000 $17,622,000
Other Intangible Assets $16,413,000 $12,941,000 $14,509,000 $16,086,000
Current Assets $12,702,000 $11,840,000 $9,159,000 $7,849,000
Restricted Cash $643,000 $744,000 $632,000 $547,000
Receivables $10,605,000 $9,297,000 $6,292,000 $5,807,000
Other Receivables $5,373,000 $2,639,000 $1,542,000 $1,194,000
Accounts Receivable $5,232,000 $6,658,000 $4,750,000 $4,613,000
Cash Cash Equivalents And Short Term Investments $1,454,000 $1,799,000 $2,235,000 $1,495,000
Cash And Cash Equivalents $1,454,000 $1,799,000 $2,235,000 $1,495,000
Cash Financial $1,454,000 $1,799,000 $2,235,000 $1,495,000
Other Current Assets - - - $15,968,000
Prepaid Assets - - - -
Debt
Net Debt $359,687,000 $294,909,000 $238,389,000 $195,167,000
Total Debt $361,141,000 $296,708,000 $240,624,000 $196,662,000
Long Term Debt And Capital Lease Obligation $322,141,000 $282,708,000 $231,624,000 $196,662,000
Long Term Debt $322,141,000 $282,708,000 $231,624,000 $196,662,000
Current Debt And Capital Lease Obligation $39,000,000 $14,000,000 $9,000,000 -
Current Debt $39,000,000 $14,000,000 $9,000,000 -
Liabilities
Total Liabilities Net Minority Interest $399,496,000 $329,320,000 $265,720,000 $217,592,000
Total Non Current Liabilities Net Minority Interest $341,899,000 $298,879,000 $244,724,000 $208,483,000
Other Non Current Liabilities $19,758,000 $16,171,000 $13,100,000 $11,821,000
Current Liabilities $57,597,000 $30,441,000 $20,996,000 $9,109,000
Payables And Accrued Expenses $18,597,000 $16,441,000 $11,996,000 $9,109,000
Equity
Common Stock Equity $285,199,000 $251,285,000 $243,562,000 $229,231,000
Total Equity Gross Minority Interest $359,561,000 $317,498,000 $301,625,000 $283,711,000
Stockholders Equity $285,199,000 $251,285,000 $243,562,000 $229,231,000
Gains Losses Not Affecting Retained Earnings $954,000 $5,230,000 $4,621,000 $7,486,000
Other Equity Adjustments $954,000 $5,230,000 $4,621,000 $7,486,000
Retained Earnings $-74,024,000 $-64,211,000 $-48,546,000 $-32,557,000
Other
Ordinary Shares Number $26,876,587 $23,521,693 $21,960,211 $19,555,272
Share Issued $26,876,587 $23,521,693 $21,960,211 $19,555,272
Tangible Book Value $267,250,000 $236,808,000 $227,517,000 $211,609,000
Invested Capital $646,340,000 $547,993,000 $484,186,000 $425,893,000
Working Capital $-44,895,000 $-18,601,000 $-11,837,000 $-1,260,000
Total Capitalization $607,340,000 $533,993,000 $475,186,000 $425,893,000
Minority Interest $74,362,000 $66,213,000 $58,063,000 $54,480,000
Additional Paid In Capital $358,001,000 $310,031,000 $287,268,000 $254,107,000
Capital Stock $268,000 $235,000 $219,000 $195,000
Common Stock $268,000 $235,000 $219,000 $195,000
Line Of Credit $39,000,000 $14,000,000 $9,000,000 $0
Investment Properties $716,606,000 $605,982,000 $528,772,000 $459,864,000
Goodwill $1,536,000 $1,536,000 $1,536,000 $1,536,000
Treasury Shares Number - - $0 -
Fetched: 2026-06-20
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $37,568,000 $30,728,000 $25,559,000 $20,904,000
Operating Activities
Operating Cash Flow $44,505,000 $33,503,000 $28,427,000 $24,591,000
Cash Flow From Continuing Operating Activities $44,505,000 $33,503,000 $28,427,000 $24,591,000
Operating Gains Losses $112,000 $-2,393,000 - -
Investing Activities
Capital Expenditure $-6,937,000 $-2,775,000 $-2,868,000 $-3,687,000
Investing Cash Flow $-123,688,000 $-79,149,000 $-72,609,000 $-120,147,000
Cash Flow From Continuing Investing Activities $-123,688,000 $-79,149,000 $-72,609,000 $-120,147,000
Net Other Investing Changes $1,241,000 $-329,000 $483,000 $-248,000
Capital Expenditure Reported $-6,937,000 $-2,775,000 $-2,868,000 $-3,687,000
Financing Activities
Repurchase Of Capital Stock $-348,000 $-700,000 $-1,025,000 $-383,000
Issuance Of Capital Stock $47,066,000 $19,324,000 $26,690,000 $11,446,000
Financing Cash Flow $78,737,000 $45,322,000 $45,007,000 $90,572,000
Cash Flow From Continuing Financing Activities $78,737,000 $45,322,000 $45,007,000 $90,572,000
Net Other Financing Charges $-2,282,000 $-366,000 $-373,000 $-1,010,000
Cash Dividends Paid $-30,752,000 $-27,987,000 $-24,362,000 $-21,566,000
Net Common Stock Issuance $46,718,000 $18,624,000 $25,665,000 $11,063,000
Common Stock Issuance $47,066,000 $19,324,000 $26,690,000 $11,446,000
Common Stock Dividend Paid - - - $-21,566,000
Other
Repayment Of Debt $-102,118,000 $-66,112,000 $-53,106,000 $-128,100,000
Issuance Of Debt $167,000,000 $121,000,000 $97,000,000 $230,000,000
End Cash Position $2,097,000 $2,543,000 $2,867,000 $2,042,000
Beginning Cash Position $2,543,000 $2,867,000 $2,042,000 $7,026,000
Changes In Cash $-446,000 $-324,000 $825,000 $-4,984,000
Proceeds From Stock Option Exercised $171,000 $163,000 $183,000 $185,000
Common Stock Payments $-348,000 $-700,000 $-1,025,000 $-383,000
Net Issuance Payments Of Debt $64,882,000 $54,888,000 $43,894,000 $101,900,000
Net Long Term Debt Issuance $64,882,000 $54,888,000 $43,894,000 $101,900,000
Long Term Debt Payments $-102,118,000 $-66,112,000 $-53,106,000 $-128,100,000
Long Term Debt Issuance $167,000,000 $121,000,000 $97,000,000 $230,000,000
Net Investment Properties Purchase And Sale $-117,992,000 $-76,045,000 $-70,224,000 $-116,212,000
Sale Of Investment Properties $1,391,000 $5,982,000 $0 -
Purchase Of Investment Properties $-119,383,000 $-82,027,000 $-70,224,000 $-116,212,000
Change In Working Capital $1,880,000 $2,170,000 $1,139,000 $399,000
Change In Payables And Accrued Expense $1,133,000 $3,892,000 $1,512,000 $852,000
Change In Payable $1,133,000 $3,892,000 $1,512,000 $852,000
Change In Account Payable $1,133,000 $3,892,000 $1,512,000 $852,000
Change In Prepaid Assets $-813,000 $67,000 $-501,000 $-95,000
Change In Receivables $1,560,000 $-1,789,000 $128,000 $-358,000
Other Non Cash Items $-2,543,000 $-253,000 $-406,000 $-812,000
Stock Based Compensation $6,311,000 $6,376,000 $5,834,000 $4,718,000
Depreciation Amortization Depletion $20,647,000 $19,282,000 $17,277,000 $15,542,000
Depreciation And Amortization $20,647,000 $19,282,000 $17,277,000 $15,542,000
Amortization Cash Flow $-3,342,000 $-2,920,000 $-2,411,000 $-2,185,000
Amortization Of Intangibles $-3,342,000 $-2,920,000 $-2,411,000 $-2,185,000
Depreciation $23,989,000 $22,202,000 $19,688,000 $17,727,000
Gain Loss On Investment Securities $49,000 $-2,393,000 - -
Net Income From Continuing Operations $18,098,000 $8,321,000 $4,583,000 $4,744,000
Net Short Term Debt Issuance - - $9,000,000 $-13,000,000
Short Term Debt Payments - - $-53,000,000 $-128,000,000
Short Term Debt Issuance - - $62,000,000 $115,000,000
Net Investment Purchase And Sale - - - -
Purchase Of Investment - - - -
Net PPE Purchase And Sale - - - -
Sale Of PPE - - - -
Fetched: 2026-06-20