Nomura Real Estate Master Fund Inc
TSE:3462
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Net Margin
Nomura Real Estate Master Fund Inc
Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.
Net Margin Across Competitors
| Country | Company | Market Cap |
Net Margin |
||
|---|---|---|---|---|---|
| JP |
N
|
Nomura Real Estate Master Fund Inc
TSE:3462
|
809.9B JPY |
37%
|
|
| ZA |
G
|
Growthpoint Properties Ltd
JSE:GRT
|
60.9B Zac |
40%
|
|
| ZA |
R
|
Redefine Properties Ltd
JSE:RDF
|
40.7B Zac |
40%
|
|
| US |
|
WP Carey Inc
NYSE:WPC
|
14.6B USD |
22%
|
|
| ZA |
A
|
Attacq Ltd
JSE:ATT
|
11.6B Zac |
52%
|
|
| ZA |
F
|
Fairvest Ltd
JSE:FTA
|
10.9B Zac |
67%
|
|
| JP |
|
KDX Realty Investment Corp
OTC:KDXRF
|
9.5B USD |
43%
|
|
| AU |
|
Stockland Corporation Ltd
ASX:SGP
|
13.2B AUD |
26%
|
|
| ZA |
S
|
SA Corporate Real Estate Fund Managers (Pty) Ltd
JSE:SAC
|
8.8B Zac |
21%
|
|
| ES |
|
MERLIN Properties SOCIMI SA
MAD:MRL
|
7B EUR |
123%
|
|
| AU |
|
Charter Hall Group
ASX:CHC
|
11.4B AUD |
33%
|
Nomura Real Estate Master Fund Inc
Glance View
Nomura Real Estate Master Fund Inc. stands as a towering institution in the Japanese real estate investment sphere, weaving a financial tapestry that's deeply embedded in the urban fabric of Japan. With a strategic focus on a diversified portfolio, the fund primarily invests in high-quality, income-producing real estate assets. These encompass a range of property types, including office buildings, retail spaces, and residential complexes. The fund's overarching strategy is to generate stable, long-term income through the leasing of these properties. By focusing on assets in prime locations within major Japanese metropolitan areas, the fund benefits from consistent demand and attractive leasing rates, which contribute to a steady cash flow. This financial framework isn’t just about acquiring and holding properties; it is also deftly managed to optimize returns. The fund periodically assesses its portfolio, engaging in the sale of assets that no longer meet its stringent performance criteria, thus recycling capital into new opportunities with higher potential. Moreover, the fund leverages its relationship with the Nomura Group, gaining advantages in property sourcing, tenant acquisition, and management expertise. Through adept financial structuring and comprehensive market insights, Nomura Real Estate Master Fund Inc. carves out its profit by straddling the fine line between risk management and opportunistic investment, ensuring a robust income stream for its shareholders.
See Also
Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.
Based on Nomura Real Estate Master Fund Inc's most recent financial statements, the company has Net Margin of 37%.