ABR Price Update: Up 13.9% YTD – What’s Next for Investors?

ABR Price Update: Up 13.9% YTD – What's Next for Investors?

Metrics Summary

💰 Current Price

$12.08
Live Market Price

🎯 Price Targets & Forecasts

1-Month Forecast:

$13.88

📈 +14.9%

1-Year Forecast:

$13.76

📈 +13.9%

Analyst Mean Target:

$11.62

📉 -3.8%

📈 Trend & Momentum

Trend:

🚀 ▲ Bullish (Price > SMA 50/200)
RSI (14-day):

76.1 (Overbought) 🔥
MACD:

➡️ Neutral Trend (0.07)

📊 Key Technical Levels

Above SMA 50:

✅ $10.81
Above SMA 200:

✅ $11.26
52-Week Range:

📏 $8.43 – $15.94

⚡ Volatility

Volatility (30d Ann.):

23.6% 🌊
Beta (vs. Market):

1.31xx 🎢
(High Sensitivity)
Green Days (30d):

16/30 (53%) 🟡

🏢 Ownership

Institutional Ownership:

58.11% 🏢
Short % of Float:

34.94% 😰
(High Bearish Bets)

Right now, ABR’s stock is trading at $12.08. The technical indicators are showing a bullish pattern because the price is holding relative to both the 50-day ($10.81) and 200-day ($11.26) moving averages. This suggests the stock has been gaining momentum recently. However, the Relative Strength Index (RSI) at 76.1 is Overbought—neither overbought nor oversold—while the MACD indicator shows a neutral trend, meaning there could be some minor pullbacks before the next upward move.

Over the past year, ABR’s stock has traded between $8.43 and $15.94, which tells us two things: First, investor sentiment has been mixed. Second, the current price is trading mid-range, meaning big swings are less likely unless something major happens. Analysts expect modest growth ahead, with a 1-year target of $13.76 (+13.9%) and an average consensus target of $11.62 (-3.8%). Plus, with 58.11% institutional ownership and very low short interest (34.94%), it seems a notable number of investors are betting on a price decline.

Detailed Forecast Table

Here’s the breakdown of the month forecast for ABR ($11.24 to $15.63 overall range). The table shows projected price bands, potential ROI against the current price, and the resulting model signal per period.

Over the forecast horizon (2025-07 to 2026-07), ABR’s price is projected by the model to fluctuate between approximately $11.24 and $15.63.

The projected price range remains relatively consistent (from $11.24 – $11.24 to $11.88 – $15.23), implying stable forecast uncertainty.

Month (Period)Min. PriceAvg. PriceMax. PricePotential ROI vs Current ($12.08)Model Signal
2025-07$11.24$11.24$11.24 -6.9%Consider Short
2025-08$12.16$13.49$14.70 11.7%Consider Buy
2025-09$12.68$13.88$15.04 14.9%Consider Buy
2025-10$12.60$13.94$14.88 15.4%Consider Buy
2025-11$12.95$14.17$15.19 17.3%Consider Buy
2025-12$12.98$14.30$15.57 18.4%Consider Buy
2026-01$13.06$14.33$15.63 18.6%Consider Buy
2026-02$13.21$14.27$15.40 18.2%Consider Buy
2026-03$12.86$13.96$15.16 15.6%Consider Buy
2026-04$12.36$13.49$14.63 11.7%Consider Buy
2026-05$12.12$13.32$14.57 10.3%Consider Buy
2026-06$12.21$13.56$14.69 12.3%Consider Buy
2026-07$11.88$13.76$15.23 13.9%Consider Buy

Forecasts are model-based estimates, inherently uncertain, and subject to change based on evolving data and market conditions. They do not guarantee future prices.

Company Profile

Sector: Real Estate
Industry: REIT – Mortgage
Market Cap: 2.36 B
Employees: 659

Company Description

A brief overview of the company’s business activities. Arbor Realty Trust, Inc. invests in a diversified portfolio of structured finance assets in the multifamily, single-family rental, and commercial real estate markets in the United States. The company operates through Structured Business and Agency Business segments. It primarily invests in bridge and mezzanine loans, including junior participating interests in first mortgages, and preferred and direct equity, as well as real estate-related joint ventures, real estate-related notes, and various mortgage-related securities. In addition, the company offers bridge financing products to borrowers who seek short-term capital to be used in an acquisition of property; financing by making preferred equity investments in entities that directly or indirectly own real property; mezzanine financing in the form of loans that are subordinate to a conventional first mortgage loan and senior to the borrower’s equity in a transaction; junior participation financing in the form of a junior participating interest in the senior debt; and financing products to borrowers who are looking to acquire conventional, workforce, and affordable single-family housing. Further, it underwrites, originates, sells, and services multifamily mortgage loans through conduit/commercial mortgage-backed securities programs. The company qualifies as a real estate investment trust for federal income tax purposes. It generally would not be subject to federal corporate income taxes if it distributes at least 90% of its taxable income to its stockholders. The company was incorporated in 2003 and is headquartered in Uniondale, New York.

Valuation Metrics

ABR demonstrates, with its Trailing P/E at 11.00x and Forward P/E at 7.40x, suggests an attractive valuation opportunity. This suggests potential earnings growth expectations Meanwhile, its Price/Sales ratio of 3.85x and Price/Book of 0.92x show that the company trades at multiples that warrant attention. These metrics provide insight into market positioning.

From an enterprise value perspective, The enterprise value to revenue ratio of 20.61x indicates reasonable revenue-based valuation. These valuation metrics provide a comprehensive view of the company’s current market positioning.

Trailing P/E11.00x
Forward P/E7.40x
Price/Sales (TTM)$3.85
Price/Book (MRQ)$0.92
EV/Revenue (TTM)20.61x

Total Valuation

Although the market considers Arbor Realty Trust, Inc. to be a key player in the REIT – Mortgage industry with a 2.36 B market cap, its enterprise value is much higher at 12.03 B, with 9.67B of that value added by debt. Investors are confident about Arbor Realty Trust, Inc.’s future earnings, but keep in mind the risk of that large amount of debt.

The upcoming 2025-08-01 earnings report will be crucial in showing whether Arbor Realty Trust, Inc.’s businesses can grow into this valuation, while the 2025-05-16 ex-dividend date serves as a reminder that Arbor Realty Trust, Inc. still rewards shareholders even as it invests for growth. Essentially, you’re paying for quality – but quality doesn’t come cheap.

Market Cap2.36 B
Enterprise Value12.03 B
EV/Revenue (TTM)20.61x
Next Earnings Date2025-08-01
Ex-Dividend Date2025-05-16

Profitability Growth

An analysis of the key metrics in ABR’s margin performance shows the company has solid control over its costs and prices. The company is successful in controlling its production costs, as shown by the gross margin of 89.15%, and it also profits well from its core operations, reflected in the 39.22% operating margin. A 0.00% EBITDA margin indicates ABR is capable of generating strong cash flow from its operations before accounting for financing and tax strategies. All things considered, ABR can hold onto around $38.700 in net profit for every $1 of its revenue over the last twelve months. While the business’s revenue is increasing at a slow rate (-9.20%), investors should monitor if this pace can be sustained without eroding profit margins.

ABR’s N/A in EBITDA and 546.39 M in gross profit indicate its raw earning power, while the 195.84 M in net income reveals how effectively it converts that power into bottom-line results. From these indicators, it becomes clear that the company is currently prioritizing strong profitability over rapid, top-line growth. Despite healthy gross margins, there is a significant difference between the company’s gross and net margins (89.15% vs. 38.70%). This is likely due to high operating expenses, interest costs, or taxes, which are key areas for investors to watch. In the future, maintaining steady or improving margins will be critical. ABR needs to defend its pricing power and control operating costs, as this will help sustain profitability, especially if revenue growth moderates.

Profit Margin (TTM)38.70%
Operating Margin (TTM)39.22%
Gross Margin (TTM)89.15%
EBITDA Margin (TTM)0.00%
Revenue (TTM)612.89 M
Revenue Growth (YoY)-9.20%
Gross Profit (TTM)546.39 M
Net Income (TTM)195.84 M
Earnings Growth (YoY)-47.90%

Analyst Insights

Here’s the consensus from Wall Street analysts on ABR. The average recommendation is ‘Hold’. 4 analyst(s) contributed to this consensus view. Targets average $11.62 (within a range of $11.00 – $13.50). Based on the mean target ($11.62), this implies a potential downside of ~-3.8% from the current price ($12.08). This reflects overall analyst sentiment on the stock’s outlook.

Recommendation: Hold
Mean Target Price: $11.62
High Target Price: $13.50
Low Target Price: $11.00
Number of Analyst Opinions: 4

Financial Health

ABRs financial data clearly shows that strengths and weaknesses can appear together. The ROE and ROA of 7.99% and 1.79%, respectively, reflect a highly efficient use of capital, often seen in fast-growing firms. The 3.19x Debt/Equity ratio (with 9.98 B in debt and 310.39 M in cash) points to the fact that ABR has taken on a very high level of debt to fuel its operations and growth. Even with its debt, the company’s ability to bring in 352.11 M in operating cash flow (TTM) proves that its core business can steadily produce cash, which is a significant strength.

The Current Ratio of 2.54x and Quick Ratio of 2.46x show a solid liquidity position, able to cover its short-term liabilities.

Return on Equity (ROE TTM)7.99%
Return on Assets (ROA TTM)1.79%
Debt/Equity (MRQ)3.19x
Total Cash (MRQ)310.39 M
Total Debt (MRQ)9.98 B
Current Ratio (MRQ)2.54x
Quick Ratio (MRQ)2.46x
Operating Cash Flow (TTM)352.11 M

Historical Performance

In the recent trading period from July 11, 2025 to July 25, 2025, ABR’s stock price achieved a total return of +7.38%. The price fluctuated between a high of $12.22 and a low of $10.65. Average daily trading volume was approximately 2,469,593 shares.

Recent Trading Data

DateOpenHighLowCloseVolume
2025-07-25$12.02$12.13$11.92$12.081,639,900
2025-07-24$11.98$12.22$11.95$12.022,678,600
2025-07-23$11.83$12.16$11.83$12.043,439,300
2025-07-22$11.35$12.02$11.33$11.826,238,400
2025-07-21$11.22$11.40$11.20$11.291,990,900
2025-07-20$11.41$11.43$11.16$11.212,354,200
2025-07-19$11.41$11.43$11.16$11.212,354,200
2025-07-18$11.41$11.43$11.16$11.212,354,200
2025-07-17$11.30$11.48$11.22$11.352,334,800
2025-07-16$11.11$11.42$11.08$11.312,021,200
2025-07-15$11.35$11.39$10.65$11.061,539,800
2025-07-14$11.29$11.40$11.18$11.282,018,600
2025-07-13$11.16$11.29$11.06$11.252,026,600
2025-07-12$11.16$11.29$11.06$11.252,026,600
2025-07-11$11.16$11.29$11.06$11.252,026,600

Technical Analysis Summary

CURRENT PRICE: $12.08 | TREND: BULLISH BUT OVERHEATED

The stock has been on a notable run, gaining +7.38% in just 15 days, but several technical signs suggest we should be cautious about chasing this momentum. Let’s break down what the charts are telling us and how we can position ourselves.

Trend Strength – Still Bullish

ABR is trading above its key moving averages, which confirms the uptrend remains intact. The 20-day SMA at $11.32 is acting as immediate dynamic support.

What This Means for Traders?

As long as ABR holds above the 20-day SMA ($11.32), the bullish momentum could continue. However, a rapid rise can push the stock far from its averages, increasing the risk of a pullback.

Momentum Check – Time to Be Cautious

The RSI at 76.1 is flashing a strong overbought signal. Historically, when the RSI crosses above 70-75, we often see a pullback before the next leg up. At the same time, the MACD histogram is positive, confirming the upward momentum is still in play.

Trading Strategy:

Aggressive traders might consider taking partial profits. Conservative traders should wait for the RSI to cool below 70 before considering new positions.

Bollinger Bands – Testing Key Levels

The stock is currently pressing against the upper Bollinger Band at $12.08, which often acts as short-term resistance.

Key Levels to Watch:

  • Resistance: $12.22 (Recent High) → A breakout could push ABR higher.
  • Support: $11.32 (20-day SMA) → If this breaks, expect a test of $10.56.

Volume Trends – Checking for Conviction

While the stock has been rising, trading volume has been declining (below its 20-day average), which is a red flag for trend sustainability.

What’s the Concern?

Low volume rallies are prone to sharp reversals. If we don’t see a surge in buying interest to confirm the move, a pullback becomes more likely.

Support & Resistance – The Trading Plan

Trading Plan:

  • ✅  If ABR holds above $11.32 → Bullish trend continues, next target $12.22.
  • ⚠️  If it breaks below $11.32 → Expect a dip toward $10.56.
  • 🛑  A drop below $10.56 → Could trigger a deeper correction to the 200-day SMA ($11.26).

Final Verdict – Should You Buy, Hold, or Sell?

Short-Term Traders: Be cautious—RSI is overbought at 76.1, and volume is weak. Consider locking in partial profits near $12.22 and waiting for a better entry near the 20-day SMA ($11.32).
Long-Term Investors: The long-term uptrend is valid as long as the price holds above the 200-day SMA ($11.26). A pullback to the 50-day SMA ($10.81) area could present a safer buying opportunity.
New Buyers: Avoid chasing the rally here. Wait for either a confirmed breakout above $12.22 with strong volume, or a pullback to the $11.32 area, which offers a better risk/reward entry.

Bottom Line: The technicals suggest the rally may be running out of steam short-term. While the long-term trend remains bullish, a correction seems plausible before the next major move. Trade carefully and wait for confirmation at key levels.

Short Selling Info

There is currently 56 M worth of short interest in ABR, and the short ratio (or days to cover) is 22.0x. This means that at the stock’s recent average trading volume, it would take several days for all short positions to be covered. This high level indicates it would take a long time for short sellers to buy back their shares, which could lead to extreme volatility or a powerful ‘short squeeze’ if the stock’s price starts to rise unexpectedly.

With 34.94% of the public float sold short, a high percentage of the float is being shorted, signaling significant bearish conviction from a portion of the market. This level has remained relatively stable compared to last month’s value of 58 M, suggesting a shift in bearish sentiment. With notable short interest, investors should be aware of potential volatility spikes, which could be triggered by news events that force short sellers to cover their positions.

Shares Short56 M
Short Ratio (Days To Cover)22.00x
Short % of Float34.94%
Shares Short (Prior Month)58 M
Short Date2025-07-15

Stock Price Statistics

When looking at the price range over the past year, the stock has seen a high of $15.94 and a low of $8.43. This wide gap tells us the stock has been through significant fluctuations, likely influenced by market sentiment or company-specific news. Currently, the 50-day moving average stands at $10.81, which is slightly below the 200-day moving average of $11.26. This setup may signal a short-term pullback or consolidation phase, especially for technical traders tracking momentum and trend direction.

The stock carries a beta of 1.31x, which means it tends to move more sharply than the broader market—about 31% more volatile. Combined with a moderate 30-day annualized volatility of 23.6%, it’s clear this stock sees frequent price swings. For investors, this means potential for gains, but also higher downside risk. These indicators matter when deciding position sizing or entry timing, especially if you’re managing a portfolio that balances stability with growth exposure.

52 Week High$15.94
52 Week Low$8.43
50 Day MA$10.62
200 Day MA$12.53
Beta1.31x
Volatility (30d Ann.)23.6% 📉

Dividends Shareholder Returns

⚠️ Error generating Dividends & Shareholder Returns:

invalid literal for int() with base 10: ‘N/A’

Section content could not be generated due to the error above.

Risk Factors

Potential investors in ABR should be aware of several risk factors. The following list highlights key considerations based on data and market dynamics, but may not include all possible risks.

  • ⚠️ Overall market fluctuations can impact the stock.
  • ⚠️ Factors specific to the REIT – Mortgage industry or Real Estate sector can affect performance.
  • ⚠️ Changes in macroeconomic conditions (interest rates, inflation) pose risks.
  • ⚠️ Unforeseen company events or news can impact the price.

Leave a Comment

Your email address will not be published. Required fields are marked *

Scroll to Top