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This describes what public data says, together with each source's track record. This is not a buy or sell recommendation, nor financial advice. Investing can lose you money.

C

Camden Property Trust

CPT.US · Real estate · United States · 104.11(close of 2026-09-09 on the exchange)
Analysis computed with data between 2026-08-25 and 2026-09-09 — oldest piece: the market and analyst data (15 days).
Also listed as CPT
Bearish
The price sits above what the analysis supports: the expected move is negative. Confidence that the signals point down: 79%
Raw count: 0 up · 6 down. The direction does not come from this count: each signal is weighted by how often it is right on this stock, so a few reliable signals can outweigh many that fail.
49.1% potential downside · 12 months
-20% worst drawdown so far
58%confidence in the move

That trajectory is not the distance to the price target: it blends these sources, each weighted by how often it is right on this stock. earnings estimates -49.1% (is right 73% over a sample of 25 cases; it is the only source, so it carries the whole move) .
Provider's reference target (it does NOT feed the move above, which comes from another source): 116.97 (22 analysts, captured on 2026-08-25). Below is the consensus RECONSTRUCTED from movements you can check one by one; they are two different figures and need not agree. The provider counts 22 analysts and from the list of movements we can only show 14: the history of movements it gives us is incomplete, so the list below is not everything there is — and the analysts' hit rate is measured on that part, not on all of them.
The expected-earnings contribution reached -52.5% and has been capped at -49.1%: a jump like that usually comes from a depressed base rather than from the price being about to move as much.

Expected return -49% (~12m) with 58% confidence, low volatility · skilled insider(s) selling, US leading indicator accelerating (CLI 100.8, +0.6/6m) — growth ahead, US 10y rate elevated (99p): headwind for the sector (with rebound potential), technical timing D1: confluence 0.33 (percentile 67) → +1.4, risk-on market — affects position size, not the ranking.

How much can you trust each source on CPT.US?

Not every source is equally accurate, and none is equally accurate on every stock. This is how often each one GOT IT RIGHT, measured against what actually happened afterwards. The line marks 50%, and it is only a visual reference. For these four sources we have not measured how often chance alone would get it right, and for some of them —such as targets reached— it would not be 50%. Where it is measured is in the technical signals further down, which carry their base rate alongside.

Earnings forecastshow close they came to the earnings actually reported · 25 cases
73%
very reliable and it is still the only source of the move
Fundamental analysisin its sector, did the best grade come with the best return? · 38 cases
54%
contributes little
Insider tradingtimes they bought or sold at the right moment · 17 cases
47%
adds nothing
Analyst price targetstimes the price reached their target within 12 months · 248 cases
24%
wrong more often than right

How much it moves

20% ANNUAL VOLATILITY · down Out of every 1,000 invested, a normal year swings by about 200, up or down.
-20%WORST DRAWDOWN It already happened: 1,000 fell to 800.
50%UP DAYS Share of sessions that closed higher.

The price trades BELOW the target: punished against its anchor of value, with a possible upward correction. Analyst price target: 114.00 (14 firms).
Careful: that target would imply 9% in the opposite direction to the estimate above. When a target sits that far from the price, the system stops trusting it and does not use it to compute the expected move - but it is shown so you can judge it yourself.

The environment · is working neutral

No stock moves alone. This is what is happening around CPT.US and how much it weighs: the environment subtracts 0.1 points out of the 7 it can move.

Is there fear in the market?

risk-on stress 16 out of 100 — calm
VIX (fear) 14.92
HY credit spread 2.63
Financial conditions -0.56
10y-2y curve 0.40
Dollar (Fed broad index) 118.75

How is the US economy doing?

neutral it sets the pace for every other market
Industrial production +1.1%over 12 months helps
Employment (payrolls) +0.2%over 12 months helps
Unemployment now 4.1% -0.2ppover 12 months helps
Jobless claims -11.4%over 12 months helps
Consumer confidence -10.5%over 12 months hurts
Inflation (adjusted CPI, not the headline) +3.3%over 12 months hurts

In United States: leading indicator for United States accelerating (CLI 100.8, +0.6/6m) — growth ahead.

What is pulling and what is dragging?

How much each thing this company depends on has moved in recent months.

Its country United States +1.1%
The world +0.4%
Equities overall -0.1%
Its sector Real estate -6.0%

Interest rates (US 10-year Treasury): this stock tends to suffer when rates rise (correlation -0.10), and right now they are rising.

Earnings

10 of 16 TIMES IT BEAT EXPECTATIONS 2022-10-27 → 2026-07-30 It usually meets or beats expectations.
See the 16 previous reports
DateExpected Reported Difference
2026-07-300.27 0.18 -34.0% missed
2026-04-300.25 -0.24 -196.4% missed
2026-02-050.28 0.39 +39.9% beat
2025-11-060.28 0.21 -23.2% missed
2025-07-310.33 0.31 -6.9% missed
2025-05-010.28 0.36 +29.5% beat
2025-02-060.42 0.37 -11.9% missed
2024-10-310.28 0.34 +23.4% beat
2024-08-010.37 0.40 +8.9% beat
2024-05-020.36 0.38 +6.1% beat
2024-02-010.42 0.42 +1.1% beat
2023-10-260.39 0.44 +13.4% beat
2023-08-030.34 0.41 +19.6% beat
2023-04-270.32 0.39 +22.7% beat
2023-02-020.31 0.42 +35.6% beat
2022-10-270.28 0.27 -3.2% missed

Technical signals that work best here

Each signal has been measured on this specific stock: how often, after it fired, the price moved as expected. The grey bar is what would have happened without the signal.They are ordered by EDGE - the hit rate divided by the base rate - not by the hit rate alone: a signal right 60% of the time where the norm is 40% adds more than one right 70% of the time where the norm was already 68%. When the rounded edge ties, the unrounded figure decides.

1
RSI crosses above 30 on the daily chart
57% vs 48% 58 times
2
Price touches the lower Bollinger band on the hourly chart
48% vs 44% 1142 times
3
RSI oversold on the daily chart
53% vs 48% 384 times

An edge of a few points over the base is real but small, and it is measured on the past: it guarantees nothing. Look at how many times it happened too - a high percentage over 30 cases says far less than a modest one over 500.

The last twelve months

-0.5% 2025-09-10 → 2026-09-09 · 104.59 → 104.11
Signal fired · 2025-09-25 Signal fired · 2025-10-06 Signal fired · 2025-10-13 Signal fired · 2025-10-30 Signal fired · 2026-02-03 Signal fired · 2026-03-10 Signal fired · 2026-03-17 Signal fired · 2026-03-23 Signal fired · 2026-03-30 Signal fired · 2026-08-11 Signal fired · 2026-08-21 Signal fired · 2026-09-02

The dots mark when the triggers measured for this stock fired (RSI oversold, RSI crosses above 30, CCI oversold): 58 times in the year (twelve are drawn, spread out, so you can see where they cluster). They anticipate a move over FIVE days, not a year: this is not a buy signal nor a forecast of what the price will do over twelve months.

See the 10 signals one by one

Of these 10 signals, 3 have their hit rate MEASURED on this stock; the rest carry a reference value that is the same for every company, which is the best that can be said without a history of its own. The «Right» column tells them apart.

Below 8 cases it does not count as measured and the signal carries no weight: 100% out of three and 0% out of three are the same noise. Between that minimum and 25 cases the weight phases in gradually, not all at once.

SignalSaysAccuracyHow it is used
Fundamentals flat54%
→ 51.3% adjusted measured here · 38
Adds nothing: its edge is too small to move the result
Analysts (price direction)getting the direction right is not reaching the target flat48%
measured here · 248
Adds nothing: it is right less than half the time
Analysts (earnings) down60%
reference
It counts
Analysts (revenue) flat57%
reference
Adds nothing: its edge is too small to move the result
Skilled insiders flat75%
measured here · 4 of 1 person small sample
Does not count: measured only 4 times, too small a sample to know whether it is right
Macro environment down52%
reference
It counts
EPS revisions down58%
reference
It counts
Relative strength down56%
reference
It counts
Options (put/call) down55%
reference
It counts
Growth vs index down56%
reference
It counts
Fundamental analysis in detail — debt, margins, earnings

Profile against its peers

Valuation 4/5 44
Profitability 5/9 44
Growth 3/3 60
Financial health 2/6 65
Cash 2/2 40
Shareholder 4/4 49
Insiders 2/2 86
Robustness 2/3 37

Each pillar is a percentile within its peer group (same sector and country): 70 means it beats 70% of its comparables. It measures the QUALITY of the business; it says nothing about timing or about the price it trades at today.

Market

Market cap10.9B
P/E (trailing)35.7
P/E (forward)99.3
Price / book value2.92
Debt / equity125.6
Net margin20.6%
Return on equity7.9%
Revenue growth-0.8%
Dividend3.9%
Data as of2026-08-25

Reported results · 12 periods filed with the regulator · figures in USD

PeriodRevenueNet income Margin
2026-06-30 · quarter 3.1M 18.8M 600.1%
2026-03-31 · quarter 2.1M 42.4M barely any revenue
2025-12-31 · quarter 5.3M 156.0M barely any revenue
2025-09-30 · quarter 2.6M 108.9M barely any revenue
2025-06-30 · quarter 2.6M 80.7M barely any revenue
2025-03-31 · quarter 2.5M 38.8M barely any revenue
2024-12-31 · quarter 1.5M 40.7M barely any revenue
2024-09-30 · quarter 1.7M -4.2M -246.3%
2024-06-30 · quarter 2.6M 42.9M barely any revenue
2024-03-31 · quarter 1.3M 83.9M barely any revenue
2023-12-31 · quarter 1.1M 222.3M barely any revenue
2023-09-30 · quarter 1.1M 48.0M barely any revenue

Analysts — latest moves

Consensus RECONSTRUCTED from targets still alive (under 12 months), one per firm: 114.00 median, between 105.00 and 137.00 — 14 firms, counting only the latest target from each (leaving out 34 earlier revisions).

DateFirmWhat they didTarget Previous
2026-08-17 Barclays Maintains 123.00 122.00
2026-08-13 JP Morgan Maintains 114.00 113.00
2026-08-12 Morgan Stanley Maintains 118.00 120.00
2026-08-07 Evercore ISI Group Maintains 114.00 113.00
2026-08-03 Cantor Fitzgerald Maintains 111.00 102.00
2026-07-22 Wells Fargo Maintains 113.00 107.00
2026-07-21 Piper Sandler Maintains 119.00 108.00
2026-07-14 Barclays Maintains 122.00 116.00
2026-07-09 Scotiabank Maintains 109.00 102.00
2026-06-25 Morgan Stanley Maintains 120.00 117.00
2026-06-18 Scotiabank Maintains 102.00 95.00
2026-06-11 Truist Securities Maintains 123.00 118.00

The target used above (116.97) comes from the data provider's aggregate and is backed by 22 analysts, captured on 2026-08-25: it is weighted accordingly, not as a consensus.

Insiders — what they do with their own shares

Buys 14 transactions · 119.4K shares
Sells 1 transactions · 30.0K shares
Net 89.4K shares
Held by insiders and controlling shareholders 1.5M shares
Data updated2026-08-25

Selling is routine: a good part of their pay comes in shares. Buying is what is informative, because nobody puts their own money into something they expect to fall.

When price drifts from the target, who gives way?

SituationTimesPrice gave way Analyst gave wayMoveDays
Price below target 4 75% 0% 9.1% 84

A gap to the target closes in two ways and only one of them can be traded: the price moves towards the target, or the analyst moves the target towards the price. They are measured separately.