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Prologis, Inc. (PLD)

NYSE: PLD · Real-Time Price · USD
$144
+1.81 (+1.3%)· Live
StockMarketAgent Research

Our analysis: PLD rated Sell

Sell. The current valuation reflects a massive disconnect from intrinsic net asset value, yielding a clear baseline fair value of $97.12.

Fair value (mid)
$97.1 / share
$83.2 – $116
Upside to FV
-32.6%
from $144
Confidence
80/100
Moat
9/10
Read full analysis View archive · 24mo
9-phase methodology · same model every month
Biggest opportunityBull case · highest-impact upside lever

Bull: Even in an optimal scenario where secular e-commerce tailwinds drive peak occupancy and aggressive rent growth, shares remain fundamentally overvalued relative to the $115.97 upside target.

Biggest riskTop kill scenario by severity
E-commerce Capex Contraction

E-commerce Capex Contraction: Major tenants structurally reduce logistics footprint expansion, severely depressing new leasing activity and mark-to-market rent spreads.

Recommended actionConviction: high
Sell

Sell. The immense divergence between PLD's fundamentally sound real estate NAV ($97.12) and the current share price ($144.09) is unsustainable. Investors should rotate out immediately.

Position sizing playbook →
Market cap$134.3B
Revenue (ttm)9.4B
Net income (ttm)3.7B
EPS (ttm)$3.97
Shares out952.3M
P/E (trailing)36.3x
P/E (forward)42.4x
Dividend$4.28 (2.97%)
Volume3,267,179
Beta1.35
Price target$145+0.3%
Market data

Price

Recent price action with selectable time range.

Financial snapshot

Revenue (ttm)
9.4B
Net income (ttm)
3.7B
EPS (ttm)
$3.97
P/E (trailing)
36.3x
P/E (forward)
42.4x
Market cap
$134.3B

Scenarios & expected return

Probability-weighted: -32.6% expected return to fair value
Bull20%
Price target
$115.97
-19.5% from spot

Even in an optimal scenario where secular e-commerce tailwinds drive peak occupancy and aggressive rent growth, shares remain fundamentally overvalued relative to the $115.97 upside target.

  • Rent spreads remain historically elevated.
  • Cap rates compress.
  • Terminal multiple hits 20x.
Base60%
Price target
$97.12
-32.6% from spot

Logistics demand normalizes. Our primary baseline rests 85% on NAV/AFFO, producing a $97.12 fair value that highlights a massive 36% premium in current market pricing.

  • Revenue growth normalizes to 3-5%.
  • Terminal multiple normalizes to 17x.
  • Terminal growth settles at 2.5%.
Bear20%
Price target
$83.17
-42.3% from spot

A severe macroeconomic slowdown and localized oversupply rapidly compress rent growth, pushing fair value down to $83.17 as the market brutally corrects the implied growth premium.

  • Macro recession curbs tenant expansion.
  • Terminal multiple drops to 14x.
  • Asset cap rates materially expand.

Valuation models & bridge

Each model produces an independent fair value. Weighted average = $97.1.
ModelWeightFV / sharevs spotContribution
Nav affo85%$101-30.0%
Ddm15%$76.0-47.3%
FCFF DCF0%$108-24.7%
Reverse DCF0%$0.00-100.0%
Discounted earnings0%$51.1-64.5%
Forward earnings0%$53.3-63.0%
Owner earnings0%$197+36.5%
Multi stage moat fade0%$71.5-50.4%
Peg adjusted peer0%$19.3-86.6%
Residual income0%$0.00-100.0%
Composite FV (weighted)100%$97.1-32.6%

Sensitivity: Ke × terminal growth

Ke ↓ / g →1.5%2.0%2.5%3.0%3.5%
6.5%$112$124$140$160$163
7.5%$93.4$102$112$124$140
8.5%$80.1$86.2$93.4$102$112
9.5%$70.1$74.7$80.1$86.2$93.4
10.5%$62.3$66.0$70.1$74.7$80.1

Scorecard

Factor radar (left) · 9-category weighted composite (right)
ValuationManagementBalanceProfitabilityRevenueRiskCompetitiveEarningsCapital
Valuation1.5
Management6.9
Balance Sheet4.0
Profitability6.5
Revenue Growth6.0
Risk Assessment5.0
Competitive Moat9.0
Earnings Quality9.0
Capital Efficiency2.5
Weighted composite
5.6/10
Mixed
CategoryWeightScoreReading
Valuation11%1.5
Management11%6.9
Balance Sheet11%4.0
Profitability11%6.5
Revenue Growth11%6.0
Risk Assessment11%5.0
Competitive Moat11%9.0
Earnings Quality11%9.0
Capital Efficiency11%2.5

Position sizing & entry playbook

Pre-committed rules, followed irrespective of news flow.
Conviction tier
High
Confidence 80/100
Target weight
Avoid long exposure entirely. Utilize put spreads given the massive structural valuation premium.
of equity sleeve
Do not enter long unless price meaningfully corrects below the $83 base-case downside target.
Current / pullbacks
Current price
Today’s last trade
$144
Liquidate existing long positions entirely at current $144 levels.
Thesis break
Risk to thesis
  • Liquidate existing long positions entirely at current $144 levels.
Calendar

Next earnings

Upcoming earnings date and setup when available.

Upcoming
DateLoading
Window
EPS estimate
Revenue estimate

Sector percentile context

Refreshed 2026-05-10 22:07 UTC
Forward P/E42.4
P25 n/aP50 n/aP75 n/a
Trailing P/E0
P25 n/aP50 n/aP75 n/a
ROE6.8
P25 n/aP50 n/aP75 n/a
ROIC3.9
P25 n/aP50 n/aP75 n/a
Benchmarks · 1M
S&P 500n/a
Nasdaq Compositen/a
Dow Jones Industrial Averagen/a
Russell 2000n/a

All PLD indicators

Market & fundamental data
Available fields
249
Groups with data
11
Currency
USD
Showing 249 of 249 available metrics for this ticker.

Profile and market data

Ticker identity, listing, currency, market cap, and source dates.

26
MetricValue
Cik
0001045609
Company name
Prologis, Inc.
Country
United States
Country code
US
Cusip
74340W103
Employees
2,802
Employees Change
99%
Employees Change Percent
3.66
Enterprise value
$171.7B
Exchange
NYSE
Financial currency
USD
First seen
2026-05-09
In Index
SP500
Industry
REIT - Industrial
IPO Date
1994-03-01
Isin
US74340W1036
Last refreshed
2026-05-10
Market cap
$137.2B
Market cap category
Large-Cap
Price
$144
Price currency
USD
Rev Per Employee
3,346,221.63x
Sector
Real Estate
Sic
6798
Symbol
PLD
Website
https://www.prologis.com

Valuation

Multiples, yields, enterprise-value ratios, and valuation checks.

15
MetricValue
Earnings Yield
2.7%
EV Earnings
46.25x
EV Sales Forward
18.43x
EV/EBIT
44.53x
EV/EBITDA
26.17x
EV/Sales
18.31x
Forward P/E
44.32x
P/B ratio
2.51x
P/E ratio
36.28x
P/S ratio
14.64x
PE Ratio10 Y
33.05x
PE Ratio3 Y
33.88x
PE Ratio5 Y
35.09x
PEG ratio
7.72x
PS Forward
14.73x

Profitability

Margins, returns on capital, cash conversion, and quality metrics.

22
MetricValue
EBIT Margin
41.12%
EBITDA Margin
69.97%
Gross margin
75.6%
Gross Profit
$7.1B
Net Income
$3.7B
Net Income Growth
-0.58%
Net Income Growth Q
65.61%
Net Income Growth Quarters
2%
Net Income Growth Years
0%
Net Income Growth3 Y
11.56%
Net Income Growth5 Y
22.42%
Pretax Margin
44.57%
Profit Margin
39.65%
Profit Per Employee
$1.3M
Profitable Years
13
ROA
2.48
Roa5y
2.3
ROCE
4.04
ROE
6.84
Roe5y
6.89
ROIC
3.92
Roic5y
3.7

Growth

Revenue, earnings, cash-flow, and forward growth indicators.

24
MetricValue
Cagr10y
15.19%
Cagr1y
41.98%
Cagr3y
7.6%
Cagr5y
7.44%
Div CAGR10
9.76%
Div CAGR3
7.81%
Div CAGR5
11.44%
EPS Growth
-1
EPS Growth Q
65.2
EPS Growth Quarters
2
EPS Growth Years
0
EPS Growth3 Y
7.48
EPS Growth5 Y
16.95
OCF Growth
2.36%
OCF Growth Q
10.97%
OCF Growth10 Y
14.56%
OCF Growth3 Y
5.3%
OCF Growth5 Y
10.81%
Revenue Growth
7.36x
Revenue Growth Q
8.31x
Revenue Growth Quarters
7x
Revenue Growth Years
12x
Revenue Growth3 Y
11.12x
Revenue Growth5 Y
13.93x

Financial strength

Debt, cash, solvency, accounting-quality, and balance-sheet signals.

16
MetricValue
Asset Turnover
$0.1
Assets
$98.1B
Cash
$871.2M
Debt
$35.3B
Debt EBITDA
$5.38
Debt Equity
$0.61
Equity
$57.9B
Interest Coverage
3.76
Liabilities
$40.2B
Net Cash
$-34.4B
Net Cash By Market Cap
$-25.1
Net Debt EBITDA
$5.25
Net Debt Equity
$0.59
Tangible Book Value
$53.4B
Tangible Book Value Per Share
$57.32
WACC
9.85

Liquidity

Current-asset coverage and working-capital efficiency metrics.

4
MetricValue
Current ratio
0.53
Net Working Capital
$-1.1B
Quick ratio
0.32
Working Capital
$-1.3B

Dividends and buybacks

Dividend yield, payout, buybacks, and shareholder-yield indicators.

10
MetricValue
Buyback Yield
-0.32%
Dividend Growth
5.58%
Dividend Growth Years
12%
Dividend per share
$4.28
Dividend Years
16
Dividend Yield
2.97%
Ex Div Date
2026-06-16
Last Dividend
$1.07
Payout Frequency
Quarterly
Payout Ratio
104.76%

Performance and technicals

Returns, volatility, beta, momentum, RSI, and moving-average context.

41
MetricValue
10Y total return
311.15%
1Y total return
41.94%
200-day SMA
126
3Y total return
24.59%
50-day SMA
137
50-day SMA vs 200-day SMA
50over200
5Y total return
43.13%
All Time High
174.5
All Time High Change
-17.45%
All Time High Date
2022-04-21
All Time Low
21.74
All Time Low Change
562.79%
All Time Low Date
2011-10-04
ATR
2.92
Beta
1.35
Beta1y
0.91
Beta2y
0.77
Ch YTD
12.87
High
144.5
High52
145.4
High52 Date
2026-04-17
High52ch
-0.93%
Low
142.4
Low52
103
Low52 Date
2025-05-23
Low52ch
39.87%
Ma50ch
5.2%
Premarket Change Percent
0.44
Premarket Price
$143
Premarket Volume
404
Price vs 200-day SMA
14.32%
RSI
60.27
RSI Monthly
61.02
RSI Weekly
62.97
Sharpe ratio
1.54x
Sortino ratio
2.76
Total Return
2.65%
Tr YTD
13.78
Tr1m
8.16%
Tr1w
1.9%
Tr3m
6.06%

Analyst estimates

Ratings, targets, revisions, and forward estimate fields.

14
MetricValue
Analyst Count
17
Analyst Count Top
3
Analyst Price Target Top
$138
Analyst Ratings
Buy
Analyst Ratings Top
Buy
Earnings EPS Estimate
$1.03
Earnings EPS Estimate Growth
-27.46
Earnings Revenue Estimate
2,111,190,438x
Earnings Revenue Estimate Growth
5.61x
Operating Income
$3.9B
Operating margin
41.12
Price target
$145
Price Target Change
$0.31
Price Target Change Top
$-4.46

Ownership and float

Institutional, insider, float, short-interest, and share-count fields.

10
MetricValue
Float
927,857,455%
Float Percent
97.43%
Shares Insiders
0.16%
Shares Institutions
95.05%
Shares Out
952,331,000
Shares Qo Q
-0.05%
Shares Yo Y
0.32%
Short Float
1.24%
Short Ratio
3.27
Short Shares
1.21

Other indicators

Additional ticker metrics that do not fit the primary research groupings yet.

67
MetricValue
Average Volume
3,339,897.35x
Bv Per Share
57.32
Ch10y
209.2
Ch1m
8.16
Ch1w
1.9
Ch1y
37.18
Ch3m
5.21
Ch3y
13.23
Ch5y
24.19
Ch6m
14.72
Change
1.27%
Change From Open
0.78
Close
142.3
Days Gap
0.48
Depreciation Amortization
2,705,476,000
Dollar Volume
470,767,822.1
Earnings Date
2026-04-16
Earnings Time
bmo
EBIT
$3.9B
EBITDA
$6.6B
EPS
$3.97
F Score
5
Ffo
6,094,332,000
Financing CF
-2,446,339,000
Fiscal Year End
December
Founded
1,983
Graham Number
71.56539
Graham Upside
-50.33
Income Tax
$208.6M
Investing CF
-2,480,551,000
Is Primary Listing
1
Is Spac
No
Last Earnings Date
2026-04-16
Last Report Date
2026-03-31
Last Split Type
Never
Last10k Filing Date
2026-02-13
Lynch Fair Value
$89.05
Lynch Upside
-38.2
Ma150
131.1
Ma150ch
9.89%
Ma20
141.4
Ma20ch
1.92%
Net CF
190,027,000
Next Earnings Date
2026-07-15
Open
143
Optionable
Yes
P FFO
22.63
P OCF Ratio
26.72
Payment Date
2026-06-30
Position In Range
80.47
Post Close
144.1
Postmarket Change Percent
0.45
Postmarket Price
$145
Ppne
80,610,292,000
Pre Close
142.3
Price Date
2026-05-08
Price EBITDA
$20.92
Ptbv Ratio
2.57
Relative Volume
0.98x
Revenue
9,376,113,000x
SBC By Revenue
2.06x
Share Based Comp
192,937,000
Tax By Revenue
2.22x
Tax Rate
4.99%
Tr6m
16.55%
Us State
California
Volume
3,267,179

Deeper analysis on PLD

14 sections in the full report · jump straight to what you need

Frequently asked questions

About this PLD report
What is the current PLD stock rating?
Prologis, Inc. is currently shown with Sell in the latest report. The hub links directly to the full analysis surface where the rating, fair-value bridge, risks, and scorecard are documented together.
Where can I read the full PLD analysis?
The full report lives at /stocks/PLD/analysis. The bare ticker page is a product hub that summarizes the latest read and sends readers into the relocated analysis tabs without making the analysis surface depend on the hub.
What fair-value range is used for PLD?
The latest report frames PLD around $83 to $116. Treat that range as the entry point, then check the valuation, sensitivity, and bear-case tabs before making an investment decision.
How often is the PLD page updated?
The hub updates with the latest published stock report and live backend market data. The analysis pages remain reachable under /analysis, so a hub rollback does not remove the report reader.
SellPLD · Fair value $97.1-32.6% · Confidence 80/100