Manulife US REIT
Distribution yield
4.48%
Cut risk safety
25/100
NAV premium / discount
-69.52%
5y DPU growth
-47.97%
Distribution cut risk
Composite across safety, growth, track record, NAV signal.
80
High risk
- +30Safety composite25/100 — fragile (below 50).
- +25Growth (5y)Falling at -48.0%/yr — distributions trending down.
- +10Track record7y continuous — not yet aristocrat (10y+).
- +15NAV signalTrading at -70% to NAV — market pricing in pain.
Distribution predictability
Derived from 5y growth direction and track record length.
Distributions falling at -48.0%/yr over 5y — trend negative.
NAV premium/discount history
Last 49 daily snapshots · current -69.5% · 5y mean -67.3%
Above zero = trading at NAV premium. Below zero = NAV discount. Stale-NAV outliers (|value| > 100%) are filtered out.
DPU history (per period)
49 reported periods · trend +0.0% from start to latest
Very stable
CV 0.0%
Dashed line = mean DPU across reported periods. Coefficient of variation (CV) measures relative volatility — under 5% is exceptionally steady.
Latest fundamentals
As of 2026-06-06- NAV per unit
- USD 0.525
- Price / NAV
- 0.30×
- Occupancy
- —
- Gearing
- —
- DPU
- USD 0.0032
- Payout ratio
- 0.3%
- Coverage
- —
- WALE (years)
- —
- Distribution freq
- semi-annual
- Continuous years
- 7y
- Insider ownership
- 23.5%
Peers (Office)
Compare OXMU.SI side-by-side
Where to buy OXMU.SI
OXMU.SI trades on SGX. We compare commissions, CDP support, SRS compatibility, and platform features across the major brokers serving Singapore.
Compare Singapore brokers →