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Rayonier Inc. (RA6.F)

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22.80
-1.40
(-5.79%)
At close: April 4 at 9:55:02 PM GMT+2
Loading Chart for RA6.F
  • Previous Close 24.20
  • Open 24.00
  • Bid 22.80 x 13800
  • Ask 23.00 x 13600
  • Day's Range 22.80 - 24.00
  • 52 Week Range 22.80 - 30.40
  • Volume 10
  • Avg. Volume 18
  • Market Cap (intraday) 3.586B
  • Beta (5Y Monthly) 1.00
  • PE Ratio (TTM) 10.56
  • EPS (TTM) 2.16
  • Earnings Date Apr 29, 2025 - May 5, 2025
  • Forward Dividend & Yield 1.01 (4.42%)
  • Ex-Dividend Date Mar 17, 2025
  • 1y Target Est --

Rayonier is a leading timberland real estate investment trust with assets located in some of the most productive softwood timber growing regions in the United States and New Zealand. As of December 31, 2023, Rayonier owned or leased under long-term agreements approximately 2.7 million acres of timberlands located in the U.S. South (1.85 million acres), U.S. Pacific Northwest (418,000 acres) and New Zealand (421,000 acres).

www.rayonier.com

424

Full Time Employees

December 31

Fiscal Year Ends

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Performance Overview: RA6.F

Trailing total returns as of 4/4/2025, which may include dividends or other distributions. Benchmark is S&P 500 (^GSPC) .

YTD Return

RA6.F
6.32%
S&P 500 (^GSPC)
13.73%

1-Year Return

RA6.F
13.89%
S&P 500 (^GSPC)
1.42%

3-Year Return

RA6.F
28.21%
S&P 500 (^GSPC)
10.72%

5-Year Return

RA6.F
46.96%
S&P 500 (^GSPC)
103.89%

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Statistics: RA6.F

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Valuation Measures

Annual
As of 4/4/2025
  • Market Cap

    3.54B

  • Enterprise Value

    4.32B

  • Trailing P/E

    10.53

  • Forward P/E

    44.25

  • PEG Ratio (5yr expected)

    --

  • Price/Sales (ttm)

    3.03

  • Price/Book (mrq)

    2.22

  • Enterprise Value/Revenue

    3.78

  • Enterprise Value/EBITDA

    8.62

Financial Highlights

Profitability and Income Statement

  • Profit Margin

    28.42%

  • Return on Assets (ttm)

    6.96%

  • Return on Equity (ttm)

    19.46%

  • Revenue (ttm)

    1.26B

  • Net Income Avi to Common (ttm)

    359.15M

  • Diluted EPS (ttm)

    2.16

Balance Sheet and Cash Flow

  • Total Cash (mrq)

    323.16M

  • Total Debt/Equity (mrq)

    65.07%

  • Levered Free Cash Flow (ttm)

    488.37M

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