BRIXMOR PROPERTY GROUP REIT INC (BRX)
NYSE • Real Estate
Last close at July 24, 2026 at 20:00 UTC
Fundamentals Charts
About BRIXMOR PROPERTY GROUP REIT INC
Brixmor Property Group Inc. is a New York Stock Exchange-listed real estate company focused on owning and managing open-air retail centers across the United States. Structured as a retail-focused REIT, it generated $1.4 billion of revenue in FY2025 from leasing, operating, and managing retail real estate.
Analyst Ratings
Fundamentals & Financials
TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.
Income Statement
Balance Sheet
Financial Highlights
Dividends History
Split History
Earnings Calendar
Technical Indicators
BRIXMOR PROPERTY GROUP REIT INC's Technical Indicators Summary
BRX shows a buy posture driven largely by price holding above most medium and longer moving averages despite a slight short-term pullback beneath the 10-day average, and the MACD and momentum readings are mildly constructive. Trend strength remains weak and volatility is subdued, so momentum rather than a strong directional trend is driving price action, while on‑balance volume and pivot levels are less supportive and warrant attention. Overall the setup favors the upside while cautioning on limited trend conviction. Technical takeaway: Buy.
| Indicator | Value |
|---|---|
RSI (14) | 53.57 |
Stochastic %K (14, 3, 3) | 76.87 |
CCI (20) | 37.32 |
WPR (14) | -42.79 |
Momentum (10) | 1.03 |
MFI | 57.40 |
MACD Level (12, 26) | 0.30 |
Bollinger Bands | $30.50 - $32.98 |
ATR (14) | $0.56 (1.76%) |
ADX (14) | 14.87 |
OBV | 37,741,874 |
Classic Pivot Point | $32.55 |
Fibonacci Pivot Point | $32.55 |
Simple Moving Averages | $28.65 - $31.99(5 indicators) |
Exponential Moving Averages | $29.08 - $32.05(5 indicators) |
Get premium market insights delivered directly to your inbox.
Today's Snapshot
Into the close, BRX still reflected a gentle 1.47% gap from yesterday. By the end of the session, BRX closed ahead of results due in 3 days (27 July). By the close, sector strength was clear, with a 2.22% gain underpinning risk appetite.
Trading Volume
Below 10d avg (1.9M)
1.4M
vs S&P 500 Today
Outperforming Market
+1.56%
52-Week Position
Near highs
94.9%
Updated: July 24, 2026 at 20:40 UTC