URF

US RESPROP STAPLED [URF]
US Masters Residential Property Fund (Fund) is listed on the Australian Securities Exchange. The Fund was established to give investors exposure to US residential property and is the largest Australian-listed property trust with a primary strategy of investing in freestanding and multi-tenant US residential property in the New York metropolitan area. As of 31 December 2024, the Fund's portfolio has 623 housing units across 340 freestanding properties, with a gross asset value of approximately 710 million US dollars. The Fund conducts all its New York metropolitan area residential investment through its controlled entity US Masters Residential Property (USA) Fund, a Maryland Real Estate Investment Trust (US REIT). In June 2024, the fund created a stapled group, by stapling units in a new fund US Masters Residential Property Fund II (ARSN 676 798 468) (URFII) to existing units in the Fund. URF II was created to own a new responsible entity, US Masters Responsible Entity Limited (ACN 672 783 345 | AFSL 553 794), which is now owned by Fund Unitholders, independent of any financial services organization and operates on a cost-recovery basis. US Masters Residential Property Fund was incorporated in 2011 in Australia.
Real Estate · ASX Small Cap
$0.1550 -3.1%

Updated 22 Jul 2026 · Signals refresh every scan

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Active Signals

Bullish Signals

  • Volume surging at 4.3x normal while price falls — heavy selling pressure
  • Drifting lower — down 6.1% over the last 5 days
  • Beating the Small Ords index — relative strength of 1.12, so it's outpacing the pack
  • Strong cash runway (31 quarters)
  • Moderate P/S ratio (5.3x)
  • Revenue in sharp decline (-58%)
  • Near 52-week low (8% of range)
  • CANSLIM I: Institutional ownership (51%)
  • Sentiment is mixed — no strong consensus either way
  • This one has been in freefall — down 51% over the past year
  • Altman Z-Score distress zone (0.66 < 1.81, low-confidence approx)
  • Beneish M-Score 5.87 > -1.78: likely earnings manipulation
  • RBA hiking (-5pts)

Risk Signals

  • Below the 200-day average — the long-term trend is still working against it
  • Piotroski F-Score weak (2/9, low-confidence approx)
  • Deeply negative margins (-270%)
  • Not enough chatter to gauge sentiment — defaulting to neutral
  • Revenue declining at -58% — the top line is shrinking
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Recent Catalysts

NONE Weekly NAV Estimate
NONE Monthly NAV Update
NONE Weekly NAV Estimate

Recent ASX Announcements

2026-07-15 Weekly NAV Estimate
2026-07-13 Monthly NAV Update
2026-07-08 Weekly NAV Estimate
2026-07-07 Change in substantial holding
2026-07-01 Weekly NAV Estimate

Key Metrics

$110.2M
Market Cap
332K
Avg Volume
4.3x
Vol Ratio
$0.14 — $0.33
52-Week Range
N/A
Short Interest
N/A
Cash Runway
-18.0%
ROE
-270.3%
Profit Margin

CANSLIM Analysis

FactorRatingDetail
CCurrent EPSfailEPS Growth: 0%
AAnnual EarningsfailCAGR: 0%
NNew Highs / Catalystsneutral
SSupply & DemandneutralFloat: 78%
LLeader vs LaggardlaggardRS: -8
IInstitutional SponsorshippassInst: 51%
MMarket DirectionneutralNeutral

Sector: Real Estate

34 tickers in this sector

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