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Fiscal Wizard · Single-issue tearsheet

KIM / Oct 1, 2026 Run #19184
Paper trade

KIM

Kimco Realty Corporation

Kimco Realty is a real estate investment trust (REIT) and leading owner and operator of high-quality, open-air, grocery-anchored shopping centers and mixed-use properties in the United States. The company's portfolio is strategically concentrated in the first-ring suburbs of the top major metropolitan markets, including high-barrier-to-entry coastal markets and Sun Belt cities. Its tenant mix is focused on essential, necessity-based goods and services that drive multiple shopping trips per week. Publicly traded on the NYSE since 1991 and included in the S&P 500 Index, the company has specialized in shopping center ownership, management, acquisitions, and value-enhancing redevelopment activities for more than 65 years. With a proven commitment to corporate responsibility, Kimco Realty is a recognized industry leader in this area. As of June 30, 2026, the company owned interests in 564 U.S. shopping centers and mixed-use assets comprising 100 million square feet of gross leasable space. Kimco Realty Corporation was incorporated in 1958 in Maryland and is based in Jericho, New York.

Composite verdict

F 21.3 / 100
Bearish setup · Trend Following 16 drivers · 4 gates blocking
  • Relative Strength vs SPY
  • Sector Relative Strength
  • Rate of Change
Consider long put target Δ ~0.70 · ~35 DTE Bearish setup, Grade A → ITM put target

Industry rank 7th of 8 in REIT - Retail

rescore-sweep
Technical synthesisRegime: volatile range
Bull 0%Evidence: High · 19 signals100% Bear
Momentum Bearish 0Mean-reversion Neutral 50

No notable composite patterns — the signals don't cluster into a named setup right now.

Where value comes fromMargin of safety -38%

Earnings power doesn't cover the capital structure (high debt) — the EPV decomposition isn't meaningful for this name.

Fundamentals Mixed

42.7 / 100

Score-bearing fundamentals shown here exclude gate-only risk checks. · 35 metrics shown.

Strongest
Weakest
EPS Growth (YoY) 100
OCF to Net Income 0
Dividend Yield 100
Greenblatt ROC 0
Capex to Sales 94
Cash Conversion 0

Technicals Bearish

0.0 / 100

Bearish setup leads (Relative Strength vs SPY, Sector Relative Strength, Rate of Change); bulls gated by guards. · 44 signals shown.

Strongest
Weakest
Rate of Change 16
ADX DI Cross 18
Sector Relative Strength 19

Risk Gates

4 blocking 6 caution

4 guards active, 21 signals gated.

Net Debt / EBITDA Blocking

High net debt / EBITDA blocks bullish signals — credit-leverage risk.

MA Crossover Blocking

Blocks counter-regime signals only when the MA crossover agrees with the long-term regime.

Realized Volatility Regime Blocking

High-vol regime mutes mean-reversion signals; low-vol regime mutes breakout signals.

Regime Filter Blocking

Blocks signals that oppose the long-term moving-average regime.

Breakdown

Look under the hood

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Every chip in either subscore card drills into the metrics or signals that fed it — including the formula, the threshold band, and what the current reading means for KIM.