Stock analysis, trade plans, and proprietary indicators by Trend Edge.
About Brandywine Realty Trust
Brandywine Realty Trust is one of the largest, publicly traded, full-service, integrated real estate. Company. It is in United States with a core focus in Philadelphia, PA and Austin, TX. Organized as a real estate investment trust (REIT), we own, develop, lease and manage an urban, town center and transit-oriented portfolio comprising 117 properties and 19.8 million square feet as of March 31, 2026. Read full Trend Edge analysis →
Sector: Real Estate
Industry: REIT-Office
Exchange: NYSE
IPO Date: July 24, 1986
Headquarters: 2929 Arch Street, Philadelphia, PA, United States, 19104-5054
Founder-Led: Yes — Gerard H. Sweeney (President, Chief Executive Officer and Trustee)
Key Metrics
Current Price
$3.03
Market Cap
$518M
Float
165.6M
Shares Outstanding
173.7M
P/E (Forward)
5.71
Price/Sales (TTM)
1.18
vs. Analyst Target
-1.0% to analyst PT
Profit Margin
-45.68%
Operating Margin (TTM)
3.90%
Revenue (TTM)
$437M
Earnings Growth (YoY)
550.60%
Dividend Rate
0.4%
Analyst Target Price
$3.00 (6 analysts)
Financial History
Annual Revenue & Earnings History
Year
Revenue
Net Income
Gross Profit
EBITDA
2020
$535M
$306M
$329M
$572M
2021
$487M
$12.3M
$299M
$256M
2022
$506M
$53.8M
$312M
$304M
2023
$515M
-$197M
$325M
$91.3M
2024
$506M
-$196M
$318M
$103M
2025
$484M
-$179M
-$53.6M
$138M
Recent Quarterly Revenue & Net Income
Quarter
Revenue
Net Income
Jun 2025
$121M
-$88.9M
Sep 2025
$121M
-$25.9M
Dec 2025
$121M
-$37.0M
Mar 2026
$127M
-$48.6M
Ownership & Float
Insider Ownership
4.4%
Institutional Ownership
77.3%
Short Float
6.7%
% of All Funds Holding
2.58%
Number of Funds Holding
212
Current Moving Averages
Trend Edge tracks near-term, medium-term, cyclical, and secular moving averages across weekly and monthly timeframes to identify trend structure at every horizon.
Timeframe
SMA
Value
Trend Context
Weekly
10-Week SMA
$2.89
Near-term / short-term trend
Weekly
40-Week SMA
$3.29
Medium-term trend
Weekly
80-Week SMA
$3.95
Cyclical trend (business cycle)
Weekly
200-Week SMA
$4.72
Secular trend (multi-year)
Monthly
10-Month SMA
$3.30
Near-term monthly trend
Monthly
20-Month SMA
$4.04
Medium-term monthly trend
Monthly
40-Month SMA
$4.38
Secular monthly trend
Volume Shelves — Support & Resistance
Trend Edge identifies volume shelves: price zones where historically elevated trading volume
creates structural support or resistance. A volume shelf forms when a disproportionate share of cumulative
volume was transacted at a specific price level, making it a high-conviction anchor for future price reactions.
Price Level
Type
Volume Ratio
Age
$3.10
resistance
1.09x
1 months ago
$3.30
resistance
1.87x
4 months ago
$4.10
resistance
1.26x
6 months ago
$4.40
resistance
1.40x
12 months ago
$5.00
resistance
1.20x
13 months ago
Historical Earnings Reactions (113 events)
Timeframe
Avg Return
Median
Win Rate
Best
Worst
Gap
0.07%
-0.05%
37.17%
6.34%
-4.10%
1 Day
0.29%
0.27%
54.87%
13.32%
-8.89%
1 Week
-0.34%
0.22%
51.33%
24.88%
-17.82%
2 Weeks
-0.84%
0.26%
50.44%
33.25%
-41.50%
1 Month
0.08%
-0.06%
49.11%
32.62%
-47.34%
Next earnings: July 12, 2026 (45 days away)
Seasonality & Day-of-Week Patterns
Monthly Seasonality
Month
Avg Return
Win Rate
Samples
Jan
3.9%
45.0%
40
Feb
1.3%
47.5%
40
Mar
3.5%
57.5%
40
Apr
-0.0%
45.0%
40
May
0.4%
56.4%
39
Jun
3.2%
53.8%
39
Jul
1.2%
53.8%
39
Aug
0.1%
42.5%
40
Sep
-5.1%
27.5%
40
Oct
-5.1%
25.0%
40
Nov
-0.6%
55.0%
40
Dec
2.8%
60.0%
40
Day-of-Week Tendencies
Day
Avg Return
Win Rate
Samples
Monday
0.02%
41.1%
1892
Tuesday
0.09%
41.4%
2060
Wednesday
-0.01%
39.5%
2057
Thursday
-0.04%
41.7%
2017
Friday
0.13%
43.0%
2009
Top Institutional Holders
Institutional holder breakdown coming soon.
Total institutional ownership: 77.3%
Insider Transactions — Smart Summary
Total insider ownership: 4.4%
Founder-led management: Gerard H. Sweeney (President, Chief Executive Officer and Trustee)
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The analysis covers five layers:
technical analysis (near-term, medium-term, cyclical, and secular trend, momentum,
volume shelf support and resistance, breakout and breakdown signals),
qualitative analysis (business model, competitive moat, sector dynamics),
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share stats analysis (institutional accumulation, fund positioning, short float squeeze potential), and
fundamental analysis (valuation, revenue growth, profit margin, earnings quality).
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