INSTITUTIONAL — CANADIAN REITS

Institutional access to Canadian REIT data.

For asset managers, IR teams, sell-side coverage analysts, family offices, and research consultancies who need normalized, audit-trailed data across the Canadian REIT universe.

32 actively tracked Canadian REITs · 9.0/10 median internal composite extraction score (latest available per REIT) · freshest score 2026 Q1 · public error log · methodology v2.9 Read the full methodology →

WHO IT IS FOR

What you’re probably doing if this is for you.

  • Benchmarking a fund's Canadian REIT exposure against a normalized universe.(You're a PM or analyst at a buy-side firm.)
  • Defending peer comparables in front of your board or investment committee.(You're an IR officer or CFO at a Canadian REIT.)
  • Writing coverage notes that need same-methodology numbers across the universe.(You're a sell-side associate or coverage analyst.)
  • Sizing a Canadian REIT allocation against alternatives in a multi-asset book.(You're a family office or MFO CIO.)
  • Producing client deliverables or sector reports referencing Canadian REIT comparables.(You're a research consultancy or advisory firm.)

If your work doesn’t involve making 32 actively trackedCanadian REITs comparable on a common methodology, we’re probably not for you.

THE CANADIAN REIT LAYER

Why this on top of your terminal.

Broad-market terminals are useful for the market. They are not organized around the Canadian REIT slice.

Canadian REIT issuers publish different cap-rate conventions, dilution treatments, and debt fair-value methodologies, so raw price-to-net-asset-value multiples are not comparable in any rigorous sense. REIT Stack separates Reported NAV, Real Estate NAV, and Market-Implied NAV so the methodology is explicit.

Broad-market feeds flatten MD&A tables and supplemental schedules into standardized fields; REIT Stack keeps the issuer filing attached to the extracted metric.

Stored transcript audits record deterministic checks and follow-up where those audits have been run. The methodology page shows the audit trail and error log.

Keep your terminal for the market. Use REIT Stack for the Canadian REIT slice it doesn’t cover well.

DELIVERABLES

What you get with Institutional access.

Normalized at the universe level.

The 32 actively trackedCanadian REITs, each with their MD&A extracted into a versioned schema. Reported NAV, Real Estate NAV, and Market-Implied NAV are shown where the required inputs are available. Structured 4-section earnings summaries. Comparable across the universe and across quarters. Quarterly refresh, driven by the actual issuer filing calendar.

Audit-trailed end-to-end.

Filing-derived metrics retain available source citations. Page deep-links appear where structured page metadata and a matching source document are available. Scored extractions use REIT Stack’s published four-dimension internal rubric. Material errors identified through review are documented on the methodology page.

Distribution-ready.

White-label PDF reports with your firm’s branding and custom report builds. Multi-seat access and response-time terms are scoped per agreement.

OPERATING CONTROLS

Data handling & infrastructure.

Sources.

Filing-derived metrics use public issuer filings — MD&A, financial statements, transcripts — alongside licensed market-data providers. We do not ingest, hold, or trade on any non-public information.

Analytics privacy.

Product analytics are cookieless and carry no client-facing personally identifiable information by construction — we measure aggregate usage, not individuals. Nothing about your team’s activity is sold or shared.

Infrastructure.

Served from Cloudflare’s edge network, with Postgres and authentication on Supabase (AWS eu-west-1) and Sentry for error monitoring. Access is scoped per seat under contract.

FOUNDER LED

Built and operated by the founder and his team.

REIT Stack is built and operated by founder Kass Melle and his team. Institutional inquiries and onboarding are handled directly by Kass and the team.

Pricing.

Institutional agreements are scoped to your team — seats, custom-report scope, onboarding needs, and response-time requirements. The 20-minute call ends with a quote for the proposed scope.

Annual contracts. Custom terms for multi-seat teams and firms needing branded deliverables. The trial that follows the call is scoped to the seats and features your team would actually use.

DIRECT INQUIRY

Talk to us.

Tell us a bit about your team and we’ll be in touch within 2 business days. Prefer to evaluate first? Open a live sample analysis — no login required.