GNL TradingViewOVTLYR consoleNews (1w)Earnings search — Global Net Lease, Inc.

Real Estate · ETF XLRE · as of 2026-09-18

Daily · EMA 10 / 20 / 50 · SMA 200 · VolPress: buy/sell split, 20-SMA, white dot = above avg · · E = earnings · RS vs SPY · RS new high
GNL
Global Net Lease, Inc. NYQ
Real Estate · REIT - Diversified

Global Net Lease Inc is a real estate investment trust that manages a globally diversified portfolio of commercial real estate properties. The company is engaged in the ownership, management, operation, lease, acquisition, investment, and sale of the portfolio assets. Its segments include Industrial & Distribution, Retail, and Office. The company derives maximum revenue from the Industrial and Distribution segment. The company geographically operates in the United States, the United Kingdom, Canada, and Europe.

Market cap
1.9B
P/E (TTM)
-
EPS (TTM)
-0.29
Employees
56
IPO
2015-06-02
Website

Price & today

$8.77 ATR(14) 0.15 (1.68%)
Stock today-1.35%
Sector ETF today-0.95%
Residual (stock-specific)-0.40%

Sector correlation

20-day correlation with XLRE0.34
60-day correlation with XLRE0.26
Status normal

Decoupling fires when 60d corr − 20d corr > 0.20: stock used to track its sector but the relationship has weakened recently.

Technicals

10 EMA$8.96
20 EMA$9.01
50 EMA$9.04
EMA stackBEARISH
RSI(14)34.3
52-week high distance-12.65%
52-week low distance+18.67%

Signals

Market F&G46.9
Bull%12.2%
OVTLYR status SELL (7d)
Sector rank#179
Next earnings 2026-11-03 (TNS, 45d)
TradingView OVTLYR console More news (Google) Sector dashboard (XLRE)

MarketSmith metrics - our compute

RS Rating
30.0
ADR%
1.4
RMV (tight)
64.0
Ext (ATR>20EMA)
-1.6
Rel Vol
340.0%
U/D 50d
0.68
U/D 25d
0.56
Accum/Dist 25d
1 / 2
EPS YoY
+44.0%
LoD dist
0.0
Off 52w High
12.6%
Above 52w Low
17.2%
1W / 1M
-3.1 / -2.7
Avg $Vol 50d
22.1M
Mkt Cap (B)
1.9
Trend 8/8
no
Leads Group
YES
Sector XLRE
-2.0% 1W
What do these abbreviations mean?
RS Rating
- IBD-style relative strength vs SPY (weighted 3/6/9/12-mo). 70+ = leaders pool, 80+ = strong.
ADR%
- average daily range over 20 days. 4%+ = the fast movers the playbook prefers (selection order, not a gate).
RMV (tight)
- Relative Measured Volatility, 15 bars, scaled 0-100. <15 = tight coiled base (green), <35 moderate, high = loose/expanding - not a base right now.
Ext (ATR>20EMA)
- how many ATRs price sits above its 20-EMA. ≤1 = in value (green), >2 = extended/chasing (red) - prefer a pullback.
Rel Vol
- latest volume vs the 50-day average. 100% = normal; 140%+ = breakout confirmation.
U/D 50d / 25d
- up-day vs down-day volume over the window. 1.1+ = net accumulation (institutions buying); under 0.9 on the 25d = net selling.
Accum/Dist 25d
- heavy-volume up days vs heavy-volume down days in the last 25 sessions (close moved 0.2%+ on above-average volume). The institutional-participation footprint; 5+ distribution days = O'Neil caution line.
LoD dist
- close distance above the day low in % of ATR (100 = one full ATR off the low). High = strong close.
Off/Above 52w
- trend-template legs: within 25% of the 52-week high, at least 25% above the 52-week low.
Trend 8/8
- all 8 Minervini Trend Template criteria pass. Discovery floor, NOT an entry signal - entries come from the VCP pivot.
Base len (VCP)
- weeks since the VCP base started on the latest scan. 10wk+ bases carry the edge; short stacked bases test below random.

Fundamentals & valuation - reference, not entry inputs

P/E (TTM)
-
Fwd P/E
-
PEG
-
Price/Book
1.3
Profit margin
-2.9%
ROE
-1.0%
Debt/Equity
161.7
Rev growth
-10.0%
Analyst target
$10 (+16%)
Analyst rating
BUY
Institutional %
76.2%
Insider %
9.9%
Float %
96.5%
Valuation and analyst figures are Yahoo company stats (weekly refresh, ~3,000 larger names - blanks are honest gaps); logo, employees, website and IPO date are Massive company reference. Momentum/VCP entries do not use valuation - this card is context so you do not have to leave the page.

Company data - context read, not entry inputs

Industry rank
114 / 147
Industry
REIT - Diversified
Float
203.7M
Float turnover 20d
1.0%
Avg $Vol 20d / 50d
18.6M / 22.1M
Days to cover
0.0
Short % float
0.0%
Institutional %
76.2%
Weinstein stage
4
Float, short interest and institutional % come from Yahoo company stats, refreshed weekly for ~3,000 larger names - a blank means Yahoo does not publish the figure for this stock, not that it is zero. Dollar volume and float turnover are computed from our own price bars; industry rank from our rotation data; stage from the weekly chart.

Quarterly EPS - earnings acceleration

A dash in %Chg is deliberate: the year-ago figure was a loss, so a growth % would be meaningless. A dash in Sales means we have no revenue figure for that quarter - read it as a gap in our data, not as zero revenue.

QuarterEPS ($)%Chg YoYSales ($M)%Chg
May-24 -0.15 - 147.9 +57%
Aug-24 -0.20 - 145.5 -
Nov-24 -0.33 - 138.7 -
Feb-25 -0.09 - 137.8 -
May-25 -0.87 - 132.4 -10%
Aug-25 -0.03 - 124.9 -14%
Nov-25 -0.05 - 121.0 -13%
Feb-26 -0.05 - 117.0 -15%
= SEC carries this same fiscal quarter under a second period-end with a materially different figure (hover for it) - a restatement, merger recast or successor-period split; %Chg is blanked when the two are more than 15% apart. It fires only when the two period-ends DISAGREE, so it is a floor, not a guarantee that the rest of the column shares one basis · = the revenue concept changed from the previous quarter WITH A FIGURE (hover for both) - a blank row in between is skipped, as the eye does - a step at that row is a change of basis, not necessarily of business · EPS = Yahoo eps_actual (the figure MarketSmith/Deepvue show) - whether a given quarter is GAAP or excludes a one-off follows the filing, so it can sit either side of another vendor's number; AAPL's Oct-24 row, the Sep-2024 fiscal quarter, is $0.97 here - GAAP, including the EU tax charge - where TradingView's year implies $1.64 · Sales ($M) = SEC EDGAR quarterly revenue (fiscal Q4 derived as FY minus 9-mo) · quarter = report month · %Chg blank = prior-year base under $0.05 (not meaningful).