NYSE · Real Estate

HEALTHCARE RLTY TR HR

Healthcare Realty Trust Incorporated is a real estate investment trust (REIT) that owns and operates medical outpatient buildings primarily located around market-leading hospital campuses. The Company selectively grows its portfolio through property acquisition and development. As of September 30, 2025, the Company was invested in 579 real estate properties in 28 states totaling 33.6 million square feet and had an enterprise value of approximately 11.1 billion dollars, defined as equity market capitalization plus the principal amount of debt less cash.

Real Estate Investment Trusts

Company profile

Business mix

  • The Company selectively grows its portfolio through property acquisition and development.
  • Healthcare Realty Trust Incorporated was incorporated in 1992 and is based in Nashville, United States.

Current key questions

  • Can occupancy, rents, tenant demand, and property quality support cash flow in reit - healthcare facilities?
  • How do interest rates, refinancing needs, cap rates, and development spending affect value?
  • Does portfolio recycling or capital allocation improve long-term net asset value?
Holders 2 Current sample portfolio
Public mentions 0 Videos / interviews / letters
Valuation snapshot
PE N/A FCF N/A Buyback 2.46%
2026-06-07

Current firm holders

Firm Weight Value Filing period
Starboard Value Jeff Smith 2.5% $115.9M 2026-03-31
Gotham Asset Management Joel Greenblatt 0.1% $46.9M 2026-03-31

Recent trading changes over the last 2 quarters

Net buyers 1 Last 2 13F filing periods
Net reducers 1 Last 2 13F filing periods
Unchanged holders 0 Share count unchanged
Increase amount $25.7M Estimated from net added shares
Reduction amount $130.3M Estimated from net reduced shares
Net share change / base shares -39.1% -6,157,477 / 15,741,251
Gotham Asset Management Joel Greenblatt 2 filing periods
13F 2025-06-30 Filed 2025-08-14
Major reduction Shares -54.3% 13F value change -$12.1M
13F 2026-03-31 Filed 2026-05-15
Major increase Shares 137.1% 13F value change +$27.2M
Settlement As of 13F 2026-03-31 · Filed 2026-05-15
Base shares 1,251,215 Last 2 periods +1,511,292 (+120.8%) Total shares 2,762,507 Value $46.9M
Starboard Value Jeff Smith 2 filing periods
13F 2025-12-31 Filed 2026-02-17
Minor reduction Shares -13.0% 13F value change -$47.7M
13F 2026-03-31 Filed 2026-05-15
Major reduction Shares -45.9% 13F value change -$97.7M
Settlement As of 13F 2026-03-31 · Filed 2026-05-15
Base shares 14,490,036 Last 2 periods -7,668,769 (-52.9%) Total shares 6,821,267 Value $115.9M

Recent mentions

No public mentions.