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Ventas Inc (VTR)

Ventas Inc (VTR)
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Company Info

Ventas Inc 353 N. CLARK STREET SUITE 3300 CHICAGO IL 60654 USA

www.ventasreit.com Employees: 486 P: 877-483-6827

Description:

Ventas, Inc. is a healthcare real estate investment trust (REIT), engaged in acquisition, ownership and leasing of senior housing, life science, research & innovation (R&I) and healthcare properties. It has portfolios of more than 1,200 properties located in the U.S., Canada and the U.K., including senior housing communities, medical office buildings, life science, research & innovation centers, inpatient rehabilitation facilities, long-term acute-care facilities and health systems. It offers MOB management, leasing, marketing, facility development and advisory services to hospitals & health systems via its ownership interest in PMB Real Estate Services LLC and its subsidiary, Lillibridge Healthcare Services, Inc. It makes secured and non-mortgage loans and other investments relating to senior housing and healthcare properties/ operators. It has 3 units: triple-net leased properties, senior living operations and office operations.

Key Statistics

Overview:

Market Capitalization, $K 26,586,458
Enterprise Value, $K 39,513,900
Shares Outstanding, K 413,154
Annual Sales, $ 4,498 M
Annual Net Income, $ -40,970 K
Last Quarter Sales, $ 1,236 M
Last Quarter Net Income, $ 19,240 K
EBIT, $ 1,888 M
EBITDA, $ 3,244 M
60-Month Beta 1.36
% of Insider Shareholders 1.00%
% of Institutional Shareholders 94.18%
Float, K 409,022
% Float 99.00%
Short Volume Ratio 0.54

Growth:

1-Year Return 45.98%
3-Year Return 17.94%
5-Year Return 10.38%
5-Year Revenue Growth 20.08%
5-Year Earnings Growth -106.90%
5-Year Dividend Growth -43.04%

Per-Share Information:

Most Recent Earnings 0.05 on 10/30/24
Next Earnings Date N/A
Earnings Per Share ttm -0.14
EPS Growth vs. Prev Qtr 0.00%
EPS Growth vs. Prev Year 6.67%
Annual Dividend Rate, $ 1.80
Annual Dividend Yield 2.80%
Most Recent Dividend 0.450 on 10/01/24
Next Ex-Dividends Date 10/01/24
Dividend Payable Date 10/17/24
Dividend Payout Ratio 825.77%

VTR Ratios

Ratio
Price/Earnings ttm 20.44
Price/Earnings forward 20.71
Price/Earnings to Growth 2.91
Return-on-Equity % -0.69%
Return-on-Assets % -0.27%
Profit Margin % -0.91%
Debt/Equity 1.39
Price/Sales 5.90
Price/Cash Flow 20.05
Price/Book 2.75
Book Value/Share 23.79
Interest Coverage -0.80

VTR Dividends

Date Value
10/01/24 $0.4500
07/01/24 $0.4500
03/28/24 $0.4500
12/29/23 $0.4500
09/29/23 $0.4500
06/30/23 $0.4500
03/31/23 $0.4500
12/30/22 $0.4500
09/30/22 $0.4500
06/30/22 $0.4500
03/31/22 $0.4500
12/31/21 $0.4500
09/30/21 $0.4500
06/30/21 $0.4500
03/31/21 $0.4500
12/31/20 $0.4500
09/30/20 $0.4500
06/30/20 $0.4500
03/31/20 $0.7930
12/31/19 $0.7930
09/30/19 $0.7930
06/28/19 $0.7930
03/29/19 $0.7930
12/31/18 $0.7930
09/28/18 $0.7900
06/29/18 $0.7900
03/29/18 $0.7900
12/29/17 $0.7900
09/11/17 $0.7750
06/02/17 $0.7750
03/03/17 $0.7750
12/16/16 $0.7750
09/13/16 $0.7300
06/02/16 $0.7300
03/03/16 $0.7300
12/17/15 $0.7300
09/11/15 $0.7300
06/03/15 $0.7900
03/04/15 $0.5793
01/20/15 $0.2107
12/18/14 $0.7900
09/10/14 $0.7250
06/04/14 $0.7250
03/05/14 $0.7250
12/12/13 $0.7250
09/11/13 $0.6700
06/03/13 $0.6700
03/06/13 $0.6700
12/13/12 $0.6200
09/07/12 $0.6200
06/06/12 $0.6200
03/07/12 $0.6200
12/13/11 $0.5750
09/09/11 $0.4486
07/05/11 $0.1264
06/08/11 $0.5750
03/09/11 $0.5750
12/15/10 $0.5350
09/15/10 $0.5350
06/09/10 $0.5350
03/10/10 $0.5350
12/14/09 $0.5125
09/09/09 $0.5125
06/05/09 $0.5125
03/16/09 $0.5125
12/17/08 $0.5125
09/17/08 $0.5125
06/02/08 $0.5125
03/04/08 $0.5125
12/05/07 $0.4750
09/13/07 $0.4750
06/14/07 $0.4750
03/16/07 $0.4750
12/28/06 $0.3950
09/14/06 $0.3950
06/05/06 $0.3950
03/03/06 $0.3950
12/29/05 $0.3600
09/16/05 $0.3600
06/02/05 $0.3600
03/22/05 $0.3600
12/30/04 $0.3250
09/16/04 $0.3250
06/03/04 $0.3250
03/11/04 $0.3250
12/30/03 $0.2675
08/28/03 $0.2675
05/29/03 $0.2675
02/28/03 $0.2675
12/13/02 $0.2375
08/22/02 $0.2375
05/22/02 $0.2375
02/20/02 $0.2375
12/12/01 $0.2600
09/19/01 $0.2200
07/11/01 $0.2200
04/30/01 $0.2200
12/27/00 $0.2900
09/14/00 $0.6200
01/27/99 $0.3900
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