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Community Healthcare Trust Incorporated CHCT

Listed / Traded Health Care NYSE Mgmt:

Community Healthcare Trust Incorporated is a real estate investment trust that focuses on owning income-producing real estate properties associated primarily with the delivery of outpatient healthcare services in our target sub-markets throughout the United States. As of March 31, 2026, the Company had investments of approximately $1.2 billion in 198 real estate properties (including one property with sales-type leases). The properties are located in 36 states, totaling approximately 4.5 million square feet in the aggregate.

Snapshot

Price
$17.44
Market cap
$498.29M
Enterprise value
$1.06B
Dividend yieldi
11.01%
Annual dividendi
$1.92
Frequency
Quarterly
FFO / sharei
$0.49 · Q1 2026
AFFO / sharei
$0.56 · Q1 2026
Net debt / EBITDAi
7.16x · GAAP est.
Op. cash flow / sharei
$2.10
Price / OCFi
8.30
Payout (% of OCF)i
91.38%
Debt / book capitali
57.27%
Premium / disc. to NAVi
No free consensus-NAV source
Credit ratingi
No free ratings feed

Reported FFO / AFFO / leverage are from the Q1 2026 earnings release (filed 2026-05-05) — 8-K, EX-99.1.

Yield uses the latest declared dividend, annualized (latest regular payout × frequency; special/liquidating distributions excluded) — an announced-but-not-yet-declared change isn't reflected until it has an ex-date. FFO, AFFO and Net debt / Adj. EBITDA are the company's reported figures from its latest earnings 8-K. Price/OCF and payout use GAAP operating cash flow. NAV premium and credit ratings have no free source yet. See Methodology.

Balance sheet (latest FY: 2025)

Total debt
$536.20M
Cash
$3.34M
Net debt / EBITDAi
7.16x
Debt / book capitali
57.27%
Total assets
$990.76M
Total equity
$429.39M
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Debt-maturity ladder, fixed/floating split, secured/unsecured and coverage ratios come from the supplemental — not yet ingested.

Financial history

FYRevenueNet incomeD&A EBITDAOp. cash flow
2025 $121.19M $5.10M $43.54M $82.71M $56.43M
2024 $115.79M $-3.18M $43.70M $64.23M $58.88M
2023 $112.84M $7.71M $40.44M $66.25M $61.38M
2022 $97.68M $22.02M $33.19M $67.12M $60.28M
2021 $90.58M $22.49M $31.23M $64.43M $56.35M
2020 $75.68M $19.08M $25.51M $53.29M $48.37M

Dividends

Ex-dateRecordPaymentDeclaredAmountFreq.
2026-05-112026-05-112026-05-22 2026-04-30$0.48Quarterly
2026-02-232026-02-232026-03-04 2026-02-12$0.48Quarterly
2025-11-072025-11-072025-11-21 2025-10-23$0.47Quarterly
2025-08-082025-08-082025-08-22 2025-07-24$0.47Quarterly
2025-05-092025-05-092025-05-23 2025-04-24$0.47Quarterly
2025-02-242025-02-242025-03-05 2025-02-13$0.47Quarterly
2024-11-082024-11-082024-11-22 2024-10-24$0.47Quarterly
2024-08-092024-08-092024-08-23 2024-07-25$0.46Quarterly
2024-05-092024-05-102024-05-24 2024-04-25$0.46Quarterly
2024-02-162024-02-202024-03-01 2024-02-08$0.46Quarterly
2023-11-082023-11-092023-11-24 2023-10-26$0.46Quarterly
2023-08-102023-08-112023-08-25 2023-07-27$0.45Quarterly
2023-05-112023-05-122023-05-26 2023-04-27$0.45Quarterly
2023-02-172023-02-212023-03-01 2023-02-09$0.45Quarterly
2022-11-092022-11-102022-11-25 2022-10-27$0.45Quarterly
2022-08-112022-08-122022-08-26 2022-07-28$0.44Quarterly
2022-05-122022-05-132022-05-27 2022-04-28$0.44Quarterly
2022-02-182022-02-222022-03-01 2022-02-10$0.44Quarterly
2021-11-102021-11-122021-11-26 2021-10-28$0.43Quarterly
2021-08-122021-08-132021-08-27 2021-07-29$0.43Quarterly
2021-05-132021-05-142021-05-28 2021-04-29$0.43Quarterly
2021-02-242021-02-252021-03-05 2021-02-11$0.43Quarterly
2020-11-132020-11-162020-11-27 2020-11-02$0.42Quarterly
2020-08-142020-08-172020-08-28 2020-08-03$0.42Quarterly

Coverage (payout of operating cash flow): 91.38%. Tax-character split (ordinary / 199A / capital gain / return of capital) — not disclosed (requires the annual allocation release).

Same-store NOI, occupancy, leasing/WALT, top tenants, external-manager fees, development pipeline and (for non-traded vehicles) share-class fees, redemption/gating and NAV methodology are planned modules sourced from supplementals and prospectuses.

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