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Sila Realty Trust, Inc. SILA

Listed / Traded Health Care NYSE Mgmt:

Sila Realty Trust, Inc., headquartered in Tampa, Florida, is a net lease real estate investment trust with a strategic focus on investing in the growing and resilient healthcare sector. The Company invests in high quality healthcare facilities along the continuum of care in the pursuit of generating predictable, durable, and growing income streams. Sila's portfolio comprises high quality tenants in geographically diverse facilities, which are positioned to capitalize on the dynamic delivery of healthcare to patients.

Snapshot

Price
$30.29
Market cap
$1.67B
Enterprise value
$2.38B
Dividend yieldi
5.28%
Annual dividendi
$1.60
Frequency
Quarterly
FFO / sharei
Not reported (common for mortgage REITs)
AFFO / sharei
$0.61 · Q1 2026
Net debt / EBITDAi
4.93x · GAAP est.
Op. cash flow / sharei
$2.15
Price / OCFi
14.11
Payout (% of OCF)i
74.55%
Debt / book capitali
35.67%
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 2026-05-07) — 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
$721.02M
Cash
$32.29M
Net debt / EBITDAi
4.93x
Debt / book capitali
35.67%
Total assets
$2.09B
Total equity
$1.33B
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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 $197.54M $33.12M $76.95M $142.85M $119.14M
2024 $186.86M $42.66M $75.93M $139.80M $132.85M
2023 $189.06M $24.04M $75.03M $122.18M $128.92M
2022 $179.99M $-7.98M $77.20M $93.30M $121.67M
2021 $172.84M $402.66M $80.92M $119.76M $136.94M
2020 $165.78M $36.78M $105.48M $156.44M $112.84M

Dividends

Ex-dateRecordPaymentDeclaredAmountFreq.
2026-05-202026-05-202026-06-04 2026-05-06$0.40Quarterly
2026-03-062026-03-062026-03-18 2026-02-23$0.40Quarterly
2025-11-202025-11-202025-12-04 2025-11-03$0.40Quarterly
2025-08-212025-08-212025-09-04 2025-08-06$0.40Quarterly
2025-05-212025-05-212025-06-04 2025-05-06$0.40Quarterly
2025-03-122025-03-122025-03-26 2025-02-25$0.40Quarterly
2024-11-292024-11-292024-12-13 2024-11-14$0.13Monthly
2024-10-312024-10-312024-11-15 2024-10-18$0.13Monthly
2024-09-302024-09-302024-10-15 2024-09-11$0.13Monthly
2024-08-302024-08-302024-09-13 2024-08-14$0.13Monthly
2024-07-312024-07-312024-08-15 2024-07-16$0.13Monthly
2024-07-012024-07-012024-07-15 $0.13Annual
2021-12-312021-12-312022-01-03 $0.03Monthly
2021-11-302021-11-302021-12-01 $0.03Monthly
2021-10-312021-10-312021-11-01 $0.03Monthly
2021-09-302021-09-302021-10-01 $0.03Monthly
2021-08-312021-08-312021-09-01 $0.03Monthly
2021-07-312021-07-312021-08-02 $0.04Monthly
2021-06-302021-06-302021-07-01 $0.04Monthly
2021-05-312021-05-312021-06-01 $0.04Monthly
2021-04-302021-04-302021-05-03 $0.04Monthly
2021-03-312021-03-312021-04-01 $0.04Monthly
2021-02-282021-02-282021-03-01 $0.04Monthly
2021-01-312021-01-312021-02-01 $0.04Monthly

Coverage (payout of operating cash flow): 74.55%. 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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