Diversified Healthcare Trust

Symbol

DHCNL

Price

$16.53

Market Cap

$635,429,366

Exchange

NASDAQ

Sector

Real Estate

Industry

REIT - Healthcare Facilities

Dividend Yield

7.43%

Ex-Dividend Date

02-14-2025

Financial Info

2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-31
Revenue$373,640,000$371,392,000$370,776,000$1.5B$356,524,000$346,219,000$346,030,000$336,885,000$322,920,000$313,028,000$310,733,000$336,731,000$337,416,000$346,341,000$362,724,000$384,909,000$394,339,000$410,311,000$442,467,000
Gross Profit$63,943,000$-1,030,000$-6,961,000$1.1B$58,092,000$59,991,000$59,950,000$51,719,000$33,824,000$46,962,000$41,991,000$63,015,000$71,343,000$81,709,000$75,333,000$82,702,000$78,689,000$108,396,000$125,882,000
Operating Expenses$63,943,000$74,619,000$7,654,000$7,061,000$74,190,000$75,678,000$70,673,000$69,117,000$66,586,000$65,468,000$64,544,000$76,937,000$77,572,000$77,014,000$73,695,000$73,142,000$74,199,000$76,137,000$77,262,000
EBITDA$49,679,000$41,704,000$39,767,000$52,628,000$47,462,000$46,664,000$62,110,000$49,908,000$24,682,000$28,989,000$238,669,000$36,850,000$44,610,000$56,663,000$59,452,000$94,795,000$84,158,000$112,971,000$117,188,000
Income Before Tax$-99,068,000$-85,384,000$-87,970,000$-79,900,000$-65,445,000$-75,279,000$-52,042,000$-62,827,000$-83,606,000$-113,227,000$238,541,000$367,164,000$-87,409,000$-32,454,000$-65,945,000$-14,718,000$-105,423,000$-23,616,000$10,700,000
Net Income$-98,689,000$-97,861,000$-86,259,000$-102,564,000$-65,779,000$-72,571,000$-52,011,000$-62,692,000$-83,619,000$-112,587,000$240,423,000$365,585,000$-89,343,000$-34,222,000$-67,505,000$-16,228,000$-106,888,000$-26,072,000$9,735,000
Operating Income$-18,949,000$-9,118,000$-14,615,000$1.1B$-113,726,000$-120,176,000$-6,217,000$-8,229,000$-28,663,000$-16,240,000$-22,158,000$429,509,000$-6,229,000$4,695,000$1,638,000$9,560,000$4,490,000$32,259,000$48,620,000
EPS$-0.41$-0.41$-0.36$-0.43$-0.28$-0.3$-0.22$-0.26$-0.35$-0.47$1.01$1.54$-0.38$-0.14$-0.28$-0.07$-0.45$-0.11$0.04

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

02.14.2025

-

$0.39063

2.36%

02.15.2025

03.01.2025

11.15.2024

$16.66

$0.39063

2.34%

11.15.2024

12.01.2024

08.15.2024

$15.18

$0.39063

2.57%

08.15.2024

09.01.2024

02.14.2024

$15.54

$0.39063

2.51%

02.15.2024

03.01.2024

11.14.2023

$14.3

$0.39063

2.73%

11.15.2023

12.01.2023

08.14.2023

$14.29

$0.39063

2.73%

08.15.2023

09.01.2023

05.12.2023

$11.63

$0.39063

3.36%

05.15.2023

06.01.2023

02.14.2023

$12.84

$0.39063

3.04%

02.15.2023

03.01.2023

11.14.2022

$13.77

$0.39063

2.84%

11.15.2022

12.01.2022

08.12.2022

$18.13

$0.39063

2.15%

08.15.2022

09.01.2022

05.12.2022

$19.04

$0.39063

2.05%

05.15.2022

06.01.2022

02.14.2022

$20.95

$0.39063

1.86%

02.15.2022

03.01.2022

11.12.2021

$25.1

$0.39063

1.56%

11.15.2021

12.01.2021

08.12.2021

$25.2

$0.39063

1.55%

08.15.2021

09.01.2021

05.13.2021

$24.42

$0.39063

1.60%

05.15.2021

06.01.2021

02.11.2021

$24.29

$0.39063

1.61%

02.15.2021

03.01.2021

11.12.2020

$20.74

$0.39063

1.88%

11.15.2020

12.01.2020

08.13.2020

$19.54

$0.39063

2.00%

08.15.2020

09.01.2020

05.14.2020

$18.95

$0.39063

2.06%

05.15.2020

06.01.2020

02.13.2020

-

$0.39063

2.36%

02.15.2020

03.02.2020

11.14.2019

-

$0.39063

2.36%

11.15.2019

12.02.2019

08.14.2019

-

$0.39063

2.36%

08.15.2019

09.03.2019

05.14.2019

-

$0.39063

2.36%

05.15.2019

06.03.2019

02.14.2019

-

$0.39063

2.36%

02.15.2019

03.01.2019

11.14.2018

-

$0.39063

2.36%

11.15.2018

12.03.2018

08.14.2018

-

$0.39063

2.36%

08.15.2018

09.04.2018

05.14.2018

-

$0.39063

2.36%

05.14.2018

06.01.2018

02.14.2018

-

$0.39063

2.36%

02.15.2018

03.01.2018

11.14.2017

-

$0.39063

2.36%

11.15.2017

12.01.2017

08.11.2017

-

$0.39063

2.36%

08.15.2017

09.01.2017

05.11.2017

-

$0.39063

2.36%

05.15.2017

06.01.2017

02.13.2017

-

$0.39063

2.36%

02.15.2017

03.01.2017