Global Medical REIT Inc.

Symbol

GMRE

Price

$8.37

Market Cap

$559,143,613

Exchange

NYSE

Sector

Real Estate

Industry

REIT - Healthcare Facilities

Dividend Yield

9.33%

Ex-Dividend Date

03-21-2025

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$34,175,000$38,674,000$35,069,000$37,448,000$35,487,000$36,317,000$36,230,000$36,306,000$35,406,000$33,679,000$31,875,000$30,312,000$29,967,000$28,200,000$27,325,000$24,895,000$25,055,000$22,036,000$21,533,000
Gross Profit$30,784,000$17,445,000$27,685,000$17,109,000$28,256,000$29,094,000$28,694,000$29,168,000$28,727,000$27,679,000$26,503,000$25,787,000$25,994,000$24,897,000$23,638,000$22,283,000$21,436,000$19,700,000$19,230,000
Operating Expenses$4,381,000$18,582,000$18,530,000$4,220,000$18,562,000$19,267,000$18,693,000$19,144,000$18,376,000$18,372,000$17,376,000$16,587,000$15,794,000$15,712,000$15,236,000$14,564,000$26,124,000$13,525,000$12,102,000
EBITDA$24,447,000$26,849,000$22,243,000$27,134,000$23,909,000$24,666,000$25,159,000$-32,387,000$24,766,000$22,343,000$21,327,000$-24,179,000$21,291,000$19,729,000$19,333,000$16,997,000$4,851,000$12,736,000$14,611,000
Income Before Tax$1,791,000$-1,952,000$2,314,000$551,000$4,833,000$14,177,000$2,173,000$1,848,000$10,029,000$3,834,000$4,286,000$5,487,000$5,368,000$4,164,000$3,323,000$2,592,000$-9,580,000$1,672,000$2,817,000
Net Income$3,246,000$-1,692,000$2,249,000$616,000$4,593,000$13,275,000$2,128,000$-6,216,000$8,057,000$2,236,000$4,116,000$5,259,000$5,144,000$4,008,000$3,211,000$2,518,000$-8,813,000$1,659,000$2,710,000
Operating Income$26,492,000$12,856,000$794,000$12,889,000$26,307,000$9,861,000$10,001,000$10,024,000$10,351,000$9,235,000$9,127,000$10,068,000$10,216,000$9,246,000$8,426,000$7,754,000$-4,646,000$6,194,000$7,244,000
EPS$0.027$-0.026$0.034$0.009$0.07$0.18$0.033$-0.095$0.12$0.03$0.063$0.082$0.08$0.066$0.061$0.052$-0.19$0.037$0.061

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

03.21.2025

$8.69

$0.21

2.42%

03.21.2025

04.09.2025

12.20.2024

$7.95

$0.21

2.64%

12.20.2024

01.08.2025

09.20.2024

$10.16

$0.21

2.07%

09.20.2024

10.08.2024

06.21.2024

$9.25

$0.21

2.27%

06.21.2024

07.09.2024

03.21.2024

$8.92

$0.21

2.35%

03.22.2024

04.09.2024

12.26.2023

$11.51

$0.21

1.82%

12.27.2023

01.09.2024

09.21.2023

$9.54

$0.21

2.20%

09.22.2023

10.10.2023

06.22.2023

$9.4

$0.21

2.23%

06.23.2023

07.11.2023

03.23.2023

$8.47

$0.21

2.48%

03.24.2023

04.11.2023

12.21.2022

$9.51

$0.21

2.21%

12.22.2022

01.09.2023

09.22.2022

$10.1

$0.21

2.08%

09.23.2022

10.11.2022

06.23.2022

$11.03

$0.21

1.90%

06.24.2022

07.08.2022

03.24.2022

$15.9

$0.21

1.32%

03.25.2022

04.08.2022

12.28.2021

$17.45

$0.205

1.17%

12.27.2021

01.10.2022

12.23.2021

$17.34

$0.205

1.18%

12.27.2021

01.10.2022

09.23.2021

$15.13

$0.205

1.35%

09.24.2021

10.08.2021

06.23.2021

$15.2

$0.205

1.35%

06.24.2021

07.08.2021

03.23.2021

$13.51

$0.205

1.52%

03.24.2021

04.08.2021

12.24.2020

$13.77

$0.2

1.45%

12.28.2020

01.11.2021

09.23.2020

$13.43

$0.2

1.49%

09.24.2020

10.08.2020

06.24.2020

$11.86

$0.2

1.69%

06.25.2020

07.09.2020

03.24.2020

-

$0.2

2.39%

03.25.2020

04.09.2020

12.24.2019

-

$0.2

2.39%

12.26.2019

01.09.2020

09.24.2019

-

$0.2

2.39%

09.25.2019

10.10.2019

06.25.2019

-

$0.2

2.39%

06.26.2019

07.11.2019

03.25.2019

-

$0.2

2.39%

03.26.2019

04.10.2019

12.24.2018

-

$0.2

2.39%

12.26.2018

01.10.2019

09.19.2018

-

$0.2

2.39%

09.20.2018

10.10.2018

06.25.2018

-

$0.2

2.39%

06.26.2018

07.11.2018

03.21.2018

-

$0.2

2.39%

03.22.2018

04.10.2018

12.22.2017

-

$0.2

2.39%

12.26.2017

01.10.2018

09.25.2017

-

$0.2

2.39%

09.26.2017

10.09.2017

06.23.2017

-

$0.2

2.39%

06.27.2017

07.10.2017

03.23.2017

-

$0.2

2.39%

03.27.2017

04.10.2017

12.22.2016

-

$0.2

2.39%

12.27.2016

01.10.2017

09.23.2016

-

$0.2

2.39%

09.27.2016

10.11.2016