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American Healthcare REIT, Inc. (AHR)

USD54.35 +0.78 (+1.46%)
US NYSE Real Estate REIT - Healthcare Facilities
Address 18191 Von Karman Avenue 92612-7106
Irvine, CA, US
CEO Jeffrey T. Hanson
IPO 2024-02-07
CIK 1632970 ISIN US3981823038

Explore sections of this company profile

Also trades on New York Stock Exchange · AHR (USD) Other OTC · GRAH (USD)
Description

American Healthcare REIT (AHR) was forged through a significant strategic consolidation, combining Griffin-American Healthcare REIT III and Griffin-American Healthcare REIT IV, along with integrating the business and operations of American Healthcare Investors. This comprehensive merger has established AHR as a leading global real estate investment trust focused on healthcare properties, boasting an impressive portfolio with a gross investment value of approximately $4.2 billion. A core strength of the company lies in its fully integrated management platform, staffed by over one hundred highly experienced and proficient professionals. Many members of this team have a long history of collaboration, dating back to 2006, and have successfully invested in and overseen healthcare real estate assets across diverse market cycles. Their collective expertise, extensive industry network, and deep, firsthand understanding of each property within the international portfolio – which they have meticulously built and managed since its first acquisition in 2014 – are unparalleled. This powerful combination of a robust management team and a high-quality asset base strategically positions American Healthcare REIT to capitalize on compelling growth opportunities, driven by significant demographic trends. Its expansive portfolio encompasses 19 million square feet across 312 distinct properties, including medical office buildings, senior housing communities, skilled nursing facilities, and integrated senior health campuses. This diverse collection is strategically distributed across 36 U.S. states and the United Kingdom. The aforementioned tri-party transaction represented a pivotal step in ideally preparing American Healthcare REIT for a future public listing or Initial Public Offering (IPO) on a national stock exchange when market conditions are most favorable. By eventually listing its shares, the company anticipates gaining enhanced access to attractive capital sources, which will be crucial for fueling future expansion, diversifying its investor base, and providing greater liquidity for its existing stockholders. American Healthcare REIT, Inc. operates as a subsidiary of Griffin Capital Company, LLC.

Market Cap & Enterprise Value
Merger & Acquisition History

No mergers or acquisitions recorded for this company.

Technical Outlook
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Signal Summary Loading…
Indicator 1D1W2W3W1M
Each column is computed on that timeframe's candles (1D = daily, 1W ≈ weekly, 1M ≈ monthly), not on the same last day. ▲ bullish · ▼ bearish · — neutral. The Net row counts signals per column; hover any cell (or the indicator name) to see the exact rule behind it.
Day Score & sub-scores
Statistical fingerprint & regime detail
Conditional historical analysis
Customize analysis (advanced)
Indicative levels generated algorithmically. Not financial advice.
Risk Profile
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Price Chart
Averages
Trend
Price
Levels
Draw
USD54.35 +0.78 (+1.46%)
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Volume Profile
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Liquidity & share structure
Average Volume
3M
Beta
0.78
Float Shares
186.64M
Free Float %
97.3%
Price Performance
1D5D1M3M6M YTD1Y3Y5Y10YMax
-2.57% +0.96% +2.34% -2.55% +5.24% +7.05% +44.98% +281.09% +281.09% +281.09% +281.09%
Rolling Volatility
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Drawdown
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Relative Strength
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Monthly Returns Heatmap
From To
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Annual Monthly Returns
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Daily Returns Distribution
vs.
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Revenue flow

Revenue by geography

Revenue by segment

From To

Revenue composition

From To

By product

By geography

Financial Statements

Income Statement

Balance Sheet

Cash Flow Statement

Key Metrics

Financial Ratios

Employees

Financial Growth (CAGR)

Market Data

Analyst Consensus (11 ratings, all time) Buy
Price Targets & DCF
Current price
54.35
Low 55.00 +1.2%
Consensus 56.75 +4.4%
Median 56.00 +3.0%
High 60.00 +10.4%
DCF (Unlevered) 34.95 -35.7%
DCF (Levered) 33.21 -38.9%

DCF figures are point estimates: small changes in growth or discount-rate assumptions move them materially. Read them as a reference, not a precise target.

Ratings Trend (MoM) 92% Bullish
Rating 2026-05 Change
Strong Buy 5 0
Buy 7 0
Hold 1 0
Sell 0 0
Strong Sell 0 0
Price Target Summary
Period # Analysts Avg Target
Last Month
Last Quarter 2
58.50
+7.6%
Last Year 13
51.23
-5.7%
All Time 22
41.09
-24.4%
Quality scores
Altman Z-Score
-0.32
Distress
Piotroski F-Score
5 / 9
Average
Composite Rating
B-
Overall Score
3 / 5
Medium
DCF Score
3 / 5
Medium
ROE Score
2 / 5
Medium
ROA Score
4 / 5
High
D/E Score
3 / 5
Medium
P/E Score
1 / 5
Low
P/Book Score
2 / 5
Medium
Operational MOAT
★ Strong MOAT
  • Revenue growth
    +9.2% Q1'26: +20.4% (vs Q1'25)
  • EPS growth
    +244.8% Q1'26: +399.5% (vs Q1'25)
  • FCF margin
    Q1'26: +0.0% (vs Q1'25)
  • EBIT margin
    Q1'26: +6.5% (vs Q1'25)
  • ROIC
    Q1'26: +0.0% (vs Q1'25)
  • Share dilution
    +27.7% Q1'26: +19.8% (vs Q1'25)
  • Debt / EBITDA
    4.93× Q1'26: 3.54× (vs Q1'25)
Valuation Multiples From To
Price Forecast (3Y) From To
Model
Adjust
P/E
Theoretical Return — If Invested Today

* These projections are based on analyst consensus estimates and user-defined valuation multiples. This table is for informational purposes only and does not constitute a recommendation to buy or sell any security. Past performance is not indicative of future results.

DCF Interactive Model (UFCF)
Projection years:
Market assumptions
WACC components (optional)
Ke (Cost of Equity) = Rf + β (0.94) × ERP
WACC = 84% × Ke + 16% × Kd (5.4%) × (1−t)

Modifying these values recalculates WACC automatically.

Business assumptions
Intrinsic value (base): 34.66 Current price: 54.35
Enterprise Value: Equity Value: Terminal Value: TV as % of EV:

Base values reflect the latest available data for this company and market conditions.

Consensus Estimates
Metric Dec 2023
actual
Dec 2024
actual
Dec 2025
actual
Dec 2026
2 Rev. Ana.
3 EPS Ana.
Dec 2027
4 Rev. Ana.
3 EPS Ana.
Dec 2028
1 Rev. Ana.
1 EPS Ana.
Dec 2029
1 Rev. Ana.
1 EPS Ana.
Dec 2030
1 Rev. Ana.
Revenue
1.86B
est: 1.95B (-4.5%)
2.07B
est: 2.01B (+2.9%)
2.26B
est: 2.26B (+0.1%)
2.71B
2.54B – 2.92B
+20.2% YoY
3.03B
2.84B – 3.26B
+11.7% YoY
3.08B
2.89B – 3.31B
+1.6% YoY
3.32B
3.12B – 3.58B
+8.0% YoY
3.85B
3.61B – 4.14B
+15.7% YoY
EBITDA
324.26M
est: 315.98M (+2.6%)
315.48M
est: 326.61M (-3.4%)
321.98M
est: 366.40M (-12.1%)
440.51M
413.14M – 473.75M
+20.2% YoY
491.91M
461.35M – 529.04M
+11.7% YoY
499.77M
468.73M – 537.49M
+1.6% YoY
539.74M
506.22M – 580.48M
+8.0% YoY
624.70M
585.90M – 671.85M
+15.7% YoY
EBIT
86.97M
est: 238.99M (-63.6%)
93.84M
est: 247.04M (-62.0%)
134.42M
est: 277.13M (-51.5%)
333.18M
312.48M – 358.32M
+20.2% YoY
372.06M
348.95M – 400.14M
+11.7% YoY
378.00M
354.52M – 406.53M
+1.6% YoY
408.24M
382.88M – 439.05M
+8.0% YoY
472.50M
443.15M – 508.16M
+15.7% YoY
Net Income
-71.47M
est: -64.81M (-10.3%)
-37.81M
est: 10.60M (-456.6%)
69.81M
est: 85.44M (-18.3%)
124.18M
119.81M – 128.55M
+45.4% YoY
162.86M
157.37M – 168.35M
+31.1% YoY
203.90M
185.82M – 221.97M
+25.2% YoY
270.30M
248.47M – 296.82M
+32.6% YoY
— – —
-100.0% YoY
SGA
104.99M
est: 79.05M (+32.8%)
100.80M
est: 81.71M (+23.4%)
est: 91.66M (-100.0%)
110.20M
103.35M – 118.51M
+20.2% YoY
123.06M
115.41M – 132.34M
+11.7% YoY
125.02M
117.26M – 134.46M
+1.6% YoY
135.02M
126.64M – 145.21M
+8.0% YoY
156.28M
146.57M – 168.07M
+15.7% YoY
EPS
-1.08
est: -0.39 (-180.5%)
-0.29
est: 0.06 (-557.9%)
0.42
est: 0.51 (-18.0%)
0.75
0.72 – 0.77
+46.8% YoY
0.98
0.94 – 1.01
+30.7% YoY
1.21
1.11 – 1.33
+23.3% YoY
1.62
1.49 – 1.78
+33.7% YoY
— – —
-100.0% YoY
Historical Ratings (3M)
Date Rating Overall DCF ROE ROA D/E P/E P/B
2026-05-07 B- 3/5 3/5 2/5 4/5 3/5 1/5 2/5
2026-05-06 B- 3/5 3/5 2/5 4/5 3/5 1/5 2/5
2026-05-05 B- 2/5 3/5 2/5 3/5 3/5 1/5 2/5
2026-05-04 B- 2/5 3/5 2/5 3/5 3/5 1/5 2/5
2026-05-01 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-30 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-29 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-28 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-27 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-24 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-23 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-22 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-21 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-20 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-17 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-16 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5
2026-04-15 B- 2/5 3/5 2/5 4/5 2/5 1/5 2/5

Owner Earnings

Owner's Earnings (history) From To
Owner alignment
Owner's Earnings TTM
443.06M
OE per share TTM
2.74
Owner's Yield
4.77%
Maintenance CapEx ratio
11.91%
Maint CapEx / Avg PPE
115.0%

Ownership Overview

Ownership breakdown
At a glance
Institutional holders
164
Total invested
425.88M
Insider transactions (90d)
0
Beneficial owners (>5%)
2
Beneficial owners (>5%)
# Reporting person Amount owned % of class Sole voting Shared voting Sole dispositive Shared dispositive Type Citizenship Filing date SEC filing
1 (1) BlackRock, Inc. 9.24M 6.00% 8.99M 9.24M HC Delaware 2024-11-08
2 Principal Real Estate Investors, LLC 9.16M 5.99% 9.16M IA Delaware 2024-11-13

Institutional Activity (13F)

Institutional ownership trend From To
13F snapshot — 2026 Q1
Investors holding
164
-369 vs prev Q
New positions
21
Closed positions
386
Increased
83
Reduced
45
Put/Call ratio
0.00
Calls held
Puts held
Top institutional holders
# Investor Shares / Δ Mkt value / Δ Own% / Δ Weight% / Δ Avg px / Perf. Hold / Status
1 MACQUARIE MANAGEMENT HOLDINGS, INC. 788.3K +788.3K (+100.0%) 37.10B +37.1B (+100.0%) 0.49% +0.486 pp 0.06% +0.056 pp USD47.06 +0.0% 1 qtrs NEW
2 221.4K +221.4K (+100.0%) 10.42B +10.4B (+100.0%) 0.14% +0.137 pp 5.75% +5.753 pp USD47.06 +0.0% 1 qtrs NEW
3 VANGUARD GROUP INC 24.97M +1.4M (+6.1%) 1.18B +186.8M (+18.9%) 15.40% +0.738 pp 0.02% +0.002 pp USD29.11 +61.7% 8 qtrs
4 BLACKROCK, INC. 20.14M +1.7M (+9.0%) 947.61M +171.5M (+22.1%) 12.42% +0.905 pp 0.02% +0.002 pp USD30.59 +53.8% 6 qtrs
5 WELLINGTON MANAGEMENT GROUP LLP 7.92M -735.8K (-8.5%) 372.85M +9.1M (+2.5%) 4.88% -0.510 pp 0.07% +0.002 pp USD18.81 +150.2% 8 qtrs
6 PRINCIPAL FINANCIAL GROUP INC 7.19M -1.7M (-19.4%) 338.57M -36.6M (-9.8%) 4.44% -1.129 pp 0.17% -0.016 pp USD20.89 +125.3% 8 qtrs
7 STATE STREET CORP 7.09M +208.6K (+3.0%) 335.17M +44.6M (+15.3%) 4.37% +0.084 pp 0.01% +0.001 pp USD26.46 +77.9% 8 qtrs
8 ROYAL BANK OF CANADA 6.16M +6.0M (+2,984.1%) 289.96M +281.6M (+3,354.4%) 3.80% +3.675 pp 0.05% +0.046 pp USD46.27 +1.7% 8 qtrs
9 GEODE CAPITAL MANAGEMENT, LLC 5.36M +492.8K (+10.1%) 262.84M +48.3M (+22.5%) 3.31% +0.272 pp 0.02% +0.003 pp USD27.97 +68.3% 8 qtrs
10 INVESCO LTD. 5.53M +177.0K (+3.3%) 260.32M +35.4M (+15.7%) 3.41% +0.074 pp 0.04% +0.005 pp USD31.49 +49.4% 7 qtrs
11 FMR LLC 5.27M +1.7M (+48.3%) 247.99M +98.7M (+66.1%) 3.25% +1.034 pp 0.01% +0.005 pp USD36.81 +27.8% 6 qtrs
12 ALLIANCEBERNSTEIN L.P. 3.52M -1.3M (-27.6%) 165.56M -38.6M (-18.9%) 2.17% -0.859 pp 0.05% -0.012 pp USD28.99 +62.3% 7 qtrs
13 WCM INVESTMENT MANAGEMENT, LLC 3.41M +3.4M (+100.0%) 162.71M +162.7M (+100.0%) 2.10% +2.101 pp 0.34% +0.335 pp USD47.06 +0.0% 1 qtrs NEW
14 PRUDENTIAL FINANCIAL INC 3.45M -620.3K (-15.2%) 162.29M -8.6M (-5.1%) 2.13% -0.409 pp 0.20% -0.007 pp USD25.39 +85.3% 8 qtrs
15 CENTERSQUARE INVESTMENT MANAGEMENT LLC 3.02M -81.0K (-2.6%) 142.21M +11.9M (+9.1%) 1.86% -0.070 pp 1.40% +0.094 pp USD14.49 +224.8% 8 qtrs
16 CHARLES SCHWAB INVESTMENT MANAGEMENT INC 2.93M +276.4K (+10.4%) 137.89M +26.4M (+23.7%) 1.81% +0.153 pp 0.02% +0.004 pp USD26.90 +74.9% 8 qtrs
17 AMERICAN CENTURY COMPANIES INC 2.68M -157.7K (-5.6%) 126.17M +6.9M (+5.8%) 1.65% -0.116 pp 0.06% +0.003 pp USD32.49 +44.8% 8 qtrs
18 NORGES BANK 2.56M +2.6M (+100.0%) 120.40M +120.4M (+100.0%) 1.58% +1.578 pp 0.01% +0.013 pp USD47.06 +0.0% 1 qtrs NEW
19 FEDERATED HERMES, INC. 2.56M +1.4M (+130.1%) 120.37M +73.7M (+157.7%) 1.58% +0.884 pp 0.20% +0.119 pp USD40.96 +14.9% 6 qtrs
20 BANK OF AMERICA CORP /DE/ 2.53M +399.1K (+18.8%) 118.87M +29.5M (+33.0%) 1.56% +0.232 pp 0.01% +0.003 pp USD35.07 +34.2% 8 qtrs
21 QUBE RESEARCH & TECHNOLOGIES LTD 2.38M +999.2K (+72.5%) 111.86M +54.0M (+93.3%) 1.47% +0.607 pp 0.11% +0.054 pp USD40.73 +15.5% 4 qtrs
22 DEUTSCHE BANK AG\ 2.36M -15.8K (-0.7%) 111.10M +11.3M (+11.3%) 1.46% -0.025 pp 0.04% +0.003 pp USD16.22 +190.1% 8 qtrs
23 BALYASNY ASSET MANAGEMENT L.P. 2.15M +1.7M (+354.0%) 101.33M +81.4M (+408.6%) 1.33% +1.032 pp 0.13% +0.103 pp USD45.84 +2.7% 5 qtrs
24 DIMENSIONAL FUND ADVISORS LP 2.02M +556.6K (+38.1%) 94.88M +33.6M (+54.8%) 1.24% +0.334 pp 0.02% +0.007 pp USD41.91 +12.3% 4 qtrs
25 NUVEEN, LLC 1.90M +300.2K (+18.8%) 89.39M +22.2M (+33.0%) 1.17% +0.175 pp 0.02% +0.006 pp USD32.95 +42.8% 4 qtrs
26 MORGAN STANLEY 1.81M +513.4K (+39.6%) 85.18M +30.7M (+56.4%) 1.12% +0.308 pp 0.01% +0.002 pp USD28.71 +63.9% 8 qtrs
27 NORTHERN TRUST CORP 1.65M -7.4K (-0.4%) 77.68M +8.0M (+11.5%) 1.02% -0.015 pp 0.01% +0.001 pp USD25.97 +81.2% 8 qtrs
28 HUDSON BAY CAPITAL MANAGEMENT LP 1.54M +721.1K (+87.9%) 72.54M +38.1M (+110.5%) 0.95% +0.439 pp 0.24% +0.125 pp USD39.40 +19.4% 8 qtrs
29 CBRE INVESTMENT MANAGEMENT LISTED REAL ASSETS LLC 1.50M +190.5K (+14.5%) 70.81M +15.6M (+28.3%) 0.93% +0.109 pp 1.04% +0.252 pp USD38.50 +22.2% 5 qtrs
30 ABRDN PLC 1.34M +263.8K (+24.5%) 63.01M +18.1M (+40.2%) 0.83% +0.156 pp 0.10% +0.027 pp USD28.82 +63.3% 8 qtrs
31 RUSSELL INVESTMENTS GROUP, LTD. 1.24M -66.6K (-5.1%) 58.51M +3.5M (+6.3%) 0.77% -0.050 pp 0.06% +0.001 pp USD17.24 +173.0% 8 qtrs
32 GRS ADVISORS, LLC 1.16M -316.4K (-21.4%) 54.79M -7.4M (-11.9%) 0.72% -0.205 pp 4.92% -0.907 pp USD29.35 +60.3% 6 qtrs
33 VOLORIDGE INVESTMENT MANAGEMENT, LLC 1.08M +267.9K (+32.8%) 51.03M +16.7M (+48.8%) 0.67% +0.160 pp 0.18% +0.064 pp USD31.28 +50.4% 6 qtrs
34 BANK OF NEW YORK MELLON CORP 1.07M -65.1K (-5.7%) 50.27M +2.7M (+5.6%) 0.66% -0.048 pp 0.01% 0.000 pp USD30.07 +56.5% 7 qtrs
35 LAND & BUILDINGS INVESTMENT MANAGEMENT, LLC 1.05M -98.7K (-8.6%) 49.56M +1.2M (+2.4%) 0.65% -0.068 pp 8.24% -0.642 pp USD16.56 +184.2% 8 qtrs
36 LEGAL & GENERAL GROUP PLC 1.02M +200.1K (+24.3%) 48.16M +13.6M (+39.3%) 0.63% +0.118 pp 0.01% +0.003 pp USD30.72 +53.2% 8 qtrs
37 PRICE T ROWE ASSOCIATES INC /MD/ 1.00M +2.8K (+0.3%) 47.15M +5.2M (+12.3%) 0.62% -0.005 pp 0.01% +0.001 pp USD35.81 +31.4% 6 qtrs
38 ADAGE CAPITAL PARTNERS GP, L.L.C. 960.0K -65.0K (-6.3%) 45.18M +2.1M (+4.9%) 0.59% -0.047 pp 0.07% +0.000 pp USD27.86 +68.9% 6 qtrs
39 ALYESKA INVESTMENT GROUP, L.P. 920.0K +920.0K (+100.0%) 43.29M +43.3M (+100.0%) 0.57% +0.567 pp 0.12% +0.122 pp USD47.06 +0.0% 1 qtrs NEW
40 GOLDMAN SACHS GROUP INC 897.4K +354.2K (+65.2%) 42.23M +19.4M (+85.1%) 0.55% +0.215 pp 0.01% +0.002 pp USD36.09 +30.4% 7 qtrs
41 COMMONWEALTH EQUITY SERVICES, LLC 833.6K -100.6K (-10.8%) 39.23M -17.6K (0.0%) 0.51% -0.068 pp 0.05% +0.002 pp USD25.93 +81.5% 8 qtrs
42 SUSQUEHANNA INTERNATIONAL GROUP, LLP 833.6K +825.6K (+10,236.3%) 39.23M +38.9M (+11,478.8%) 0.51% +0.509 pp 0.00% +0.005 pp USD46.86 +0.4% 7 qtrs
43 LPL FINANCIAL LLC 723.8K -35.0K (-4.6%) 34.06M +2.2M (+6.8%) 0.45% -0.027 pp 0.01% +0.000 pp USD26.06 +80.6% 8 qtrs
44 FREESTONE GROVE PARTNERS LP 695.0K +695.0K (+100.0%) 32.70M +32.7M (+100.0%) 0.43% +0.429 pp 0.24% +0.236 pp USD47.06 +0.0% 1 qtrs NEW
45 MILLENNIUM MANAGEMENT LLC 658.4K +477.7K (+264.4%) 30.98M +23.4M (+308.2%) 0.41% +0.293 pp 0.01% +0.010 pp USD38.72 +21.5% 8 qtrs
46 ALGERT GLOBAL LLC 616.6K +209.7K (+51.5%) 29.02M +11.9M (+69.8%) 0.38% +0.127 pp 0.45% +0.166 pp USD41.35 +13.8% 5 qtrs
47 JPMORGAN CHASE & CO 579.5K +110.8K (+23.6%) 27.27M +7.6M (+38.5%) 0.36% +0.065 pp 0.00% +0.001 pp USD26.60 +76.9% 8 qtrs
48 ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 550.7K +242.4K (+78.6%) 25.92M +13.0M (+100.1%) 0.34% +0.148 pp 0.02% +0.007 pp USD43.44 +8.3% 3 qtrs
49 JANE STREET GROUP, LLC 536.9K -87.5K (-14.0%) 25.27M -964.0K (-3.7%) 0.33% -0.058 pp 0.00% 0.000 pp USD42.01 +12.0% 2 qtrs
50 NEUBERGER BERMAN GROUP LLC 535.2K -5.9K (-1.1%) 25.18M +2.5M (+10.8%) 0.33% -0.007 pp 0.02% +0.002 pp USD15.36 +206.4% 8 qtrs
51 HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND 472.8K +472.8K (+100.0%) 22.25M +22.2M (+100.0%) 0.29% +0.292 pp 0.04% +0.037 pp USD47.06 +0.0% 4 qtrs
52 SCHONFELD STRATEGIC ADVISORS LLC 456.5K +456.5K (+100.0%) 21.48M +21.5M (+100.0%) 0.28% +0.282 pp 0.10% +0.095 pp USD47.06 +0.0% 1 qtrs NEW
53 TWO SIGMA INVESTMENTS, LP 443.7K +418.7K (+1,675.1%) 20.88M +19.8M (+1,888.5%) 0.27% +0.258 pp 0.03% +0.028 pp USD45.66 +3.1% 8 qtrs
54 DAIWA SECURITIES GROUP INC. 443.7K +24.6K (+5.9%) 20.88M +3.3M (+18.6%) 0.27% +0.012 pp 0.07% +0.007 pp USD23.84 +97.4% 8 qtrs
55 D. E. SHAW & CO., INC. 436.9K +436.9K (+100.0%) 20.56M +20.6M (+100.0%) 0.27% +0.269 pp 0.01% +0.011 pp USD47.06 +0.0% 1 qtrs NEW
56 EASTERLY INVESTMENT PARTNERS LLC 390.1K +390.1K (+100.0%) 18.36M +18.4M (+100.0%) 0.24% +0.241 pp 1.13% +1.127 pp USD47.06 +0.0% 1 qtrs NEW
57 LIGHTHOUSE INVESTMENT PARTNERS, LLC 384.2K +206.1K (+115.7%) 18.08M +10.6M (+141.7%) 0.24% +0.126 pp 0.54% +0.316 pp USD44.72 +5.2% 2 qtrs
58 ALLIANZ ASSET MANAGEMENT GMBH 363.0K +101.8K (+39.0%) 17.08M +6.1M (+55.7%) 0.22% +0.061 pp 0.02% +0.005 pp USD40.54 +16.1% 4 qtrs
59 UNIVERSAL- BETEILIGUNGS- UND SERVICEGESELLSCHAFT MBH 360.6K -56.9K (-13.6%) 17.08M -456.0K (-2.6%) 0.22% -0.038 pp 0.03% -0.001 pp USD30.30 +55.3% 4 qtrs
60 KENNEDY CAPITAL MANAGEMENT LLC 358.6K +16.8K (+4.9%) 16.88M +2.5M (+17.5%) 0.22% +0.008 pp 0.36% +0.040 pp USD37.96 +24.0% 4 qtrs
61 FIRST TRUST ADVISORS LP 351.4K -50.5K (-12.6%) 16.54M -348.9K (-2.1%) 0.22% -0.034 pp 0.01% -0.001 pp USD33.94 +38.7% 6 qtrs
62 HSBC HOLDINGS PLC 345.6K +132.2K (+61.9%) 16.26M +7.3M (+81.3%) 0.21% +0.080 pp 0.01% +0.003 pp USD37.86 +24.3% 6 qtrs
63 VERITION FUND MANAGEMENT LLC 336.7K +163.7K (+94.7%) 15.84M +8.6M (+118.1%) 0.21% +0.100 pp 0.06% +0.032 pp USD41.87 +12.4% 8 qtrs
64 SWISS NATIONAL BANK 332.3K +23.2K (+7.5%) 15.64M +2.7M (+20.4%) 0.20% +0.012 pp 0.01% +0.002 pp USD23.75 +98.1% 7 qtrs
65 DUFF & PHELPS INVESTMENT MANAGEMENT CO 328.3K +75.9K (+30.1%) 15.45M +4.8M (+45.7%) 0.20% +0.045 pp 0.18% +0.055 pp USD41.41 +13.6% 3 qtrs
66 APTUS CAPITAL ADVISORS, LLC 327.8K +524.0 (+0.2%) 15.43M +1.7M (+12.2%) 0.20% -0.002 pp 0.11% +0.011 pp USD32.35 +45.5% 4 qtrs
67 POINT72 ASSET MANAGEMENT, L.P. 323.2K +35.2K (+12.2%) 15.21M +3.1M (+25.7%) 0.20% +0.020 pp 0.02% -0.003 pp USD39.91 +17.9% 3 qtrs
68 VICTORY CAPITAL MANAGEMENT INC 322.5K -11.2K (-3.4%) 15.18M +1.2M (+8.3%) 0.20% -0.009 pp 0.01% +0.000 pp USD36.17 +30.1% 6 qtrs
69 BARCLAYS PLC 317.7K +139.3K (+78.1%) 14.95M +10.3M (+221.2%) 0.20% +0.085 pp 0.00% +0.002 pp USD36.74 +28.1% 7 qtrs
70 GREAT WEST LIFE ASSURANCE CO /CAN/ 301.1K +25.4K (+9.2%) 14.17M +2.6M (+23.0%) 0.19% +0.014 pp 0.02% +0.008 pp USD30.87 +52.4% 6 qtrs
71 COVALIS CAPITAL LLP 300.0K +300.0K (+100.0%) 14.12M +14.1M (+100.0%) 0.19% +0.185 pp 0.99% +0.991 pp USD47.06 +0.0% 1 qtrs NEW
72 ASSET MANAGEMENT ONE CO., LTD. 291.4K +40.2K (+16.0%) 14.08M +3.5M (+33.4%) 0.18% +0.023 pp 0.04% +0.009 pp USD26.98 +74.4% 7 qtrs
73 WELLS FARGO & COMPANY/MN 295.6K +103.8K (+54.2%) 13.91M +5.9M (+72.7%) 0.18% +0.063 pp 0.00% +0.001 pp USD31.86 +47.7% 8 qtrs
74 APG ASSET MANAGEMENT US INC. 293.0K +— (+0.0%) 13.79M +1.5M (+12.2%) 0.18% -0.002 pp 0.11% +0.017 pp USD26.10 +80.3% 6 qtrs
75 JAIN GLOBAL LLC 291.4K +227.2K (+353.5%) 13.72M +11.0M (+408.0%) 0.18% +0.140 pp 0.07% +0.054 pp USD45.95 +2.4% 5 qtrs
76 CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM 283.7K +39.2K (+16.0%) 13.35M +3.1M (+30.0%) 0.17% +0.023 pp 0.01% +0.002 pp USD42.71 +10.2% 2 qtrs
77 ENVESTNET ASSET MANAGEMENT INC 281.7K +932.0 (+0.3%) 13.26M +1.5M (+12.4%) 0.17% -0.001 pp 0.00% +0.001 pp USD19.51 +141.2% 8 qtrs
78 APOLLO MANAGEMENT HOLDINGS, L.P. 281.3K +281.3K (+100.0%) 13.24M +13.2M (+100.0%) 0.17% +0.174 pp 0.11% +0.108 pp USD47.06 +0.0% 1 qtrs NEW
79 UBS GROUP AG 268.2K -141.0K (-34.5%) 12.62M -4.6M (-26.6%) 0.17% -0.090 pp 0.00% -0.001 pp USD34.72 +35.5% 8 qtrs
80 NOMURA ASSET MANAGEMENT CO LTD 267.7K +21.9K (+8.9%) 12.60M +2.3M (+22.0%) 0.17% +0.012 pp 0.03% +0.005 pp USD26.20 +79.6% 7 qtrs
81 VIRGINIA RETIREMENT SYSTEMS ET AL 267.6K -64.1K (-19.3%) 12.59M -1.3M (-9.6%) 0.17% -0.042 pp 0.07% -0.015 pp USD30.34 +55.1% 4 qtrs
82 MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC 265.3K -36.0K (-11.9%) 12.48M -170.8K (-1.3%) 0.16% -0.024 pp 0.13% -0.002 pp USD14.76 +218.8% 7 qtrs
83 RENAISSANCE TECHNOLOGIES LLC 259.1K -467.8K (-64.4%) 12.19M -18.3M (-60.1%) 0.16% -0.293 pp 0.02% -0.021 pp USD29.44 +59.9% 7 qtrs
84 KESTRA ADVISORY SERVICES, LLC 256.2K -12.8K (-4.8%) 12.06M +754.4K (+6.7%) 0.16% -0.010 pp 0.05% -0.002 pp USD26.20 +79.6% 8 qtrs
85 VAN LANSCHOT KEMPEN INVESTMENT MANAGEMENT N.V. 254.8K +219.9K (+630.0%) 11.99M +10.5M (+717.7%) 0.16% +0.135 pp 0.10% +0.090 pp USD46.37 +1.5% 2 qtrs
86 CETERA INVESTMENT ADVISERS 248.7K +32.6K (+15.1%) 11.70M +2.6M (+28.9%) 0.15% +0.019 pp 0.01% +0.002 pp USD32.49 +44.8% 6 qtrs
87 SUMITOMO MITSUI TRUST HOLDINGS, INC. 247.4K +1.7K (+0.7%) 11.64M +1.3M (+12.8%) 0.15% -0.001 pp 0.01% +0.001 pp USD14.85 +216.9% 8 qtrs
88 PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO 244.7K +2.0K (+0.8%) 11.51M +1.3M (+13.0%) 0.15% 0.000 pp 0.04% +0.004 pp USD27.74 +69.6% 6 qtrs
89 BROOKFIELD CORP /ON/ 243.1K -141.4K (-36.8%) 11.44M -4.7M (-29.2%) 0.15% -0.090 pp 0.01% -0.005 pp USD28.02 +68.0% 6 qtrs
90 STRS OHIO 234.9K +17.2K (+7.9%) 11.05M +1.9M (+20.9%) 0.14% +0.009 pp 0.04% +0.008 pp USD21.69 +117.0% 7 qtrs
91 BOOTHBAY FUND MANAGEMENT, LLC 232.4K -35.6K (-13.3%) 10.94M -321.7K (-2.9%) 0.14% -0.024 pp 0.16% -0.001 pp USD26.38 +78.4% 8 qtrs
92 CHILTON CAPITAL MANAGEMENT LLC 228.2K -123.5K (-35.1%) 10.79M -4.1M (-27.4%) 0.14% -0.078 pp 0.37% -0.128 pp USD20.31 +131.7% 8 qtrs
93 RHUMBLINE ADVISERS 228.9K -25.9K (-10.2%) 10.77M +69.4K (+0.6%) 0.14% -0.018 pp 0.01% +0.000 pp USD24.04 +95.8% 7 qtrs
94 AMERIPRISE FINANCIAL INC 226.6K +105.0K (+86.3%) 10.67M +5.6M (+108.7%) 0.14% +0.064 pp 0.00% +0.001 pp USD33.65 +39.9% 7 qtrs
95 B&I CAPITAL AG 226.6K +226.6K (+100.0%) 10.66M +10.7M (+100.0%) 0.14% +0.140 pp 3.79% +3.792 pp USD47.06 +0.0% 1 qtrs NEW
96 BAMCO INC /NY/ 226.5K +26.3K (+13.1%) 10.66M +2.2M (+26.7%) 0.14% +0.015 pp 0.03% +0.007 pp USD30.74 +53.1% 5 qtrs
97 CITIGROUP INC 209.5K +100.9K (+93.0%) 9.86M +5.3M (+116.2%) 0.13% +0.062 pp 0.00% +0.002 pp USD34.88 +34.9% 8 qtrs
98 FRANKLIN RESOURCES INC 208.7K -6.1K (-2.9%) 9.82M +796.4K (+8.8%) 0.13% -0.005 pp 0.00% +0.000 pp USD22.93 +105.2% 8 qtrs
99 STATE OF NEW JERSEY COMMON PENSION FUND D 204.7K +10.7K (+5.5%) 9.63M +1.5M (+18.2%) 0.13% +0.005 pp 0.03% +0.005 pp USD23.89 +97.0% 7 qtrs
Ownership breakdown by holder

Insider Activity

Insider Activity — Latest Quarter
Ratio by transactions
0.67
Neutral
Ratio by volume
0.81
Neutral
Buys
24
Sells
36
Shares acquired
298.2K
Shares disposed
369.2K
Cash buys
Cash sales
1.00
Net activity
-70,968
Insider buys vs sells (history) From To
Recent insider transactions From To
Date Person Role Transaction A/D Security Shares Price Value Owned after D/I Filing
2026-04-06 Willhite Gabriel M Officer M-Exempt A Common Stock 6,768 0.00 151,819 D
2026-04-06 Prosky Danny Director M-Exempt D Restricted Stock Unit 15,924 0.00 0 D
2026-04-06 PEAY BRIAN Officer M-Exempt A Common Stock 6,768 0.00 181,354 D
2026-04-06 Oh Stefan K.L. Officer M-Exempt A Common Stock 3,185 0.00 98,615 D
2026-04-06 Foster Mark E. Officer M-Exempt A Common Stock 2,986 0.00 59,107 D
2026-03-26 Hanson Jeffrey T Director / Officer A-Award A Restricted Stock Unit 42,756 0.00 42,756 D
2026-03-25 Willhite Gabriel M Officer F-InKind D Common Stock 2,790 48.25 134.6K 145,051 D
2026-03-25 Prosky Danny Director M-Exempt D Restricted Stock Unit 30,885 0.00 30,886 D
2026-03-25 PEAY BRIAN Officer F-InKind D Common Stock 6,985 48.25 337.0K 170,561 D
2026-03-25 Oh Stefan K.L. Officer M-Exempt A Common Stock 9,151 0.00 97,589 D
2026-03-25 Foster Mark E. Officer A-Award A Restricted Stock Unit 6,510 0.00 6,510 D
2026-03-12 Willhite Gabriel M Officer M-Exempt D Restricted Stock Unit 13,534 0.00 0 D
2026-03-12 Prosky Danny Director M-Exempt D Restricted Stock Unit 31,846 0.00 0 D
2026-03-12 PEAY BRIAN Officer A-Award A Restricted Stock Unit 13,534 0.00 13,534 D
2026-03-12 Oh Stefan K.L. Officer A-Award A Restricted Stock Unit 6,370 0.00 6,370 D
2026-03-12 Foster Mark E. Officer M-Exempt D Restricted Stock Unit 5,972 0.00 0 D
2026-02-09 Willhite Gabriel M Officer F-InKind D Common Stock 17,133 48.77 835.6K 131,352 D
2026-02-09 Prosky Danny Director / Officer F-InKind D Common Stock 29,992 48.77 1.46M 299,035 D
2026-02-09 PEAY BRIAN Officer F-InKind D Common Stock 20,109 48.77 980.7K 157,587 D
2026-02-09 Oh Stefan K.L. Officer F-InKind D Common Stock 10,166 48.77 495.8K 85,505 D
2026-02-09 Foster Mark E. Officer F-InKind D Common Stock 7,685 48.77 374.8K 49,915 D
2025-12-23 Hanson Jeffrey T Director S-Sale D Common Stock 19,208 48.40 929.7K 0 I
2025-12-22 Hanson Jeffrey T Director S-Sale D Common Stock 35,570 48.38 1.72M 19,208 I
2025-11-11 Foster Mark E. Officer S-Sale D Common Stock 1,500 49.35 74.0K 57,600 D
2025-11-10 Hanson Jeffrey T Director S-Sale D Common Stock 20,010 49.68 994.1K 21,798 D
2025-09-03 Foster Mark E. Officer S-Sale D Common Stock 3,850 41.89 161.3K 59,100 D
2025-06-30 Oh Stefan K.L. Officer S-Sale D Common Stock 3,860 36.10 139.3K 0 I
2025-06-25 Streiff Mathieu B. Director A-Award A Common Stock 3,042 0.00 32,377 D
2025-06-25 Smith Wilbur H III Director A-Award A Common Stock 3,042 0.00 32,419 D
2025-06-25 Richardson Valerie Director A-Award A Common Stock 3,042 0.00 18,062 D
2025-06-25 O'Quinn Marvin R Director A-Award A Common Stock 3,042 0.00 18,062 D
2025-06-25 Hurley Dianne Director A-Award A Common Stock 3,042 0.00 31,443 D
2025-06-25 Hanson Jeffrey T Director A-Award A Common Stock 3,042 0.00 41,808 D
2025-06-25 Flornes Brian J. Director A-Award A Common Stock 3,042 0.00 30,426 D
2025-06-25 ESTES SCOTT A Director A-Award A Common Stock 3,042 0.00 18,895 D
2025-04-03 Willhite Gabriel M Officer F-InKind D Common Stock 3,437 30.79 105.8K 147,426 D
2025-04-03 Prosky Danny Director / Officer M-Exempt D Restricted Stock Unit 15,924 0.00 15,924 D
2025-04-03 PEAY BRIAN Officer F-InKind D Common Stock 3,437 30.79 105.8K 176,637 D
2025-04-03 Oh Stefan K.L. Officer M-Exempt D Restricted Stock Unit 3,185 0.00 3,185 D
2025-04-03 Foster Mark E. Officer M-Exempt A Common Stock 2,986 0.00 63,408 D
2025-03-25 Willhite Gabriel M Officer F-InKind D Common Stock 4,938 30.45 150.4K 144,095 D
2025-03-25 Prosky Danny Director / Officer M-Exempt D Restricted Stock Unit 30,885 0.00 61,771 D
2025-03-25 PEAY BRIAN Officer A-Award A Restricted Stock Unit 24,586 0.00 24,586 D
2025-03-25 Oh Stefan K.L. Officer M-Exempt D Restricted Stock Unit 9,151 0.00 18,303 D
2025-03-25 Foster Mark E. Officer A-Award A Restricted Stock Unit 11,021 0.00 11,021 D
2025-03-14 Willhite Gabriel M Officer M-Exempt A Common Stock 2,197 0.00 140,426 D
2025-03-14 Prosky Danny Director / Officer M-Exempt D Restricted Stock Unit 11,718 0.00 0 D
2025-03-14 PEAY BRIAN Officer M-Exempt D Restricted Stock Unit 4,394 0.00 0 D
2025-03-14 Oh Stefan K.L. Officer A-Award A Restricted Stock Unit 1,904 0.00 1,904 D
2025-03-14 Foster Mark E. Officer M-Exempt D Restricted Stock Unit 908 0.00 0 D
2025-02-10 Willhite Gabriel M Officer F-InKind D Common Stock 11,398 29.30 334.0K 138,229 D
2025-02-10 PEAY BRIAN Officer F-InKind D Common Stock 13,799 29.30 404.3K 162,156 D
2025-02-10 Oh Stefan K.L. Officer F-InKind D Common Stock 6,796 29.30 199.1K 88,663 D
2025-02-10 Foster Mark E. Officer F-InKind D Common Stock 5,107 29.30 149.6K 55,295 D
2025-01-02 Foster Mark E. Officer F-InKind D Common Stock 432 28.42 12.3K 60,402 D
2012-03-06 SUN VALLEY GOLD LLC 10% Owner I Common Stock 0 0.00 14,615,384
2010-03-17 RECP IV Cite CMBS Equity, L.P. 10% Owner P-Purchase D Common Stock, par value $0.001 per share 6,718,919 0.00 0
2009-08-26 Lucas Deborah J Director A-Award A Common Stock 27,392 0.00 109,347
2009-05-28 Lucas Deborah J Director A-Award A Common Stock 18,125 0.00 80,955
2009-05-13 Lucas Deborah J Director A-Award A Common Stock 1,000 0.00 81,955
2009-04-02 Lucas Deborah J Director A-Award A Common Stock 48,387 0.00 62,830
2008-11-25 Lucas Deborah J Director A-Award A Common Stock 7,323 0.00 14,443
2008-11-25 FRATER HUGH R Director A-Award A Common Stock 7,323 0.00 124,583
2008-08-25 Lucas Deborah J Director A-Award A Common Stock 3,120 0.00 7,120
2008-08-25 FRATER HUGH R Director A-Award A Common Stock 3,120 0.00 117,260
2008-06-24 RECP IV Cite CMBS Equity, L.P. 10% Owner C-Conversion A Common Stock, par value $0.001 3,119,661 7.49 23.37M 6,613,682
2008-05-15 Lucas Deborah J Director A-Award A Common Stock 1,000 0.00 4,000
2008-05-15 FRATER HUGH R Director A-Award A Common Stock 1,000 0.00 102,140
2008-04-04 RECP IV Cite CMBS Equity, L.P. 10% Owner D 12% Series E-1 Cumulative Convertible Redeemable Pref. Stock 3,119,662 7.49 23.38M 0
2007-10-17 FRATER HUGH R Director A-Award A Common Stock 20,000 8.40 168.0K 114,140
2007-08-17 FRATER HUGH R Director P-Purchase A Common Stock 12,000 9.16 109.9K 101,140
2007-08-16 FRATER HUGH R Director P-Purchase A Common Stock 12,140 7.88 95.7K 89,140
2007-05-22 Lucas Deborah J Director A-Award A Common Stock 1,000 0.00 3,000
2007-05-22 FRATER HUGH R Director A-Award A Common Stock 1,000 0.00 77,000
2006-05-18 Lucas Deborah J Director A-Award A Common Stock 1,000 0.00 2,000
2006-05-18 DRAPKIN DONALD G Director A-Award A Common Stock 1,000 0.00 3,315
2005-12-06 Lucas Deborah J Director A-Award A Common Stock 1,000 0.00 1,000
2005-12-06 DRAPKIN DONALD G Director A-Award A Common Stock 1,000 0.00 2,315
2005-05-24 Lucas Deborah J Director 0 0.00 0
2005-05-24 DRAPKIN DONALD G Director A-Award A Common Stock 1,000 0.00 2,315
2005-03-15 FRATER HUGH R Director S-Sale D Shares of Common Stock (par value $0.001 per shares) 1,000 11.65 11.7K 76,000
2004-05-25 DRAPKIN DONALD G Director A-Award A Employee Stock Option (Right to Buy) 1,000 11.81 11.8K 1,000
2000-05-15 APPLEGATE DAVID M Director D Common Stock 0 0.00 64

Executive team

Top executives
EBIT / Employee
1.18M
Shares Outstanding
191.87M

Executive compensation

Executive compensation (annual)
# Year Executive Salary Bonus Stock award Option award Incentive Other Total % Stock-
based
Filing
1 2025 Danny Prosky Chief Executive Officer and President 800.0K 360.0K 4.36M 840.0K 330.1K 6.69M 65.15%
2 2025 Brian S. Peay Chief Financial Officer 525.0K 236.3K 1.71M 551.3K 188.9K 3.21M 53.20%
3 2025 Gabriel M. Willhite Chief Operating Officer 475.0K 213.8K 1.14M 498.8K 155.7K 2.49M 45.95%
4 2025 Stefan K.L. Oh Chief Investment Officer 440.0K 198.0K 1.06M 462.0K 105.9K 2.27M 46.77%
5 2025 Mark E. Foster Executive Vice President, General Counsel and Secretary 395.0K 115.5K 765.2K 269.6K 84.5K 1.63M 46.95%
6 2024 Danny Prosky Chief Executive Officer and President 750.0K 225.0K 5.62M 787.5K 297.8K 7.68M 73.16%
7 2024 Brian S. Peay Chief Financial Officer 500.0K 150.0K 3.14M 525.0K 189.6K 4.51M 69.73%
8 2024 Gabriel M. Willhite Chief Operating Officer 450.0K 135.0K 2.50M 472.5K 162.8K 3.72M 67.22%
9 2024 Stefan K.L. Oh Chief Investment Officer 425.0K 95.6K 1.77M 334.7K 112.0K 2.74M 64.68%
10 2024 Mark E. Foster Executive Vice President, General Counsel and Secretary 380.0K 74.1K 1.38M 259.4K 74.9K 2.17M 63.62%
11 2023 Danny Prosky Chief Executive Officer and President 750.0K 225.0K 2.00M 724.5K 85.2K 3.78M 52.84%
12 2023 Brian S. Peay Chief Financial Officer 475.0K 142.5K 850.0K 458.9K 58.6K 1.98M 42.82%
13 2023 Gabriel M. Willhite Chief Operating Officer 425.0K 127.5K 850.0K 410.6K 52.4K 1.87M 45.57%
14 2023 Stefan K.L. Oh Chief Investment Officer 400.0K 90.0K 400.0K 289.8K 41.8K 1.22M 32.74%
15 2023 Mark E. Foster Executive Vice President, General Counsel and Secretary 360.0K 70.2K 375.0K 226.0K 17.3K 1.05M 35.77%
16 2022 Danny Prosky Chief Executive Officer and President 750.0K 225.0K 787.5K 61.9K 1.82M 0.00%
17 2022 Brian S. Peay Chief Financial Officer 475.0K 142.5K 498.8K 51.0K 1.17M 0.00%
18 2022 Gabriel M. Willhite Chief Operating Officer 384.0K 127.5K 446.3K 35.4K 993.1K 0.00%
19 2022 Stefan K.L. Oh Chief Investment Officer 400.0K 130.0K 195.0K 39.5K 764.5K 0.00%
20 2022 Mark E. Foster Executive Vice President, General Counsel and Secretary 135.0K 70.2K 156.2K 245.7K 4.3K 611.4K 25.56%
21 2021 Danny Prosky Chief Executive Officer and President 187.5K 2.00M 187.5K 23.0K 2.40M 83.40%
22 2021 Brian S. Peay Chief Financial Officer 118.8K 1.39M 118.8K 24.4K 1.65M 84.12%
23 2021 Gabriel M. Willhite Chief Operating Officer 90.0K 1.06M 58.5K 15.5K 1.23M 86.62%
24 2021 Stefan K.L. Oh Chief Investment Officer 100.0K 962.6K 65.0K 18.6K 1.15M 83.98%
CEO compensation breakdown

Proxy statements

Proxy statements (DEF 14A)
Filing date Form type Filing
2026-04-09 DEF 14A
2025-04-10 DEF 14A

Recent SEC filings

Recent SEC filings
Filing date Form type Filing
2026-05-07 8-K
2026-04-29 SC 13G
2026-04-28 SC 13G
2026-04-23 SC 13G/A
2026-04-09 DEF 14A
2026-04-08 4
2026-04-08 4
2026-04-08 4
2026-04-08 4
2026-04-08 4

Executive team

NameTitleCompensationGender
Danny Prosky President, CEO & Board of Director 2M male
Brian Peay Chief Financial Officer 2M male
Gabe Willhite Chief Operating Officer 1M male
Gabriel Willhite Chief Operating Officer 1M male
Stefan Oh Chief Investment Officer 1M male
Mark Foster Executive Vice President, General Counsel & Secretary 864.6K male
Jeff Hanson Chairman, Interim CEO & Board of Director 200.6K male
Wendie Newman Executive Vice President of Asset Management female
Cora Lo Senior Vice President, Associate General Counsel & Assistant Secretary female
Kenny Lin Executive Vice President, Deputy Chief Financial Officer & Chief Accounting Officer male
Ray Oborn Executive Vice President of Asset Management male
Raymond Oborn Executive Vice President of Asset Management male
ESG Rating
B
REIT - HEALTHCARE FACILITIES
2026
E (Environmental)
50.0 / 68.8
Company / Sector avg.
S (Social)
78.5 / 72.3
Company / Sector avg.
G (Governance)
65.3 / 69.5
Company / Sector avg.
ESG Total
64.6 / 70.2
Company / Sector avg.
ESG Score History REIT - HEALTHCARE FACILITIES
Benchmark vs Sector
Senate Trading Activity

No Senate trading activity found for this company.

House Trading Activity

No House trading activity found for this company.

Market share among peers
Peer comparison — filtered group (TTM)
Your opinion

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Dividend yield history

Dividend history

Earnings history

Earnings reports

Stock splits