Healthcare Realty Trust Incorporated is an independent real estate investment trust. The company has market cap of $3.84 billion. The firm invests in real estate markets of the United States. It has a 32.39 P/E ratio. It primarily engages in ownership, acquisition, management, leasing, and development of properties associated with delivery of healthcare services such as medical office and outpatient facilities.
DAVIDsTEA Inc. (DTEA) formed wedge down with $3.64 target or 3.00% below today’s $3.76 share price. DAVIDsTEA Inc. (DTEA) has $97.11M valuation. The stock increased 0.20% or $0.0074 during the last trading session, reaching $3.7574. About 400 shares traded. DAVIDsTEA Inc. (NASDAQ:DTEA) has declined 44.49% since January 9, 2017 and is downtrending. It has underperformed by 61.19% the S&P500.
Analysts await Healthcare Realty Trust Incorporated (NYSE:HR) to report earnings on February, 21. They expect $0.38 earnings per share, down 7.32% or $0.03 from last year’s $0.41 per share. HR’s profit will be $47.45 million for 20.20 P/E if the $0.38 EPS becomes a reality. After $0.38 actual earnings per share reported by Healthcare Realty Trust Incorporated for the previous quarter, Wall Street now forecasts 0.00% EPS growth.
The stock decreased 1.92% or $0.6 during the last trading session, reaching $30.71. About 102,528 shares traded. Healthcare Realty Trust Incorporated (HR) has risen 10.13% since January 9, 2017 and is uptrending. It has underperformed by 6.57% the S&P500.
Since January 1, 0001, it had 0 insider purchases, and 3 selling transactions for $500,840 activity.
Marble Harbor Investment Counsel Llc holds 2.44% of its portfolio in Healthcare Realty Trust Incorporated for 370,554 shares. Channing Capital Management Llc owns 1.58 million shares or 1.92% of their US portfolio. Moreover, American Assets Capital Advisers has 1.53% invested in the company for 120,000 shares. The Maryland-based Investment Counselors Of Maryland Llc has invested 0.97% in the stock. Duff & Phelps Investment Management Co, a Illinois-based fund reported 959,237 shares.