Sunday 11 October 2026 Export all CHCT data to Excel Powerpack

Community Healthcare Trust Incorporated

CHCT Real Estate Reit Healthcare Facilities

Community Healthcare Trust Incorporated’s revenue for fiscal 2025 (year ended December 2025) was $121.2 million, up 4.67% from fiscal 2024. In the quarter to June 2026, revenue grew 7.35%, EPS grew 112.0%, free cash flow grew 35.1% and total debt rose 11.8%, each against the same quarter a year earlier. Revenue growth for ten consecutive years; insiders bought in the last twelve months.

13.61 0.07 −0.51%
Market cap
$392.0M
P/E
20.3×
Fwd P/E
36.8×
Dividend yield
12.9%
F-score
7/9
Altman Z
n/a
Beneish M
n/a
Dividend safety
n/a
Jun '26 Mar '26 Dec '25 Sep '25 Older periods
Piotroski F-Score
7 8 7 6

+8 more TTM periods

ROE
4.21% 0.68% 0.46% (2.32%)
ROA
1.82% 0.30% 0.21% (1.07%)
ROIC
2.45% 1.94% 1.89% 1.82%
Return on Tangible Assets
4.90% 0.81% 0.55% (2.81%)
Average Days of Receivables
0.00 0.00 0.00 0.00
Free Cash Flow per Share
(0.25) (0.38) 0.13 (0.16)
Free Cash Flow
(6.81) (10.38) 3.51 (4.24)
Capital Expenditures
(66.30) (66.14) (52.92) (60.84)
Other line items
Cash ROIC
(0.70%) (1.06%) 0.36% (0.44%)
Accounts Receivable Turnover
0.00 0.00 0.00 0.00
Accounts Payable Turnover
1.53 1.68 1.62 1.46
Inventory Turnover
0.00 0.00 0.00 0.00
Average Days of Payables
267.07 250.95 230.60 271.91
Days of Inventory on Hand
0.00 0.00 0.00 0.00
Tax Rate
0.00 0.00 0.00 0.00
Research and Development Expense of Revenue
0.00% 0.00% 0.00% 0.00%
Selling, General and Administrative Expense of Revenue
15.57% 20.47% 20.71% 21.02%
Share Based Compensation of Revenue
8.46% 8.40% 8.50% 8.62%
Interest Coverage
1.35 1.11 1.07 1.05
Operating CF/Net income
3.32 18.46 27.13 (5.39)
Depreciation/Fixed assets
0.05 0.05 0.05 0.05
Capex/Depreciation
(1.48) (1.34) (1.07) (1.23)
Revenue per Share
4.62 4.54 4.51 4.44
Operating CF per Share
2.20 2.07 2.10 2.10
Capex per Share
(2.45) (2.45) (1.97) (2.26)
Capex to Sales
0.53 0.54 0.44 0.51

Fold the line items

Columns are period end dates