Sunday 11 October 2026 Export all CTRE data to Excel Powerpack

CareTrust REIT, Inc.

CTRE Real Estate Reit Healthcare Facilities

CareTrust REIT, Inc.’s revenue for fiscal 2025 (year ended December 2025) was $476.4 million, up 60.8% from fiscal 2024. In the quarter to June 2026, revenue grew 43.5%, EPS grew 5.56%, free cash flow grew 89.0% and total debt rose 4.30%, each against the same quarter a year earlier. Dividend growth for ten consecutive years, revenue growth for ten, operating cash flow growth for three.

36.03 0.24 +0.67%
Market cap
$8.5B
P/E
22.7×
Fwd P/E
25.4×
Dividend yield
4.18%
F-score
6/9
Altman Z
n/a
Beneish M
n/a
Dividend safety
n/a

An Income Statement, also known as a Profit and Loss Statement, summarizes a company's revenues, expenses, and profits over a specific period. It highlights how revenue is transformed into net income, showcasing operational efficiency. Key components include total revenue, cost of goods sold (COGS), gross profit, operating expenses, and net profit. Businesses use the Income Statement to assess financial performance, make strategic decisions, and ensure profitability. Investors and stakeholders analyze it to gauge the company’s financial health and future growth potential.

Jun '26 Mar '26 Dec '25 Sep '25 Older periods
Revenue
571.43 522.56 476.39 428.48

+8 more TTM periods

Cost of Revenue
9.20 9.16 8.77 8.45
Gross Profit
562.23 513.40 467.63 420.02
SG&A Expenses
61.01 57.78 52.47 46.28
Operating Income
375.76 342.38 316.13 287.27
Non-operating Income/Expense
(12.05) (0.51) 9.16 (24.18)
Non-operating Interest Expenses
50.57 48.28 43.71 37.45
EBT
363.71 341.87 325.29 263.09
Income Tax Provision
8.78 7.27 5.02 3.16
Income after Tax
354.93 334.60 320.29 259.98
Dividends (Preferred)
— 1.19 1.18 —
Non-Controlling Interest
(0.46) (0.35) (0.25) (1.40)
Net Income Common
354.74 334.29 319.80 260.76
EPS (Basic)
1.59 1.57 1.56 1.35
EPS (Diluted)
1.59 1.56 1.55 1.34
Shares (Basic, Weighted)
218.04 207.71 198.75 186.53
Shares (Diluted, Weighted)
218.64 208.29 199.16 186.93
Gross Margin
98.39% 98.25% 98.16% 98.03%
EBIT Margin
65.76% 65.52% 66.36% 67.04%
EBT margin
63.65% 65.42% 68.28% 61.40%
Net Profit Margin
62.08% 63.97% 67.13% 60.86%
Free Cash Flow Margin
(95.01%) (212.93%) (230.74%) (242.38%)
EBITDA
500.73 457.14 418.60 376.09
EBIT
375.76 342.38 316.13 287.27
EPS (Diluted, from Cont. Ops)
1.60 1.58 1.57 1.36
EPS (Diluted, Consolidated)
1.60 1.58 1.57 1.36
EPS (Basic, Consolidated)
1.61 1.58 1.57 1.36
Shares (Diluted, Average)
223.45 213.11 203.97 193.64
EPS (Basic, from Continuous Ops)
1.61 1.58 1.57 1.36
Income from Continuous Operations
354.93 334.60 320.29 259.98
Consolidated Net Income/Loss
354.93 334.60 320.29 259.98
EBITDA Margin
87.63% 87.48% 87.87% 87.77%
Operating Cash Flow Margin
78.22% 79.04% 82.71% 81.28%

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In millions of $ except per-share values · columns are period end dates