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Healthcare Realty Trust Inc

Financial highlights

MetricFY December 31, 2025FY December 31, 2024FY December 31, 2023FY December 31, 2022FY December 31, 2021
Revenue$1.2B$1.3B$1.3B$932.6M$534.8M
Cash from operations$457.1M$501.6M$499.8M$272.7M$232.6M
Capital expenditure$55.8M$40.0M$31.5M$48.3M$97.2M
Free cash flow$401.3M$461.6M$468.4M$224.5M$135.5M
Share repurchases$4.0M$8.9M$2.3M$3.2M$3.8M
Impairments$0$250.5M$0$0
Total assets$9.2B$10.7B$12.6B$13.8B$4.3B
Total liabilities$4.5B$5.3B$5.7B$6.2B$2.1B
Total debt$3.0B

Shares outstanding 346.5M · Free float 95.1%

Annual filing data through FY ended December 31, 2025; float as of July 13, 2026.