US Stock MarketDetailed Quotes

CHCT Community Healthcare Trust Inc

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  • 16.950
  • -0.240-1.40%
Close Oct 4 16:00 ET
  • 16.950
  • 0.0000.00%
Post 16:02 ET
475.57MMarket Cap-423750P/E (TTM)

Community Healthcare Trust Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
0.32%16.73M
-0.43%12.64M
1.83%61.38M
-7.26%14.29M
15.41%17.72M
10.31%16.68M
-11.83%12.7M
6.98%60.28M
2.77%15.41M
15.85%15.35M
Net income from continuing operations
-258.54%-10.43M
152.95%3.67M
-64.97%7.71M
-12.81%4.57M
-38.45%3.49M
17.78%6.58M
-225.31%-6.92M
-2.10%22.02M
-14.31%5.24M
5.96%5.67M
Depreciation and amortization
15.82%10.96M
12.88%10.48M
21.83%40.44M
22.16%10.44M
37.11%11.26M
14.28%9.46M
13.79%9.28M
6.30%33.19M
6.35%8.54M
2.46%8.21M
Deferred tax
--0
--0
646.34%306K
--0
952.38%221K
212.50%50K
305.88%35K
-75.45%41K
-66.67%21K
-53.33%21K
Other non cash items
113.37%204K
17.67%-755K
-9.12%-3.76M
-2.11%-872K
48.07%-443K
-66.41%-1.53M
-11.83%-917K
3.50%-3.44M
0.23%-854K
4.69%-853K
Change In working capital
466.27%2.38M
-1.38%-3.17M
-258.96%-3.39M
-920.77%-1.87M
825.00%1.19M
1,458.06%421K
-453.45%-3.13M
-5.48%-943K
-56.41%-183K
87.19%-164K
-Change in payables and accrued expense
446.45%1.27M
-911.28%-1.08M
-39.46%859K
-683.06%-2.48M
388.37%3.57M
-311.24%-366K
-62.22%133K
423.97%1.42M
204.68%425K
861.84%731K
-Change in other current assets
275.98%2.02M
13.97%-2.06M
-65.45%-2.95M
131.73%132K
-110.09%-1.23M
766.13%537K
-183.18%-2.39M
-38.75%-1.78M
-344.71%-416K
44.92%-585K
-Change in other current liabilities
-461.20%-903K
95.98%-35K
-123.49%-1.29M
348.96%478K
-271.61%-1.15M
6,350.00%250K
-1,091.78%-870K
-169.84%-579K
-261.34%-192K
-5.44%-310K
Cash from discontinued investing activities
Operating cash flow
0.32%16.73M
-0.43%12.64M
1.83%61.38M
-7.26%14.29M
15.41%17.72M
10.31%16.68M
-11.83%12.7M
6.98%60.28M
2.77%15.41M
15.85%15.35M
Investing cash flow
Cash flow from continuing investing activities
-83.65%-30.26M
-34.86%-38.54M
0.09%-113.68M
76.57%-13.55M
-149.19%-55.07M
34.96%-16.48M
-236.73%-28.58M
-8.95%-113.77M
-412.16%-57.85M
-97.01%-22.1M
Capital expenditure reported
-91.80%-7.19M
-23.56%-5.11M
-82.93%-18.98M
-104.46%-7.52M
-17.28%-3.58M
-113.33%-3.75M
-118.71%-4.14M
-43.73%-10.38M
-37.19%-3.68M
-107.06%-3.05M
Net other investing changes
-84.62%475K
259.63%870K
162.68%4.2M
125.18%870K
145.14%790K
511.73%3.09M
27.33%-545K
35.35%-6.71M
---3.46M
-294.14%-1.75M
Cash from discontinued investing activities
Investing cash flow
-83.65%-30.26M
-34.86%-38.54M
0.09%-113.68M
76.57%-13.55M
-149.19%-55.07M
34.96%-16.48M
-236.73%-28.58M
-8.95%-113.77M
-412.16%-57.85M
-97.01%-22.1M
Financing cash flow
Cash flow from continuing financing activities
910.09%9.32M
210.66%26.21M
-28.45%44.86M
-102.03%-1.04M
399.59%38.61M
-110.58%-1.15M
219.12%8.44M
30.46%62.69M
1,847.15%51.17M
248.87%7.73M
Net issuance payments of debt
412.36%15.21M
225.60%38.97M
-43.24%49.87M
-95.42%1.97M
73.79%32.97M
-86.49%2.97M
202.22%11.97M
63.04%87.87M
438.38%42.97M
1,945.43%18.97M
Net common stock issuance
-20.36%6.95M
-93.43%540K
115.30%44.23M
-53.92%9.47M
--17.82M
--8.73M
--8.22M
-46.54%20.54M
2,054,300.00%20.54M
--0
Cash dividends paid
-8.02%-12.79M
-8.91%-12.68M
-8.03%-48.06M
-10.14%-12.43M
-8.47%-12.14M
-7.29%-11.84M
-6.17%-11.65M
-4.90%-44.49M
-3.82%-11.28M
-4.12%-11.2M
Net other financing activities
94.53%-55K
-514.00%-614K
3.72%-1.19M
95.73%-45K
16.67%-40K
-1,603.39%-1.01M
-35.14%-100K
33.62%-1.24M
-2,353.49%-1.06M
-11.63%-48K
Cash from discontinued financing activities
Financing cash flow
910.09%9.32M
210.66%26.21M
-28.45%44.86M
-102.03%-1.04M
399.59%38.61M
-110.58%-1.15M
219.12%8.44M
30.46%62.69M
1,847.15%51.17M
248.87%7.73M
Net cash flow
Beginning cash position
6.94%4.95M
-61.61%4.63M
320.93%12.07M
47.78%4.93M
55.89%3.68M
172.22%4.63M
320.93%12.07M
-0.86%2.87M
59.18%3.34M
-55.12%2.36M
Current changes in cash
-343.84%-4.21M
104.21%313K
-180.81%-7.44M
-103.44%-300K
28.27%1.26M
-244.01%-949K
-537.24%-7.44M
36,904.00%9.2M
1,033.77%8.73M
131.04%980K
End cash Position
-80.03%734K
6.94%4.95M
-61.61%4.63M
-61.61%4.63M
47.78%4.93M
55.89%3.68M
172.22%4.63M
320.93%12.07M
320.93%12.07M
59.18%3.34M
Free cash flow
-26.19%9.54M
-12.03%7.53M
-15.03%42.4M
-42.28%6.77M
14.95%14.14M
-3.23%12.93M
-31.57%8.56M
1.58%49.9M
-4.73%11.73M
4.44%12.3M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 0.32%16.73M-0.43%12.64M1.83%61.38M-7.26%14.29M15.41%17.72M10.31%16.68M-11.83%12.7M6.98%60.28M2.77%15.41M15.85%15.35M
Net income from continuing operations -258.54%-10.43M152.95%3.67M-64.97%7.71M-12.81%4.57M-38.45%3.49M17.78%6.58M-225.31%-6.92M-2.10%22.02M-14.31%5.24M5.96%5.67M
Depreciation and amortization 15.82%10.96M12.88%10.48M21.83%40.44M22.16%10.44M37.11%11.26M14.28%9.46M13.79%9.28M6.30%33.19M6.35%8.54M2.46%8.21M
Deferred tax --0--0646.34%306K--0952.38%221K212.50%50K305.88%35K-75.45%41K-66.67%21K-53.33%21K
Other non cash items 113.37%204K17.67%-755K-9.12%-3.76M-2.11%-872K48.07%-443K-66.41%-1.53M-11.83%-917K3.50%-3.44M0.23%-854K4.69%-853K
Change In working capital 466.27%2.38M-1.38%-3.17M-258.96%-3.39M-920.77%-1.87M825.00%1.19M1,458.06%421K-453.45%-3.13M-5.48%-943K-56.41%-183K87.19%-164K
-Change in payables and accrued expense 446.45%1.27M-911.28%-1.08M-39.46%859K-683.06%-2.48M388.37%3.57M-311.24%-366K-62.22%133K423.97%1.42M204.68%425K861.84%731K
-Change in other current assets 275.98%2.02M13.97%-2.06M-65.45%-2.95M131.73%132K-110.09%-1.23M766.13%537K-183.18%-2.39M-38.75%-1.78M-344.71%-416K44.92%-585K
-Change in other current liabilities -461.20%-903K95.98%-35K-123.49%-1.29M348.96%478K-271.61%-1.15M6,350.00%250K-1,091.78%-870K-169.84%-579K-261.34%-192K-5.44%-310K
Cash from discontinued investing activities
Operating cash flow 0.32%16.73M-0.43%12.64M1.83%61.38M-7.26%14.29M15.41%17.72M10.31%16.68M-11.83%12.7M6.98%60.28M2.77%15.41M15.85%15.35M
Investing cash flow
Cash flow from continuing investing activities -83.65%-30.26M-34.86%-38.54M0.09%-113.68M76.57%-13.55M-149.19%-55.07M34.96%-16.48M-236.73%-28.58M-8.95%-113.77M-412.16%-57.85M-97.01%-22.1M
Capital expenditure reported -91.80%-7.19M-23.56%-5.11M-82.93%-18.98M-104.46%-7.52M-17.28%-3.58M-113.33%-3.75M-118.71%-4.14M-43.73%-10.38M-37.19%-3.68M-107.06%-3.05M
Net other investing changes -84.62%475K259.63%870K162.68%4.2M125.18%870K145.14%790K511.73%3.09M27.33%-545K35.35%-6.71M---3.46M-294.14%-1.75M
Cash from discontinued investing activities
Investing cash flow -83.65%-30.26M-34.86%-38.54M0.09%-113.68M76.57%-13.55M-149.19%-55.07M34.96%-16.48M-236.73%-28.58M-8.95%-113.77M-412.16%-57.85M-97.01%-22.1M
Financing cash flow
Cash flow from continuing financing activities 910.09%9.32M210.66%26.21M-28.45%44.86M-102.03%-1.04M399.59%38.61M-110.58%-1.15M219.12%8.44M30.46%62.69M1,847.15%51.17M248.87%7.73M
Net issuance payments of debt 412.36%15.21M225.60%38.97M-43.24%49.87M-95.42%1.97M73.79%32.97M-86.49%2.97M202.22%11.97M63.04%87.87M438.38%42.97M1,945.43%18.97M
Net common stock issuance -20.36%6.95M-93.43%540K115.30%44.23M-53.92%9.47M--17.82M--8.73M--8.22M-46.54%20.54M2,054,300.00%20.54M--0
Cash dividends paid -8.02%-12.79M-8.91%-12.68M-8.03%-48.06M-10.14%-12.43M-8.47%-12.14M-7.29%-11.84M-6.17%-11.65M-4.90%-44.49M-3.82%-11.28M-4.12%-11.2M
Net other financing activities 94.53%-55K-514.00%-614K3.72%-1.19M95.73%-45K16.67%-40K-1,603.39%-1.01M-35.14%-100K33.62%-1.24M-2,353.49%-1.06M-11.63%-48K
Cash from discontinued financing activities
Financing cash flow 910.09%9.32M210.66%26.21M-28.45%44.86M-102.03%-1.04M399.59%38.61M-110.58%-1.15M219.12%8.44M30.46%62.69M1,847.15%51.17M248.87%7.73M
Net cash flow
Beginning cash position 6.94%4.95M-61.61%4.63M320.93%12.07M47.78%4.93M55.89%3.68M172.22%4.63M320.93%12.07M-0.86%2.87M59.18%3.34M-55.12%2.36M
Current changes in cash -343.84%-4.21M104.21%313K-180.81%-7.44M-103.44%-300K28.27%1.26M-244.01%-949K-537.24%-7.44M36,904.00%9.2M1,033.77%8.73M131.04%980K
End cash Position -80.03%734K6.94%4.95M-61.61%4.63M-61.61%4.63M47.78%4.93M55.89%3.68M172.22%4.63M320.93%12.07M320.93%12.07M59.18%3.34M
Free cash flow -26.19%9.54M-12.03%7.53M-15.03%42.4M-42.28%6.77M14.95%14.14M-3.23%12.93M-31.57%8.56M1.58%49.9M-4.73%11.73M4.44%12.3M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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