
Epr Properties (EPR) Stock
Real estate trust owning experiential cinemas and education facilities. Here's the price, business snapshot, and what's worth knowing about Epr Properties in June 2026.
EPR Properties (ticker: EPR) is a US-based real estate investment trust (REIT) that specialises in experiential properties — cinemas, education facilities, recreation and entertainment venues, and other leisure assets. The company owns a diversified portfolio of properties leased to operators under long-term agreements, sometimes with percentage rent or step-up features. With a market capitalisation around $4.15 billion, EPR offers exposure to consumer-facing venues that can benefit from discretionary spending and reopening trends, but performance is closely tied to footfall and tenant health. Key considerations include lease structure, tenant concentration, interest-rate sensitivity and leverage. Management pursues active portfolio management, including selective acquisitions and dispositions, to enhance returns. Dividends have been a focus, yet distributions and share prices can fluctuate. This information is for general educational purposes only and is not personal investment advice; consult a financial adviser to assess suitability.
Stock Performance Snapshot
Analyst Rating
Analysts suggest holding EPR Properties' stock with a target price of $56.89, indicating limited growth.
Financial Health
EPR Properties is performing well with strong revenue and cash flow, indicating good financial health.
Dividend
EPR Properties offers a strong dividend yield of 6.03%, making it appealing for dividend-seeking investors. If you invested $1000, you would be paid $56.30 a year in dividends (based on the last 12 months).
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Published: 14 July 2025
Explore BasketWhy You’ll Want to Watch This Stock
Experiential real estate
Focuses on cinemas, recreation and leisure venues that can benefit from consumer spending, though performance varies with economic cycles and attendance trends.
Income and yield
Aims to provide dividend income from leased assets; distributions depend on rental collections, portfolio performance and macro conditions.
Lease concentration risks
Some exposure is concentrated with specific operators and discretionary sectors; tenant distress or leverage can materially affect returns.
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