Target Healthcare REIT Plc Logo

Target Healthcare REIT Plc (37Z)

FSX

Currency in EUR
1.24
+0.01 (+0.81%)

Closed

Oct 7, 2026

Day's Range

1.24
1.24

52 wk Range

1.10
1.46

Financial Statements - 37Z - Target Healthcare REIT Plc

Revenue

0

Net Income

-115.81M▲ 37.6%

EBITDA

-107.57M▲ 43.4%

Free Cash Flow

-93.74M▲ 19.9%

Income Statement

Period Ending2024-12-312023-12-312022-12-312021-12-312020-12-312019-12-31
Sales000000
Cost of Goods------
Gross Profit------
ExpandOperating Expense
------
Operating Income-118.76M-196.05M-322.42M-271.47M-157.05M-91.41M
ExpandNon-Operating Interest
------
Other Income Expense-3.50M8K-1.19M1.23M-736K-155K
Pre Tax Income-115.81M-185.70M-319.95M-269.86M-153.48M-85.37M
Income Tax-----0
Net Income-115.81M-185.70M-319.95M-269.86M-153.48M-85.37M
EPS Basic-1.3-2.14-5.06-5.01-3.1-1.89
EPS Diluted-1.3-2.14-5.06-5.01-3.1-1.89
Basic Shares Outstanding88.79M94.64M64.97M55.27M50.81M46.40M
Diluted Shares Outstanding88.79M94.64M64.97M55.27M50.81M46.40M
Ebit-118.76M-196.05M-322.42M-271.47M-157.05M-91.41M
Ebitda-107.57M-189.91M-315.35M-269.16M-155.51M-89.91M
Net Income Continuous Operations-115.81M-185.70M-319.95M-269.86M-153.48M-85.37M
Minority Interests------
Preferred Stock Dividends------

The information on this page is provided for general informational purposes only and is not investment advice.

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