EPR Properties is rated Buy, reflecting a post-COVID growth acceleration and a 6%+ dividend yield. EPR is shifting its portfolio away from theaters and education, targeting pure-play experiential assets for improved growth and valuation. Q1 results showed AFFO/share up 6.6% y/y, with 2024 FFOAA/share guidance implying 6.5% growth and increased investment activity.
The new Quant Growth & Income Portfolio targets both capital appreciation and dividend yield. QG&I's diversified holdings include Exxon (XOM), EPR Properties (EPR), and Hanover Insurance Group (THG), each selected for strong value, growth, profitability, momentum, and EPS revisions.
EPR Properties (EPR) Presents at Nareit REITweek: 2026 Investor Conference Transcript
| Specialty Retail Industry | Consumer Discretionary Sector | Gregory K. Silvers CEO | XOSL Exchange | US26884U1097 ISIN |
| US Country | 55 Employees | 29 May 2026 Last Dividend | - Last Split | 18 Nov 1997 IPO Date |
EPR Properties (NYSE: EPR) stands out as a leading diversified experiential net lease real estate investment trust (REIT), eminent in the real estate industry for concentrating on select enduring experiential properties. With a portfolio spread across 44 states, valued at approximately $5.7 billion after accounting for accumulated depreciation of around $1.4 billion, EPR Properties aims to create value through real estate venues that enable out-of-home leisure and recreation experiences. By focusing on venues where consumers willingly invest their discretionary time and money, EPR Properties positions itself uniquely within the market. Their rigorous underwriting and investment criteria, anchored in industry, property, and tenant level cash flow standards, underlines a commitment to generating stable and attractive returns, providing them with a competitive edge in the sector.
EPR Properties specializes in investments that facilitate leisure and recreation experiences, highlighting its focus on properties that enable out-of-home consumer activities. Below are the primary categories of investments that define their portfolio: