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Healthpeak Properties Inc V.DOC


Primary Symbol: DOC

Healthpeak Properties, Inc. is a fully integrated real estate investment trust (REIT). The Company acquires, develops, owns, leases, and manages healthcare real estate across the United States. Its strategy is to invest in and manage real estate focused on healthcare discovery and delivery. It has a diversified portfolio of high-quality healthcare properties across three core asset classes of lab, outpatient medical, and continuing care retirement community (CCRC) real estate. The Company’s segments include Lab, Outpatient medical and CCRC. The lab segment properties contain laboratory and office space, are leased primarily to biotechnology, medical device and pharmaceutical companies, scientific research institutions, government agencies, and other organizations involved in the life science industry. The Outpatient Medical segment includes outpatient medical buildings and hospitals. Outpatient medical buildings typically contain physicians’ offices and examination rooms.


NYSE:DOC - Post by User

Post by Arbourmarkon Feb 25, 2021 9:55pm
463 Views
Post# 32668091

Market Correction

Market CorrectionI took this from another board I follow, I know we are all concerned when we see big corrections but the following truly explains days like today.

Nvidia, as an example of how the stock market totally disregards a company's earnings report and potential based on fundamentals going forward, during a panic attack over the rising 10 year US bond yield.. Jim Cramer: The Bond Market Vigilantes Strike What does that mean for stocks? Consider Nvidia. ByJIM CRAMERFeb 25, 2021 | 01:41 PM EST Stocks quotes in this article: NVDA "You are not going to be able to gain any traction on anything when you have the bond market vigilantes striking. Those are the people who say we don't care what the Fed Chief says, we have a booming economy, or one sure to boom, and interest rates have to go higher and everything else? Lower. I talked about this the other day, this is the inflation scare reflation trade where people take risk off. Or, in English, when rates shoot higher quickly, they left a vast swath of destruction in their wake. When I see days like this I say to myself, where are rates in absolute terms - a heck of a lot higher than they were a few weeks ago, and where are they relative to where they have been all my trading life: incredibly low, that's where. So what does that mean for stocks? Let's take Nvidia (NVDA) . This company reported one of the finest quarters of the year and it is doing so with proprietary chips for everything from gaming to artificial intelligence, machine learning and the data center. On a day like today that means absolutely nothing. It means sell. Why? Because it is a stock. But what happens when rates stop going higher? It becomes a different stock - one that is measured against how it has done and what it has done versus others both in the market and in its cohort. The answer? It has crushed them all. So try to project what Nvidia's numbers look like on a day when rates aren't skyrocketing and that's what you should be thinking about because that, and not today, is true north, that's how special this company is." https://realmoney.thestreet.com/jim-cramer/jim-cramer-the-bond-market-vigilantes-strike-15578967?puc=flipboard2&cm_ven=FLIPBOARD2
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