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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

Comment by GreenUnicornzon Nov 18, 2023 6:32pm
75 Views
Post# 35742876

RE:RE:RE:Strong bullish signal

RE:RE:RE:Strong bullish signalDartmam...I entirely appreciate your perspective...I'm continuing to see how things shake out post Q3 before I place my vote...however, how do you know financing will be non-dilutive?  When has she said it will only be a loan?  Is this in personal conversations with her or was this mentioned in an NR or at the investor day?  I get the motivation for consolidations is for uplist / SP purpose and for attracting instituational investors.  However, Tuatara is right in that we bear increased risk if she or the board decide an opportunity is too good to pass up post-consolidation and they decide to do a dilutive raise.  We supposed to believe what Karen says here?  Is there not risk she goes back on her word if the board pushed her towards a dilutive raise for a growth opportunity that arises in future?  Why can't they just let the market and time let this SP rise with good news around profitability and potenitially further deals and then consider consolidation at a reduced level.  For example, let the SP get to $1 and then do a 5:1 consolidation to get the SP to $5 for institutional buyers and uplist?  Reduces shares to around 60M which is very reasonable clean-up for tutes but reserves some liquidity for the shares and allows for uplist to senior exchanges.  Is there some need to do this in rapid fashion here while our SP is bottomed out prior to macros shifting back in our favour?  The 30:1 split is I think what is concerning me that they want to do this now while at 13 cents.  I welcome your and Tuatara's thoughts and opinion on this.  
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