Office Properties Income Trust is a real estate investment trust (REIT). The Company is focused on owning and leasing office and mixed-use properties in select, growth-oriented United States markets. Its primary investment objectives include increasing cash flows from operations from stable and diverse sources. It seeks to acquire properties or portfolios that enhance its overall portfolio composition and produce greater returns than those properties or portfolios it may sell. Its wholly owned properties comprise 152 properties containing approximately 20.5 million rentable square feet. Its properties were leased to over 258 different tenants. Its properties include 445 Jan Davis Drive; 131 Clayton Street; 4344 Carmichael Road; 711 S14th Avenue; Folsom Corporate Center; 100 Redwood Shores Parkway; 100 Redwood Shores Parkway; 7958 South Chester Street; 12795 West Alameda Parkway; 20 Massachusetts Avenue, and others.
Mã chứng khoánOPI
Tên công tyOffice Properties Income Trust
Ngày IPOJun 03, 2009
Giám đốc điều hành- -
Số lượng nhân viên- -
Loại chứng khoánOrdinary Share
Kết thúc năm tài chínhJun 03
Địa chỉ255 Washington St Ste 300
Thành phốNEWTON
Sàn giao dịch chứng khoánNASDAQ Global Select Consolidated
Quốc giaUnited States of America
Mã bưu điện02458-1634
Điện thoại16172191440
Trang webhttps://www.opireit.com
Mã chứng khoánOPI
Ngày IPOJun 03, 2009
Giám đốc điều hành- -
Tổng cộng
384.34M
USD đã được phân phối dưới dạng cổ tức trong 5 năm qua.
OPI.NB Interim Cash Dividend of gross USD 0.01 paid on Feb 20, 2025 going ex on Jan 27, 2025
OPI.NB Final Cash Dividend of gross USD 0.01 paid on Nov 14, 2024 going ex on Oct 28, 2024
OPI.NB Interim Cash Dividend of gross USD 0.01 paid on Aug 15, 2024 going ex on Jul 22, 2024
OPI.NB Interim Cash Dividend of gross USD 0.01 paid on May 16, 2024 going ex on Apr 19, 2024
OPI.NB Interim Cash Dividend of gross USD 0.01 paid on Feb 15, 2024 going ex on Jan 19, 2024
OPI.NB Final Cash Dividend of gross USD 0.25 paid on Nov 16, 2023 going ex on Oct 20, 2023
OPI.NB Interim Cash Dividend of gross USD 0.25 paid on Aug 17, 2023 going ex on Jul 21, 2023
OPI.NB Interim Cash Dividend of gross USD 0.25 paid on May 18, 2023 going ex on Apr 21, 2023
OPI.NB Interim Cash Dividend of gross USD 0.55 paid on Feb 16, 2023 going ex on Jan 20, 2023
OPI.NB Final Cash Dividend of gross USD 0.55 paid on Nov 17, 2022 going ex on Oct 21, 2022
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