NYSE : MPW

Medical Properties Trust, Inc. — Institutional Ownership

$5.36 USD

$0.08 (1.52%)

Volume
4.73M
Average Volume
7.13M
Market Capitalization
$3.22B
P/E Ratio
974.55
Dividend Yield
6.53%
Price Target
$8.00
Year High
$6.34
Year Low
$3.95
Day High
Day Low
Payout Ratio
$4.06
Current Ratio
$11.91
Institutional Ownership Summary
Institutional Ownership %

%

Investors Holding

change: 0.0 | last:
Increased Positions

change: 0.0 | last:
Reduced Positions

change: 0.0 | last:
New Positions

change: 0.0 | last:
Sold Positions

change: 0.0 | last:
Total Calls

-

Total Puts

-

Put-Call Ratio

change: 0.0 | last:
Total Invested

-

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-04-29 Vanguard Portfolio Management 43.15M 7.21%
2026-03-27 The Vanguard Group - 0.00%
2026-01-06 He Zhengxu 41.66M 6.90%
2025-11-10 STATE STREET CORPORATION 26.96M 4.50%
2025-10-17 BlackRock, Inc. 69.02M 11.50%
2025-07-29 The Vanguard Group 70.71M 11.76%
2025-07-17 BlackRock, Inc. 78.64M 13.10%
2025-04-30 The Vanguard Group 76.95M 12.81%
2025-02-06 He Zhengxu 42.48M 7.10%
2024-10-24 Zhengxu He 34.17M 5.69%
2024-10-24 ZHENGXU HE 34.17M 5.69%
2024-10-24 ZHENGXU HE 34.17M 5.69%
2024-10-24 Zhengxu He 34.17M 5.69%
2023-01-20 (1) BlackRock, Inc. 73.41M 12.30%
2022-02-14 Cohen & Steers, Inc. 14-1904657 3232.0 0.00%
2022-02-14 Cohen & Steers Ireland Limited - 0.00%
2022-02-14 Cohen & Steers Asia Limited - 0.00%
2022-02-14 Cohen & Steers UK Limited - 0.00%
2022-02-14 Cohen & Steers Capital Management, Inc.     13-3353336 3232.0 0.00%
2022-02-11 STATE STREET CORPORATION 32.36M 5.43%
2022-02-10 The Vanguard Group - 23-1945930 86.55M 14.51%
2022-02-10 The Vanguard Group - 23-1945930 86.55M 14.51%
2022-02-04 Wellington Investment Advisors Holdings LLP 29.17M 4.89%
2022-02-04 Wellington Management Group LLP 29.17M 4.89%
2022-02-04 Wellington Group Holdings LLP 29.17M 4.89%
2022-02-04 Wellington Group Holdings LLP 29.17M 4.89%
2022-02-04 Wellington Investment Advisors Holdings LLP 29.17M 4.89%
2022-02-04 Wellington Management Group LLP 29.17M 4.89%
2022-01-28 (1) BlackRock, Inc. 82.22M 13.80%
2021-02-16 13-3353336 31.29M 5.84%
2021-02-16 Cohen & Steers UK Limited 626.8K 0.12%
2021-02-16 Cohen & Steers UK Limited 626.8K 0.12%
2021-02-10 The Vanguard Group - 23-1945930 74.11M 13.83%
2021-02-04 Wellington Investment Advisors Holdings LLP 32.16M 6.00%
2021-02-04 Wellington Group Holdings LLP 32.16M 6.00%
2021-02-04 Wellington Group Holdings LLP 32.16M 6.00%
2021-02-04 Wellington Management Group LLP 32.16M 6.00%
2021-02-04 Wellington Investment Advisors Holdings LLP 32.16M 6.00%
2021-02-04 Wellington Management Group LLP 32.16M 6.00%
2021-01-27 (1) BlackRock, Inc. 62.69M 11.70%
2020-02-14 13-3353336 31.46M 6.08%
2020-02-14 Cohen & Steers UK Limited 640.32K 0.12%
2020-02-14 Cohen & Steers UK Limited 640.32K 0.12%
2020-02-14 04-2747644 11.6M 2.20%
2020-02-14 04-2747644 11.6M 2.20%
2020-02-11 The Vanguard Group - 23-1945930 79.03M 15.27%
2020-02-04 (1) BlackRock, Inc. 63.33M 12.20%
2019-02-13 04-2747644 19.53M 5.40%
2019-02-13 04-2747644 19.53M 5.40%
2019-01-31 (1) BlackRock, Inc. 42.91M 11.60%
2018-02-09 04-2747644 21.96M 6.00%
2018-02-09 04-2747644 21.96M 6.00%
2018-01-19 (1) BlackRock, Inc. 39.6M 10.90%
2017-02-07 Massachusetts Financial Services Company ("MFS") 17.94M 5.60%
2017-01-12 (1) BlackRock, Inc. 37.81M 11.80%
2016-01-08 (1) BlackRock, Inc. 26.88M 11.30%
2015-04-10 (1) BlackRock, Inc. 21.26M 10.20%
2015-01-15 (1) BlackRock, Inc. 17.18M 9.90%
2014-01-10 (1) BlackRock, Inc. 17.47M 10.80%
2013-04-10 (1) BlackRock, Inc. 15.37M 10.38%
2013-02-01 (1) BlackRock, Inc. 11.88M 8.76%
2012-02-10 (1) BlackRock, Inc. 9.37M 8.39%
2011-02-07 (1) BlackRock, Inc. 9.5M 8.54%
2010-02-04 THE VANGUARD GROUP, INC. - 23-1945930 7.56M 9.43%
2010-01-29 BlackRock for purposes of Schedule 13G filings. 6.68M 8.33%
2010-01-19 Inland American Real Estate Trust, Inc. 3.14M 3.90%
2008-02-08 Nomura Asset Management Co. Ltd. 2.8M 5.60%
2007-08-20 Nos. of Above Persons ( 2.55M 5.10%
2007-02-14 04-2683227 - 0.00%
2007-02-13 Jeffrey L. Feinberg (1) - 0.00%
2007-02-13 JLF Asset Management, L.L.C. (2) - 0.00%
2006-02-14 04-2683227 3.65M 9.13%
2006-02-09 JLF Asset Management, L.L.C. (2) 2.6M 6.51%
2006-02-09 Jeffrey L. Feinberg (1) 2.6M 6.51%
2006-01-10 54-1873198 1.89M 4.72%
2005-09-13 54-1873198 2.84M 7.11%
2005-08-24 13-3521699 1.87M 4.70%
2005-08-24 Israel A. Englander 1.87M 4.70%
2005-08-24 13-3532932 1.87M 4.70%
2005-08-24 13-3804139 1.87M 4.70%
2005-07-25 Jeffrey L. Feinberg(1) 2.4M 6.40%
2005-07-25 13-3532932 700K 1.90%
2005-07-25 13-3521699 1.5M 4.00%
2005-07-25 Israel A. Englander 2.2M 5.80%
2005-07-25 13-3804139 2.2M 5.80%
2005-07-25 JLF Asset Management, L.L.C.(2) 2.4M 6.40%
MPW Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $5.00 600.89M $3B $540.86M $128.3M $2.59B
2024-12-31 $3.95 600.32M $2.37B $332.34M $8.98B $11.02B
2023-12-31 $4.91 598.52M $2.94B $250.02M $10.22B $12.91B
2022-12-31 $11.14 598.63M $6.67B $235.67M $10.41B $16.85B
2021-12-31 $23.63 588.82M $13.91B $459.23M $11.37B $24.83B
2020-12-31 $21.79 529.24M $11.53B $549.88M $9.01B $19.99B
2019-12-31 $21.11 427.08M $9.02B $1.46B $7.11B $14.66B
2018-12-31 $16.08 365.36M $5.88B $820.87M $4.06B $9.12B
2017-12-31 $13.78 349.9M $4.82B $171.47M $4.96B $9.61B
2016-12-31 $12.30 260.41M $3.2B $83.24M $2.94B $6.06B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-06-30 $5.50 597.96M $3.29B $396.56M $95.7M $2.99B
2026-03-31 $5.50 597.72M $3.29B $425M $102.51M $2.96B
2025-12-31 $5.00 600.97M $3B $540.86M $128.3M $2.59B
2025-09-30 $5.07 600.87M $3.05B $396.58M $9.76B $12.41B
2025-06-30 $4.31 600.73M $2.59B $509.83M $9.8B $11.88B
2025-03-31 $6.03 600.59M $3.62B $673.48M $9.62B $12.56B
2024-12-31 $3.95 600.4M $2.37B $332.34M $8.98B $11.02B
2024-09-30 $5.85 600.23M $3.51B $275.62M $9.35B $12.59B
2024-06-30 $4.09 600.06M $2.45B $606.55M $9.53B $11.38B
2024-03-31 $4.51 600.3M $2.71B $224.34M $10.26B $12.75B
2023-12-31 $4.91 598.98M $2.94B $250.02M $10.22B $12.91B
2023-09-30 $5.45 598.44M $3.26B $340.06M $10.16B $13.08B