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LTC Properties, Inc. LTP.F · Stock Open LTC Properties, Inc. in new tab

37.54 EUR
P/E
15.54
EPS
2.41
Yield
5.71%
P/B
2.21
ROE
11.81
Beta
0.58
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Key Metrics
P/E15.54
EPS2.41
Book Value16.90
Price to Book2.21
Debt/Equity85.30
% Insiders2.094%
Growth
Revenue Growth-0.19%
Earnings Growth-0.54%
Estimates
Forward P/E22.42
Forward EPS1.67
Dividend
Dividend Yield5.71%
Annual dividends2.00 EUR
Ex-Div. DateSept. 22, 2026
Payout81.43%
5y avg Yield6.47%

DCF Valuation

Tweak assumptions to recompute fair value for LTC Properties, Inc. (LTP.F)
Currency: EUR
DCF Assumptions
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Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

LTC Properties, Inc. Logo LTC Properties, Inc. Analysis (LTP.F)

United States Real Estate Official Website Stock

Is LTC Properties, Inc. a good investment? LTC Properties, Inc. (LTP.F) is currently trading at 37.54 EUR.

In terms of valuation, the stock trades at a P/E ratio of 15.54. This valuation is generally in line with the broader market.

For income investors, LTC Properties, Inc. pays a dividend yield of 5.71%. With a payout ratio of 81%, the dividend appears to be under pressure.

Investor FAQ

Does LTC Properties, Inc. pay a dividend?

Yes, it pays an annual dividend of 2.00 EUR (5.71% yield).

What asset class is LTC Properties, Inc.?

LTC Properties, Inc. is classified as a Stock. You can compare it against 2 other assets in the "Related Symbols" list on this page.

Company Profile

LTC Properties, Inc. is a real estate investment trust focused on seniors housing and health care properties, principally investing through SHOP, triple-net leases, joint ventures, and structured finance solutions. The Company's portfolio includes nearly 190 properties throughout the United States. Based on gross real estate investments, 70 percent of the Company's assets are seniors housing communities with the remainder skilled nursing centers. LTC Properties, Inc. was established in 1992 and was incorporated in Maryland.

Exchange Ticker
NYQ (United States) LTC
FRA (Germany) LTP.F
Trades
Dividend Yield
5.71%
5y avg 6.47%
Annual Dividends
2.00EUR
Next Ex. Div Date
Sept. 22, 2026
Payout Ratio
81.43%
Dividend History paid per year (EUR)
Historical Dividends
Year Total Dividends
2027
1.31 EUR
Aug. 23, 2027 (estimated) 0.1625
July 19, 2027 (estimated) 0.1665
June 21, 2027 (estimated) 0.1657
May 24, 2027 (estimated) 0.1632
April 19, 2027 (estimated) 0.1632
March 22, 2027 (estimated) 0.1632
Feb. 17, 2027 (estimated) 0.1632
Jan. 22, 2027 (estimated) 0.1632
2026
1.97 EUR
Dec. 21, 2026 (estimated) 0.1632
Nov. 18, 2026 (estimated) 0.1632
Oct. 20, 2026 (estimated) 0.1632
Sept. 22, 2026 0.1656
Aug. 21, 2026 0.1625
July 23, 2026 0.1665
June 22, 2026 0.1657
May 21, 2026 0.1632
April 22, 2026 0.1632
March 23, 2026 0.1632
Feb. 20, 2026 0.1632
Jan. 22, 2026 0.1632
2025
1.96 EUR
Dec. 23, 2025 0.1632
Nov. 20, 2025 0.1632
Oct. 23, 2025 0.1632
Sept. 22, 2025 0.1632
Aug. 21, 2025 0.1632
July 23, 2025 0.1632
June 20, 2025 0.1632
May 22, 2025 0.1632
April 22, 2025 0.1632
March 21, 2025 0.1632
Feb. 20, 2025 0.1632
Jan. 23, 2025 0.1632
2024
1.96 EUR
Dec. 23, 2024 0.1632
Nov. 21, 2024 0.1632
Oct. 23, 2024 0.1632
Sept. 20, 2024 0.1632
Aug. 22, 2024 0.1632
July 23, 2024 0.1632
June 20, 2024 0.1632
May 22, 2024 0.1632
April 19, 2024 0.1632
March 20, 2024 0.1632
Feb. 20, 2024 0.1632
Jan. 22, 2024 0.1632
2023
1.96 EUR
Dec. 20, 2023 0.1632
Nov. 21, 2023 0.1632
Oct. 20, 2023 0.1632
Sept. 20, 2023 0.1632
Aug. 22, 2023 0.1632
July 20, 2023 0.1632
June 21, 2023 0.1632
May 22, 2023 0.1632
April 19, 2023 0.1632
March 22, 2023 0.1632
Feb. 16, 2023 0.1632
Jan. 20, 2023 0.1632
2022
1.96 EUR
Dec. 21, 2022 0.1632
Nov. 21, 2022 0.1632
Oct. 20, 2022 0.1632
Sept. 21, 2022 0.1632
Aug. 22, 2022 0.1632
July 20, 2022 0.1632
June 21, 2022 0.1632
May 20, 2022 0.1632
April 20, 2022 0.1632
March 22, 2022 0.1632
Feb. 17, 2022 0.1632
Jan. 20, 2022 0.1632
2021
1.96 EUR
Dec. 22, 2021 0.1632
Nov. 18, 2021 0.1632
Oct. 20, 2021 0.1632
Sept. 21, 2021 0.1632
Aug. 20, 2021 0.1632
July 21, 2021 0.1632
June 21, 2021 0.1632
May 19, 2021 0.1632
April 21, 2021 0.1632
March 22, 2021 0.1632
Feb. 17, 2021 0.1632
Jan. 20, 2021 0.1632
2020
1.96 EUR
Dec. 22, 2020 0.1632
Nov. 19, 2020 0.1632
Oct. 21, 2020 0.1632
Sept. 21, 2020 0.1632
Aug. 20, 2020 0.1632
July 22, 2020 0.1632
June 19, 2020 0.1632
May 20, 2020 0.1632
April 21, 2020 0.1632
March 20, 2020 0.1632
Feb. 19, 2020 0.1632
Jan. 22, 2020 0.1632
2019
1.96 EUR
Dec. 20, 2019 0.1632
Nov. 20, 2019 0.1632
Oct. 22, 2019 0.1632
Sept. 19, 2019 0.1632
Aug. 21, 2019 0.1632
July 22, 2019 0.1632
June 19, 2019 0.1632
May 22, 2019 0.1632
April 18, 2019 0.1632
March 20, 2019 0.1632
Feb. 19, 2019 0.1632
Jan. 22, 2019 0.1632
2018
1.96 EUR
Dec. 20, 2018 0.1632
Nov. 20, 2018 0.1632
Oct. 22, 2018 0.1632
Sept. 19, 2018 0.1632
Aug. 22, 2018 0.1632
July 20, 2018 0.1632
June 20, 2018 0.1632
May 22, 2018 0.1632
April 19, 2018 0.1632
March 21, 2018 0.1632
Feb. 16, 2018 0.1632
Jan. 22, 2018 0.1632
2017
1.47 EUR
Dec. 20, 2017 0.1632
Nov. 21, 2017 0.1632
Oct. 20, 2017 0.1632
Sept. 19, 2017 0.1632
Aug. 21, 2017 0.1632
July 19, 2017 0.1632
March 21, 2017 0.1632
Feb. 15, 2017 0.1632
Jan. 19, 2017 0.1632
2016
1.09 EUR
Oct. 19, 2016 0.1632
Sept. 20, 2016 0.1546
Aug. 19, 2016 0.1546
July 19, 2016 0.1546
March 21, 2016 0.1546
Feb. 17, 2016 0.1546
Jan. 19, 2016 0.1546
2015
1.78 EUR
Dec. 21, 2015 0.1546
Nov. 18, 2015 0.1546
Oct. 20, 2015 0.1546
Sept. 18, 2015 0.1460
Aug. 19, 2015 0.1460
July 21, 2015 0.1460
June 18, 2015 0.1460
May 19, 2015 0.1460
April 20, 2015 0.1460
March 19, 2015 0.1460
Feb. 17, 2015 0.1460
Jan. 20, 2015 0.1460
2014
1.75 EUR
Dec. 19, 2014 0.1460
Nov. 18, 2014 0.1460
Oct. 21, 2014 0.1460
Sept. 18, 2014 0.1460
Aug. 19, 2014 0.1460
July 21, 2014 0.1460
June 18, 2014 0.1460
May 20, 2014 0.1460
April 17, 2014 0.1460
March 19, 2014 0.1460
Feb. 18, 2014 0.1460
Jan. 21, 2014 0.1460
2013
1.77 EUR
Dec. 19, 2013 0.1460
Nov. 19, 2013 0.1460
Oct. 21, 2013 0.1460
Sept. 18, 2013 0.1331
Aug. 20, 2013 0.1331
July 19, 2013 0.1331
June 18, 2013 0.1331
May 21, 2013 0.1331
April 18, 2013 0.1331
March 18, 2013 0.1331
Feb. 26, 2013 0.1331
Feb. 15, 2013 0.1331
Jan. 18, 2013 0.1331
2012
1.54 EUR
Dec. 19, 2012 0.1331
Nov. 19, 2012 0.1331
Oct. 19, 2012 0.1331
Sept. 18, 2012 0.1331
Aug. 21, 2012 0.1331
July 19, 2012 0.1245
June 19, 2012 0.1245
May 21, 2012 0.1245
April 18, 2012 0.1245
March 20, 2012 0.1245
Feb. 16, 2012 0.1245
Jan. 19, 2012 0.1245
2011
1.44 EUR
Dec. 20, 2011 0.1202
Nov. 18, 2011 0.1202
Oct. 19, 2011 0.1202
Sept. 20, 2011 0.1202
Aug. 19, 2011 0.1202
July 19, 2011 0.1202
June 20, 2011 0.1202
May 19, 2011 0.1202
April 19, 2011 0.1202
March 21, 2011 0.1202
Feb. 16, 2011 0.1202
Jan. 19, 2011 0.1202
2010
0.58 EUR
Dec. 21, 2010 0.1202
Nov. 18, 2010 0.1202
Oct. 19, 2010 0.1116
Sept. 20, 2010 0.1116
Aug. 19, 2010 0.1116
Upcoming Dividends
Name Payment Date Status Amount
LTC Properties, Inc. Sep 22, 2026 0.16562 EUR
LTC Properties, Inc. Aug 21, 2026 0.16251 EUR
LTC Properties, Inc. Jul 23, 2026 0.16646 EUR
LTC Properties, Inc. Jun 22, 2026 0.16568 EUR
LTC Properties, Inc. May 21, 2026 0.163172 EUR
LTC Properties, Inc. Apr 22, 2026 0.163172 EUR
LTC Properties, Inc. Mar 23, 2026 0.163172 EUR
LTC Properties, Inc. Feb 20, 2026 0.163172 EUR
LTC Properties, Inc. Jan 22, 2026 0.163172 EUR
LTC Properties, Inc. Dec 23, 2025 0.163172 EUR
LTC Properties, Inc. Nov 20, 2025 0.163172 EUR
LTC Properties, Inc. Oct 23, 2025 0.163172 EUR
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