Realty Income Corp.

Realty Income Corp.

Realty Income Corp.

Overview
Date Founded

1969

Headquarters

11995 El Camino Real, San Diego, CA, 92130, USA

Type of Company

Public

Employees (Worldwide)

152

Industries

Real Estate
Real Estate Investment Trusts

Company Description

Realty Income is a 44-year old, publicly traded real estate company dedicated to paying monthly dividends to its shareholders. The revenue to pay these dividends is generated from over 3,500 commercial properties in 49 states that we own under long-term leases, primarily with large commercial enterprises that operate multiple locations. Our shares are listed under the ticker symbol "O" on the New York Stock Exchange.

Contact Data
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Executives & Employees

Chief Executive Officer

Senior Vice President, Associate General Counsel & Assistant Secretary

President

Executive Vice President, Chief Financial Officer & Treasurer

Executive Vice President & Chief Investment Officer

Executive Vice President, General Counsel & Secretary

Chief Strategy Officer & Executive Vice President

Senior Vice President & Controller

Director Research

Director, Lease Administration

Board of Directors

Professional at The Contrarian Group, Inc.

Former Executive Vice President & Head-Commercial Real Estate at Wells Fargo & Co.

Director-Center for Real Estate Studies at Indiana University

Chief Executive Officer at Realty Income Corp.

Former Vice Chairman & Partner at KPMG LLP

President Champions Tour at PGA TOUR, Inc.

Former President & Chief Executive Officer at Marquee Holdings, Inc.

Professor-Emeritus at University of Southern California - Marshall School of Business

Former Dean at Chapman University - The George L. Argyros School of Business & Economics

Advisor at 8 Partners

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Owners & Shareholders
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APG Asset Management US (APG US) provides advisory services with respect to fixed-income instruments, real estate, publicly-traded REITs and other alternative investments structured as private investments. Their strategies include Core Bond Plus and High Yield. Both strategies may utilize derivative transactions, including credit default swaps, for hedging purposes or efficient portfolio management. ^APG US' Core Bond Plus strategy uses macroeconomic analysis, credit analysis and valuation analysis to make investment decisions. Macroeconomic research is used to determine if interest rates and yield spreads provide attractive expected returns in light of an internal assessment of the economic and monetary policy outlook. Credit research is used to measure the health of balance sheets, cash flow and deal structure to assess default risk and event risk. Valuation analysis is used to assess whether potential investments adequately compensate for prepayment risk, credit risk, interest rate volatility and/or changes in market liquidity. Bottom-up issue selection is combined with top-down duration management and sector allocation. APG US invests in an array of fixed-income sectors that convey different risks, thus, diversification of return and alpha sources is an essential element of their investment process. ^APG US' High Yield strategy employs intensive credit analysis, valuation analysis, industry analysis and macroeconomic analysis to make investment decisions. Credit analysts measure the health of issuers' balance sheets, cash flows and deal structures to assess potential default and event risk. Through valuation analysis, portfolio managers assess whether potential investments adequately compensate for credit risk. Diversified portfolios are created by combining bottom-up issue selection with top-down industry allocation. Industry weightings are determined based on internal research and assessment of macroeconomic trends.

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PGGM is an active, long-term manager which invests globally in equities, private equity, fixed-income securities, real estate and commodities.The firm favors equity investments in North American and Europe and in sectors including financial services, raw materials, services and information technology. Their fixed-income portfolios primarily focus on European government bonds, but they also invest in US bonds and investment-grade credits.PGGM's investment process begins with asset allocation and risk budgeting using VAR and RVAR. They then allocate markets, determine the investment style and select either an internal or an external manager.As a socially responsible investor, the firm pays close attention to the corporate governance practices of the companies in which they invest and exercises their shareholder rights by voting at their general meetings.

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Nan Shan is an active manager which utilizes a holistic approach to make investments across a range of instruments including equities, government bonds, corporate bonds, financial bonds, depositary receipts, call (put) warrants, beneficial interest securities, asset-backed securities, real estate and derivatives. Their geographic focus is global.

Recent Transactions
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Realty Income Corp. issued Common Stock

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Realty Income Corp. issued Common Stock

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Realty Income Corp. issued Common Stock

Insider Transactions
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Transaction Advisors
Legal Advisor

Advised onRealty Income Corp. purchases American Realty Capital Trust, Inc.

Auditor

Advised onRealty Income Corp. issued Common Stock

Legal Advisor

Advised onRealty Income Corp. issued Common Stock

Legal Advisor

Advised onRealty Income Corp. purchases American Realty Capital Trust, Inc.

Co-Head of Americas Real Estate Investment Banking

Advised onRealty Income Corp. issued Common Stock

Director

Advised onRealty Income Corp. issued Common Stock

Advisors & Consultants
Legal Advisor

Co-Chair, REIT Industry Group at Latham & Watkins LLP

Real Estate Agent

Managing Director at Newmark Knight Frank

Advisor

Former Chief Executive Officer at Realty Income Corp.

Clients

FedEx Corporation provides customers and businesses worldwide with a broad portfolio of transportation, e-commerce and business services. With annual revenues of $43 billion, the company offers integrated business applications through operating companies competing collectively and managed collaboratively, under the respected FedEx brand. Consistently ranked among the world's most admired and trusted employers, FedEx inspires its more than 300,000 team members to remain "absolutely, positively" focused on safety, the highest ethical and professional standards and the needs of their customers and communities.

CVS Health Corp. engages in the provision of health care services. It operates trough the following segments: Pharmacy Services, Retail or Long Term Care, and Corporate. The Pharmacy Services segment offers pharmacy benefit management solutions. The Retail or Long Term Care segment includes selling of prescription drugs and assortment of general merchandise. The Corporate segment involves in providing management and administrative services. The company was founded by Stanley P. Goldstein and Ralph Hoagland in 1963 and is headquartered in Woonsocket, RI.

Walgreens Boots Alliance, Inc. engages in providing drug store services. The company operates through the following segments: Retail Pharmacy USA, Retail Pharmacy International, and Pharmaceutical Wholesale. The Retail Pharmacy USA segment engages in pharmacy-led health and beauty retail businesses, which sells its products under brand names Walgreens and Duane Reade. The Retail Pharmacy International segment offers retail stores, which sells products of brands No7, Boots Pharmaceuticals, Botanics, Liz Earle, and Soap & Glory. The Pharmaceutical Wholesale segment supplies medicines, other healthcare products and related services to pharmacies, doctors, health centers, and hospitals. The company was founded in December 2014 and is headquartered in Deerfield, IL.

Key Stats and Financials As of 2017
Market Capitalization
$15.6B
Total Enterprise Value
$21.7B
Earnings Per Share
$1.15
Revenue
$1.23B
Net Profit
$319M
Total Debt
$6.12B
Total Equity
$7.39B
EBITDAMargin
89.86%
EBITDA
$1.11B
Three Year Compounded Annual Growth Rate Of Revenue
9.31%
Five Year Compounded Annual Growth Rate Of Revenue
20.93%
Enterprise Value Sales
17.69x
Enterprise Value EBITDAOperating
19.68x
TEVNet Income
68.22x
Debt TEV
0.28x