Valuation: Service Properties Trust

Market Cap 1.05B 909M 855M 777M 1.46B 101B 1.49B 10.01B 3.91B 50.42B 3.95B 3.87B 168B P/E 2026 *
-1.76x
P/E 2027 * -7.82x
Enterprise Value 1.05B 909M 855M 777M 1.46B 101B 1.49B 10.01B 3.91B 50.42B 3.95B 3.87B 168B EV / Sales 2026 *
0.69x
EV / Sales 2027 * 0.68x
Free-Float
99.21%
Yield 2026 *
2.13%
Yield 2027 * 2.46%
1 day-0.43%
1 week-1.15%
Current month+1.31%
1 month-4.74%
3 months-3.73%
6 months-26.38%
Current year-11.58%
1 week 7.98
Extreme 7.98
8.54
1 month 7.61
Extreme 7.61
8.9
Current year 5.65
Extreme 5.65
12.15
1 year 5.65
Extreme 5.65
15.05
3 years 5.65
Extreme 5.65
43.6
5 years 5.65
Extreme 5.65
61.15
10 years 5.65
Extreme 5.65
163.39
Manager TitleAgeSince
Chief Executive Officer 48 10/03/2025
Director of Finance/CFO 51 01/01/2019
Investor Relations Contact - -
Director TitleAgeSince
Director/Board Member 66 11/01/2007
Chairman 55 01/01/2019
Director/Board Member 74 28/09/2015
Date Insider Type Main position Quantity % Market Cap.
27/2/26 Sell

Director

87,680 0.0522%
15/12/25 Sell

Director

101,180 0.0602%
19/11/25 Sell

Chief Financial Officer

3,500 0.0021%
Change 5-day change 1-year change 3-year change Capi.($)
-0.43%-1.15%-35.69%-81.04% 1.05B
+0.08%-1.42%-19.17%-13.97% 29.02B
+0.66%-1.67%+43.30%+41.53% 15.69B
-0.18%-1.29%-5.08%-8.02% 12.68B
+0.66%+3.87%+31.66%+44.54% 8.57B
-0.44%-0.87%-3.80%+31.41% 4.17B
+1.26%-0.68%+30.44%+8.00% 3.79B
+0.67%+2.51%+36.43%+17.20% 3.05B
+0.62%+0.74%-1.57%+7.09% 3.03B
0.00%-0.58%-2.29%-15.35% 2.58B
Average +0.29%-0.42%+7.42%+3.14% 8.36B
Weighted average by Cap. +0.27%-0.87%+5.89%+7.61%

Financials

2026 *2027 *
Net sales 1.53B 1.32B 1.25B 1.13B 2.13B 147B 2.16B 14.59B 5.7B 73.46B 5.76B 5.63B 244B 1.56B 1.35B 1.27B 1.15B 2.16B 149B 2.2B 14.83B 5.8B 74.65B 5.85B 5.73B 248B
Net income -282M -244M -229M -208M -392M -27B -398M -2.68B -1.05B -13.52B -1.06B -1.04B -44.92B -133M -115M -108M -97.87M -184M -12.68B -187M -1.26B -493M -6.35B -498M -487M -21.1B
Net Debt - -
Logo Service Properties Trust
Service Properties Trust is a real estate investment trust with two asset categories: hotels and service-focused retail net lease properties. The Company’s segments include hotel investments and net lease investments. Its hotel investments segment consists of hotels managed by subsidiaries of Sonesta, Hyatt, Radisson and IHG. Its net lease investments segment consists of service-focused retail net lease properties, including travel centers. The Company owns approximately 160 hotels with over 29,000 guest rooms throughout the United States and in Puerto Rico and Canada. It also owns 752 service-focused retail net lease properties with over 13.1 million square feet throughout the United States. Its brands include Royal Sonesta Hotels, Sonesta Hotels & Resorts, Sonesta ES Suites, Sonesta Simply Suites, Hyatt Place, Sonesta Select, Crowne Plaza, Radisson Hotels & Resorts, and Country Inns & Suites.
Employees
-
Date Price Change Volume
14/08/26 USD 8.130 -0.49% 916,191
13/08/26 USD 8.170 -3.66% 1,464,885
12/08/26 USD 8.480 +4.31% 1,591,272
11/08/26 USD 8.130 +0.49% 1,238,666
10/08/26 USD 8.090 -1.70% 1,428,593
Trader
Investor
-
Global
-
Quality
-
ESG MSCI
B
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
5
Last Close Price
8.130USD
Average target price
12.19USD
Spread / Average Target
+49.91%

Quarterly revenue - Rate of surprise