Unlock stock picks and a broker-level newsfeed that powers Wall Street. Upgrade Now Toronto - Delayed Quote • CAD Choice Properties Real Estate Investment Trust (CHP-UN.TO) Follow Compare 13.93 -0.03 (-0.21%) At close: March 11 at 4:00:01 PM EDT All News Press Releases SEC Filings All SEC Filings Corporate Changes & Voting Matters Periodic Financial Reports Proxy Statements Tender Offer/Acquisition Reports Offering Registrations Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of February, 2025 TORONTO, February 13, 2025--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of February, 2025 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on March 17, 2025 to Unitholders of record at the close of business on February 28, 2025. Choice Properties Real Estate Investment Trust Reports Results for the Quarter and Year Ended December 31, 2024, and Announces Distribution Increase TORONTO, February 12, 2025--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) today announced its consolidated financial results for the quarter and year ended December 31, 2024. The 2024 Annual Report to Unitholders is available in the Investors section of the Trust’s website at www.choicereit.ca, and has been filed on SEDAR+ at www.sedarplus.ca. CORRECTING and REPLACING Choice Properties Real Estate Investment Trust Schedules Fourth Quarter 2024 Results Release TORONTO, January 22, 2025--Second paragraph, second sentence of release dated December 19, 2024 should read: To access via teleconference please dial 1 (888) 330-2454 or 1 (240) 789-2714 and enter the event passcode: 4788974. (instead of To access via teleconference please dial 1 (888) 330-2379 or 1 (240) 789-2710 and enter the event passcode: 4788974.) Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of January, 2025 TORONTO, January 16, 2025--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of January, 2025 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on February 18, 2025 to Unitholders of record at the close of business on January 31, 2025. Choice Properties Real Estate Investment Trust Completes $300 Million Issuance of Series V Senior Unsecured Debentures TORONTO, January 16, 2025--Choice Properties Real Estate Investment Trust ("Choice Properties", the "Trust" or "we") (TSX: CHP.UN) announced today that it has completed its previously announced issuance, on a private placement basis in certain Provinces of Canada (the "Offering"), of $300 million aggregate principal amount of series V senior unsecured debentures of the Trust bearing interest at a rate of 4.293% per annum and maturing on January 16, 2030 (the "Debentures"). Choice Properties Real Estate Investment Trust Announces Issuance of $300 million of Series V Senior Unsecured Debentures TORONTO, January 13, 2025--Choice Properties Real Estate Investment Trust ("Choice Properties", the "Trust" or "we") (TSX: CHP.UN) announced today that it has agreed to issue, on a private placement basis in certain provinces of Canada (the "Offering"), $300 million aggregate principal amount of series V senior unsecured debentures of the Trust that will bear interest at a rate of 4.293% per annum and will mature on January 16, 2030 (the "Debentures"). Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of December, 2024 TORONTO, December 16, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of December, 2024 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on January 15, 2025 to Unitholders of record at the close of business on December 31, 2024. Choice Properties Real Estate Investment Trust Announces Normal Course Issuer Bid TORONTO, November 19, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) announced today that the Toronto Stock Exchange ("TSX") has accepted a notice filed by Choice Properties of its intention to make a normal course issuer bid ("NCIB"). Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of November, 2024 TORONTO, November 14, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of November, 2024 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on December 16, 2024 to Unitholders of record at the close of business on November 29, 2024. Choice Properties Real Estate Investment Trust Reports Results for the Nine Months Ended September 30, 2024 and Announces CFO Transition TORONTO, November 06, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) today announced its consolidated financial results for the three and nine months ended September 30, 2024. The 2024 Third Quarter Report to Unitholders is available in the Investors section of the Trust’s website at www.choicereit.ca, and has been filed on SEDAR+ at www.sedarplus.ca. Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of October, 2024 TORONTO, October 16, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of October, 2024 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on November 15, 2024 to Unitholders of record at the close of business on October 31, 2024. Choice Properties Real Estate Investment Trust Schedules Third Quarter 2024 Results Release TORONTO, September 23, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) announced today that it will be reporting third quarter 2024 results on November 6, 2024, after-market hours. Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of September, 2024 TORONTO, September 16, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of September, 2024 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on October 15, 2024 to Unitholders of record at the close of business on September 30, 2024. Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of August, 2024 TORONTO, August 15, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of August, 2024 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on September 16, 2024 to Unitholders of record at the close of business on August 30, 2024. Choice Properties Real Estate Investment Trust Reports Results for the Six Months Ended June 30, 2024 TORONTO, July 18, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) today announced its consolidated financial results for the three and six months ended June 30, 2024. The 2024 Second Quarter Report to Unitholders is available in the Investors section of the Trust’s website at www.choicereit.ca, and has been filed on SEDAR+ at www.sedarplus.ca. Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of July, 2024 TORONTO, July 16, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of July, 2024 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on August 15, 2024 to Unitholders of record at the close of business on July 31, 2024. Choice Properties Real Estate Investment Trust Declares Cash Distribution for the Month of June, 2024 TORONTO, June 13, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties") (TSX: CHP.UN) announced today that the trustees of Choice Properties have declared a cash distribution for the month of June, 2024 of $0.063333 per trust unit, representing $0.76 per trust unit on an annualized basis, payable on July 15, 2024 to Unitholders of record at the close of business on June 28, 2024. Choice Properties Real Estate Investment Trust Schedules Second Quarter 2024 Results Release TORONTO, June 07, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) announced today that it will be reporting second quarter 2024 results on July 18, 2024, after-market hours. Choice Properties Real Estate Investment Trust Completes $500 Million Issuance of Series U Senior Unsecured Debentures TORONTO, May 23, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) announced today that it has completed its previously announced issuance, on a private placement basis in certain Provinces of Canada (the "Offering"), of $500 million aggregate principal amount of series U senior unsecured debentures of the Trust bearing interest at a rate of 5.030% per annum and maturing on February 28, 2031 (the "Debentures"). Choice Properties Real Estate Investment Trust Announces Issuance of $500 million of Series U Senior Unsecured Debentures TORONTO, May 22, 2024--Choice Properties Real Estate Investment Trust ("Choice Properties" or the "Trust") (TSX: CHP.UN) announced today that it has agreed to issue, on a private placement basis in certain provinces of Canada (the "Offering"), $500 million aggregate principal amount of series U senior unsecured debentures of the Trust that will bear interest at a rate of 5.030% per annum and will mature on February 28, 2031 (the "Debentures"). Performance Overview Trailing total returns as of 3/11/2025, which may include dividends or other distributions. Benchmark is S&P/TSX Composite index Return CHP-UN.TO S&P/TSX Composite index YTD +5.68% -1.51% 1-Year +8.26% +11.39% 3-Year +5.17% +12.36%