Orate Office Properties reported $2.11B in Loan Capital for its second fiscal quarter of 2021.


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Loan Capital Change
Agree Realty ADC:US $ 1533.53M 0.15M
Alexandria Real Estate Equities ARE:US $ 9263.59M 422.59M
Allied Properties REIT AP-U:CN C$ 3.43B 336.02M
American Campus Communities ACC:US $ 3717.46M 9.67M
Apartment AIV:US $ 1593.6M 517.28M
Armada Hoffler Properties AHH:US $ 1.01B 10.07M
Avalonbay Communities AVB:US $ 7779.3M 225.53M
Boston Properties BXP:US $ 13621.91M 842.47M
Brandywine Realty BDN:US $ 1830.59M 58M
Camden Property CPT:US $ 3169.43M 0.94M
Ciena CIEN:US $ 738.38M 3.24M
Cousins Properties CUZ:US $ 2047.6M 5.69M
Douglas Emmett DEI:US $ 5012.29M 42.63M
Duke Realty DRE:US $ 3355.46M 397.21M
Empire State Realty ESRT:US $ 2135.34M 0.49M
Epr Properties EPR:US $ 2684.06M 397.42M
Equity Residential EQR:US $ 8114.65M 495.73M
Essex Property ESS:US $ 6088.3M 41.85M
Federal Realty Investment FRT:US $ 4236.39M 8.59M
General Dynamics GD:US $ 11485M 0M
HCP HCP:US $ 5529.67M 501.46M
Healthcare Of America HTA:US $ 3079.19M 5.72M
Highwoods Properties HIW:US $ 2942.9M 467M
Hudson Pacific Properties HPP:US $ 4105.65M 418.5M
Kilroy Realty KRC:US $ 3922.87M 0.28M
Lexington Realty LXP:US $ 1529.11M 69.42M
Lockheed Martin LMT:US $ 11668M 3M
Mack Cali Realty CLI:US $ 2374.95M 15.66M
National Health Investors NHI:US $ 1285.29M 149.46M
Omega Healthcare Investors OHI:US $ 5273.05M 0.49M
PARAMOUNT GROUP PGRE:US $ 3834.44M 17.69M
Physicians Realty DOC:US $ 1420.9M 81.99M
Prologis PLD:US $ 17135.67M 192.01M
Retail Properties Of America RPAI:US $ 1745.31M 0.12M
Rexford Industrial Realty REXR:US $ 1386.65M 167.63M
Sabra Health Care Reit SBRA:US $ 2.7B 435.78M
Sl Green Realty SLG:US $ 4260.06M 567.57M
Stag Industrial STAG:US $ 1972.53M 88.4M
Terreno Realty TRNO:US $ 596.62M 148.47M
UDR UDR:US $ 5522.44M 540.89M
Unisys UIS:US $ 514.1M 3.4M
Ventas VTR:US $ 12078.84M 317.29M
Vornado Realty VNO:US $ 8931.74M 821.99M
Washington Real Estate Investment WRE:US $ 496.82M 492.08M
Wells Fargo WFC:US $ 162982M 16674M
Welltower Inc WELL:US $ 13.67B 96.59M