Reviewing Service Properties Trust (SVC)’s and Its Peers results

Service Properties Trust (NASDAQ:SVC) is a company in the REIT – Hotel/Motel industry and that’s how we compare it to its rivals. The contrasting will be based on the profitability, analyst recommendations, risk, dividends, earnings and valuation, institutional ownership.

Institutional & Insider Ownership

Service Properties Trust has 77.1% of its shares owned by institutional investors versus an average of 76.31% institutional ownership for its competitors. On other hand Service Properties Trust has 0.3% of its shares owned by company insiders versus an average of 5.39% insiders ownership for its rivals.


Table 1 has Service Properties Trust and its rivals’ return on assets, return on equity and net margins.

Net Margins Return on Equity Return on Assets
Service Properties Trust 691,940,928.27% 6.30% 2.10%
Industry Average 11.95% 12.42% 4.25%

Valuation and Earnings

The following data compares Service Properties Trust and its rivals’ valuation, net profit and top-line revenue.

Net Income Gross Revenue Price/Earnings Ratio
Service Properties Trust 163.99M 24 23.35
Industry Average 117.90M 986.93M 24.58

Service Properties Trust has lower revenue and P/E Ratio than its competitors. The business has a lower price-to-earnings ratio which is currently more affordable in compare to its rivals.

Analyst Recommendations

Table 3 shows summary of recent ratings for Service Properties Trust and its rivals.

Sell Ratings Hold Ratings Buy Ratings Rating Score
Service Properties Trust 0 0 0 0.00
Industry Average 1.43 2.00 1.75 2.39

The potential upside of the rivals is 6.40%.


In this table we provide the Weekly, Monthly, Quarterly, Half Yearly, Yearly and YTD Performance of Service Properties Trust and its rivals.

Performance (W) Performance (M) Performance (Q) Performance (HY) Performance (Y) Performance (YTD)
Service Properties Trust 1.16% -7.06% -7.79% -3.48% -11.56% -1.34%
Industry Average 1.41% 1.34% 4.06% 5.16% 8.22% 16.74%

For the past year Service Properties Trust had bearish trend while Service Properties Trust’s competitors had bullish trend.

Risk and Volatility

Service Properties Trust is 15.00% less volatile than Standard & Poor’s 500 because the stock has a beta of 0.85. In other hand, Service Properties Trust’s rivals have beta of 1.09 which is 9.39% more volatile than Standard & Poor’s 500.


Service Properties Trust does not pay a dividend.


Service Properties Trust’s competitors show that they’re better in 7 of the 6 indicators compared to the company itself.