The Howard Hughes (HHC) Stock Analysis
NYSEReal EstateReal Estate - Diversified
What The Howard Hughes does
The Howard Hughes Corporation (HHC) is a real estate firm that acquires, manages, and develops commercial, residential, and hospitality properties throughout the United States. The company's operations are structured into four segments: Operating Assets, Master Planned Communities (MPCs), the Seaport District, and Strategic Developments. As of December 31, 2020, its Operating Assets portfolio encompassed 15 retail properties, 33 office buildings, 12 multi-family residences, 3 hospitality venues, and 13 other operational assets and investments, predominantly located in The Woodlands, Texas; Chicago, Illinois; Columbia, Maryland; Las Vegas, Nevada; and Honolulu, Hawaii. The Master Planned Communities segment focuses on developing and selling various single-family homes, including both detached and attached structures ranging from entry-level to luxury, to residential builders and developers. It also sells or leases land parcels for commercial development, such as retail, office, hospitality, and residential projects. The Seaport District segment handles landlord operations, manages businesses, and organizes events and sponsorships. The Strategic Developments segment allocates capital to residential condominium and commercial property projects, with 18 development or redevelopment initiatives currently underway. The Howard Hughes Corporation was established in 2010 and its corporate headquarters are located in Dallas, Texas.
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Frequently asked questions
- What is the ticker symbol for The Howard Hughes?
- The Howard Hughes trades under the ticker HHC on NYSE.
- Which exchange is HHC listed on?
- HHC is listed on NYSE.
- What sector does The Howard Hughes operate in?
- The Howard Hughes is classified in the Real Estate sector (Real Estate - Diversified industry).
- How can PortView help analyze HHC in a portfolio?
- PortView shows HHC's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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