H&R Real Estate Investment Trust announced that it completed its previously announced offering of $250 million principal amount of 3.416% Series O senior unsecured debentures due January 23, 2023 The Series O Debentures were offered on an agency basis by a syndicate of agents co-led and bookrun by BMO Capital Markets, Scotiabank, CIBC Capital Markets, National Bank Financial and TD Securities. The net proceeds from the offering of the Series O Debentures will be utilized by H&R REIT to repay outstanding indebtedness and for general trust purposes.