Exhibit 5.1
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March 5, 2021
Healthcare Trust of America, Inc.
16435 North Scottsdale Road
Suite 320
Scottsdale, AZ 85254
| Re: | Registration Statement on Form S-3 |
Ladies and Gentlemen:
We have served as Maryland counsel to Healthcare Trust of America, Inc., a Maryland corporation (the “Company”), in connection with certain matters of Maryland law relating to the registration by the Company of shares of its Class A Common Stock, $0.01 par value per share (“Common Stock”), having an aggregate offering price of up to $750,000,000 (the “Shares”), which may be sold from time to time pursuant to ten Equity Distribution Agreements, each dated as of March 5, 2021 (collectively, the “Equity Distribution Agreements”), each by and among the Company and Healthcare Trust of America Holdings, LP, a Delaware limited partnership and the operating partnership of the Company, on the one hand, and respectively (i) Wells Fargo Securities, LLC and Wells Fargo Bank, National Association, (ii) BMO Capital Markets Corp. and Bank of Montreal, (iii) Jefferies LLC, (iv) J.P. Morgan Securities LLC and JPMorgan Chase Bank, National Association, (v) BofA Securities, Inc. and Bank of America, N.A., (vi) MUFG Securities Americas Inc. and MUFG Securities EMEA plc, (vii) BTIG, LLC, (viii) Capital One Securities, Inc., (ix) Morgan Stanley & Co. LLC and (x) Scotia Capital (USA) Inc. and The Bank of Nova Scotia, on the other hand. This firm did not participate in the drafting or negotiation of the Equity Distribution Agreements.
In connection with our representation of the Company, and as a basis for the opinion hereinafter set forth, we have examined originals, or copies certified or otherwise identified to our satisfaction, of the following documents (hereinafter collectively referred to as the “Documents”):
1. The Registration Statement on Form S-3, and all amendments thereto (the “Registration Statement”), in the form in which it was transmitted to the U. S. Securities and Exchange Commission (the “Commission”) for filing on February 26, 2021 under the Securities Act of 1933, as amended (the “1933 Act”);
2. The prospectus, dated February 26, 2021, that forms a part of the Registration Statement and the prospectus supplement, dated March 5, 2021, in the form in which it was transmitted to the Commission for filing pursuant to Rule 424(b) of the General Rules and Regulations promulgated under the 1933 Act;