SAUL CENTERS, INC. (BFS-PD)

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CIK 0000907254 · NYSE · Real Estate Investment Trusts

  • Sector Finance & Real Estate
  • Incorporated MD
  • Fiscal year ends Dec 31

In fiscal 2025, SAUL CENTERS, INC. reported revenue of $289.84M, up 7.8% from the prior year. The company was profitable, with a net margin of 12.9%. It held $2.16B in total assets against $1.69B in total liabilities.

Key ratios (FY2025)

67.4%
Operating margin
12.9%
Net margin
7.9%
Return on equity
+7.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$289.84M$268.85M$257.21M$245.86M$239.22M$225.21M$231.53M$227.22M$226.30M$217.02M
Cost of Revenue$67.14M$64.52M$61.63M$58.42M$57.93M$55.58M$54.69M$53.70M
Gross Profit$190.07M$181.34M$177.60M$166.79M$173.59M$171.64M$171.61M$163.32M
Operating Income$195.32M$203.76M$189.40M$180.52M$62.55M$60.60M$55.71M
Net Income$37.51M$50.65M$52.69M$50.19M$48.39M$40.38M$51.72M$50.55M$48.26M$45.28M
EPS (Diluted)$1.09$1.63$1.73$1.63$1.57$1.25$1.57$1.60$1.63$1.52
Total Assets$2.16B$2.13B$1.99B$1.83B$1.75B$1.65B$1.62B$1.53B$1.42B$1.34B
Total Liabilities$1.69B$1.63B$1.49B$1.31B$1.22B$1.22B$1.17B$1.10B$1.03B$969.78M
Shareholders' Equity$477.26M$501.12M$504.43M$521.80M$530.49M$427.53M$443.36M$425.22M$393.10M$373.25M
Cash & Equivalents$8.74M$10.30M$8.41M$13.28M$14.59M$26.86M$13.90M$14.58M$10.91M$8.32M
Operating Cash Flow$99.80M$121.22M$117.73M$121.15M$118.43M$78.37M$115.38M$110.34M$103.45M$89.09M
Capital Expenditures$116.89M$55.92M$56.15M$135.66M$128.65M$119.99M$91.05M
Shares Outstanding24.55M24.30M24.08M24.02M23.84M23.48M23.23M22.74M22.12M21.70M
Dividends Per Share$2.36$2.36$2.36$2.32$2.16$2.12$2.12$2.08$2.04$1.84