SITE Centers Corp. (SITC)

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CIK 0000894315 · NYSE · Real Estate Investment Trusts

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

In fiscal 2025, SITE Centers Corp. reported revenue of $18.30M, up 198.1% from the prior year. The company was profitable, with a net margin of 971.8%. It held $418.74M in total assets against $83.97M in total liabilities.

Key ratios (FY2025)

971.8%
Net margin
53.1%
Return on equity
+198.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$18.30M$6.14M$6.27M$10.56M$38.75M$41.41M$55.99M$42.79M$30.55M$33.23M
Operating Income$321.93M$368.32M$499.26M$657.85M$713.67M
Net Income$177.86M$531.82M$265.70M$168.72M$124.94M$35.72M$100.70M$114.43M-$241.69M$60.01M
EPS (Diluted)$3.36$9.77$4.85$2.94$0.51$0.08$0.33$0.43$-1.48$0.20
Total Assets$418.74M$933.60M$4.06B$4.05B$3.97B$4.11B$4.09B$4.21B$7.17B$8.20B
Total Liabilities$83.97M$416.86M$1.89B$1.95B$1.92B$2.16B$2.11B$2.13B$4.27B$4.95B
Shareholders' Equity$334.76M$516.74M$2.18B$2.09B$2.04B$1.94B$1.98B$2.07B$2.90B$3.25B
Cash & Equivalents$119.03M$54.59M$551.40M$20.25M$41.81M$69.74M$16.08M$11.09M$92.61M$30.43M
Operating Cash Flow$19.61M$112.04M$238.53M$257.26M$282.51M$190.17M$270.15M$263.42M$410.41M$460.66M
Shares Outstanding52.45M52.58M52.41M53.47M209.14M193.78M183.25M184.53M183.68M182.78M
Dividends Per Share$6.75$1.04$2.72$2.08$0.47$0.25$0.80$1.16$1.52$1.52