SITE Centers Corp.SITC

Market cap
$12.5B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Land1,8371,8441,9002,2102,2082,1841,9901,7398748819541,0111,067
Buildings5,4915,4615,7746,9497,0876,9666,4135,7333,2513,2773,4883,6243,734
Fixtures And Equipment Gross---599645743736693448491510556576
Total real estate rental property--------4,5734,6504,9525,1925,377
Less: Accumulated depreciation1,4521,5501,6711,8231,9102,0631,9961,9531,1721,2891,4271,5721,653
Real estate rental property, net--------3,4013,3613,5253,6203,724
Development In Process--475453395235105825560374756
Total real estate assets, net6,9596,7196,9687,9358,0317,8307,2486,2953,4563,4213,5623,6673,780
Investments In And Advances To Joint Ventures--------330294776545
Cash and cash equivalents19413187212230931116704220
Restricted cash431243311109233511
Accounts receivable1231171261301331291211096761746164
Other Assets796818247845136028521097109131130135
Total assets7,7687,4698,0569,6939,5429,0978,1987,1704,2064,0944,1083,9674,045
Senior Notes--2,1472,7542,7663,1492,9132,8101,6461,6481,4501,4521,454
Term loan, net--------5099100100199
Line Of Credit2801421482929210--1005135--
Total unsecured indebtedness---------1,7521,6841,5521,652
Mortgage debt---1,7611,6901,183983641899524912655
Total indebtedness--4,3195,2955,2355,1404,4943,8491,8841,8471,9341,6771,707
Accounts payable and other liabilities128258326415448425382345204221215219215
Dividends payable12294455616975794544152830
Total liabilities4,6334,3924,6895,7655,7445,6344,9524,2732,1332,1122,1631,9241,952
Commitments And Contingencies-------------
Class A Cumulative Redeemable Preferred Stock-------175175175175175175
Preferred Stock Value555375405405350350350------
Common Stock, Value, Issued26283236363737371819192121
Additional paid-in capital3,8694,1394,6295,4175,4395,4675,4875,5135,5445,7005,7055,9345,974
Accumulated distributions in excess of net income1,3781,4931,6951,9162,0472,3922,6323,1833,9804,0664,1004,0934,046
Deferred compensation obligation--1617171615988555
Accumulated other comprehensive income26-1-28-36-7-6-4-1-1-0-3-9
Less: Common shares in treasury at cost: 3,787,279 and 287,645 shares at December 31, 2022 and December 31, 2021, respectively------15944811552
Total SITE Centers shareholders' equity3,1353,0783,3663,9283,7983,4633,2462,8972,0731,9811,9452,0432,093
Minority Interest383224232788733366
Total equity3,1353,0783,3663,9283,7983,4633,2462,8972,0731,9811,9452,0432,093
Total liabilities and equity7,7687,4698,0569,6939,5429,0978,1987,1704,2064,0944,1083,9674,045