SITE Centers Corp.SITC

Market cap
$370.79M
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
Dec 31,
2023
Dec 31,
2024
Land1,8371,8441,9002,2102,2082,1841,9901,7398748819541,0111,067931205
Buildings5,4915,4615,7746,9497,0876,9666,4135,7333,2513,2773,4883,6243,7343,311965
Fixtures and Equipment, Gross---599645743736693448491510556576538254
Total real estate rental property--------4,5734,6504,9525,1925,3774,7801,424
Less: Accumulated depreciation1,4521,5501,6711,8231,9102,0631,9961,9531,1721,2891,4271,5721,6531,570654
Real estate rental property, net--------3,4013,3613,5253,6203,7243,209769
Development in Process--475453395235105825560374756513
Total real estate assets, net6,9596,7196,9687,9358,0317,8307,2486,2953,4563,4213,5623,6673,7803,261772
Investments in and advances to joint ventures, net417354613448415468454384------30
Cash and cash equivalents1941318721223093111670422055255
Restricted cash4312433111092335111713
Accounts receivable12311712613013312912110967617461646625
Amounts receivable from Curbline--------------2
Other Assets79681824784513602852109710913113013512736
Total assets7,7687,4698,0569,6939,5429,0978,1987,1704,2064,0944,1083,9674,0454,061934
Indebtedness--4,3195,2955,2355,1404,4943,8491,8841,8471,9341,6771,7071,626301
Amounts payable to Curbline--------------34
Accounts payable and other liabilities12825832641544842538234520422121521921519682
Dividends payable1229445561697579454415283064-
Total liabilities4,6334,3924,6895,7655,7445,6344,9524,2732,1332,1122,1631,9241,9521,886417
Commitments and Contingencies---------------
Class A Cumulative Redeemable Preferred Stock-------175175175175175175175-
Preferred Stock, Value, Issued555375405405350350350--------
Common Stock, Value, Issued26283236363737371819192121215
Additional paid-in capital3,8694,1394,6295,4175,4395,4675,4875,5135,5445,7005,7055,9345,9745,9753,982
Accumulated distributions in excess of net income1,3781,4931,6951,9162,0472,3922,6323,1833,9804,0664,1004,0934,0463,9353,473
Deferred compensation obligation--161717161598855558
Accumulated other comprehensive income26-1-28-36-7-6-4-1-1-0-3-965
Less: Common shares in treasury at cost: 282,061 and 1,335,163 shares at December 31, 2024 and December 31, 2023, respectively------159448115527210
Total equity3,1353,0783,3663,9283,7983,4633,2462,8972,0731,9811,9452,0432,0932,176517
Total liabilities and equity7,7687,4698,0569,6939,5429,0978,1987,1704,2064,0944,1083,9674,0454,061934