SITE Centers Corp.

NYSE:SITC

59.5 (USD) • At close September 19, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operationele Activiteiten:
Nettowinst 97.477168.792125.41636.59101.825116.105-243.13261.199-70.31113.565-9.381-25.329-19.397-247.721-403.627-57.776276.047253.264282.643269.762240.261101.9792.372100.83387.39777.92267.52249.54229.121.49.3
Afschrijvingen & Amortisatie 216.079203.546185.768170.669165.087242.102346.204389.519402.045419.079324.129251.085245.069240.573244.861246.374224.375193.527170.701132.64795.21978.36864.49354.20152.44443.1832.31325.06223.617.410.9
Uitgestelde Inkomstenbelasting 00-60.174-3.63-11.8170317.62231.118117.104-119.51750.22743.33630.49201.219397.387189.439-5.224-3.4460000000000000
Aandelen Gebaseerde Vergoedingen 07.21813.5338.89.897.46811.4937.7657.8959.9628.3717.5537.4396.45920.39827.975.2243.4460000000000000
Verandering in Werkkapitaal 0-7.79113.66-23.8351.1933.239-20.667-28.833-26.785-26.309-24.3096.0166.90277.748-35.63822.82638.186-2.3291.707-6.64512.5841.6354.11-8.93313.2183.0960.9213.011-0.20.8-3.4
Vorderingen 0-5.52515.873-11.6544.361-2.2982.471.41-3.107-2.357-3.4630.3267.35821.04513.902-1.215-47.999-38.013-32.207-6.611-5.825-8.698-7.869-2.187-15.5-7.7-4.9-4.5-2.8-1.4-0.8
Voorraden 00-0.0130-0.011-11.388-2.705006.3450-6.314-1.784-3.005-9.6830-59.954-28.138-21.061-21.659-12.7313.409-8.611-1.48-15.7054.676-3.538-3.417000
Crediteuren 0-0.1250.01300.01111.388-3.661000.02602.581.764.323-11.69144.244-11.9557.54611.146-15.048-6.90612.107-0.7420.707-0.212.41.41.12.71.8-0.9
Overig Werkkapitaal 0-2.141-2.213-12.181-3.1685.537-16.771-30.243-23.678-30.323-20.8469.424-0.43255.385-28.166-20.203158.09456.27643.82936.67338.046-5.18321.332-5.97344.623-6.287.9599.828-0.10.4-1.7
Overige Niet-Contante Posten -313.556-114.5034.3121.5763.976-104.107-1.1132.1474.63823.50224.93721.5352.692-0.1545.567-4.265-123.992-103.77-99.628-103.538-84.93528.76613.3510.171-0.40713.295-6.373-1.795-3.5-0.52.4
Kasstroom uit Operationele Activiteiten 313.556257.262282.515190.17270.154264.807410.407462.915434.587420.282373.974304.196273.195278.124228.948424.568414.616340.692355.423292.226263.129210.739174.326146.272152.652137.49394.38375.824939.119.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 000000000000-217.861-164.391-208.768-394.332-2,789.132-454.357-863.795-1,907.934-284.003-316.388-106.623-88.488-182.5-569.6-391.798-185.668000
Netto Overnames 039.083-4.599139.373-30.641-93.101-69.24-6.8491.303-11.626-13.593-43.02123.65816.122-8.55-114.674606.547101.578-83.4760000-15.941-17.184-17.5599.8370000
Aankoop van Beleggingen 0-5.92800000000-1.800-62.958-1.8850-247.882-206.64500-99.340000-44.928-35.966-0.855000
Verkoop/verval van Beleggingen 0000000003.216000156.374348.176020.46250.862015.51526.09232.4030006.6979.80000
Overige Investeringsactiviteiten 0-200.71479.05-36.89520.246910.04547.848478.939-55.791161.606-882.466-545.409394.89986.61521.91144.6651,261.689305.515607.828757.818341.0053.98868.64183.85-10.02487.101-8.093-13.148-217.2-191.8-137.2
Kasstroom uit Investeringsactiviteiten 0-167.55974.451102.478-10.395816.939478.608472.09-54.488153.196-897.859-588.43200.69631.762150.884-464.341-1,148.316-203.047-339.443-1,134.601-16.246-279.997-37.982-20.579-209.708-538.289-416.22-199.671-217.2-191.8-137.2
Financieringsactiviteiten:
Schuldaflossingen 0-71.209-350.285-128.449-97.372-2,112.684-709.882-645.495-1,389.549-495.128-637.137-1,225.759-845.723-1,635.508-270.692-476.641-1,348.697-157.779-810.396-469.755-438.678-79.456-287.993-122.293-85.67-24.729-17.764-32.204-126.1-59.2-266.8
Uitgifte van Gewone Aandelen 036.724224.9740194.598000011.635788.045492.129189.662438.667042.723758.643305.27912.139743.91920.18851.97157.644167.826219.10793.815198.92477.42376.915.6297.8
Terugkoop van Gewone Aandelen 0-42.256-156.075-9.925-214.1-36.341000-55-150-170-186.655957.0560810.137-1,287.585-48.3131,059.357839.61-575.46-149.761-0.508-62.866-25.845368.324265.9110260.4157.30
Uitgekeerde Dividenden 0-120.016-99.541-98.348-180.698-281.332-305.819-293.905-265.277-240.551-194.497-154.761-75.72-64.253-52.289-371.47-356.464-307.652-286.4-226.747-167.98-122.841-108.212-108.502-111.703-75.029-79.655-65.973-41.8-36.6-11.9
Overige Financieringsactiviteiten 085.016-0.056-0.64143.2941,267.541182.18512.4081,276.054140.409772.9081,333.154466.582-13.027-58.3817.9492,989.59468.543-9.896-6.474910.369366.647217.551-1.60764.89940.657-45.574144.605-2.173.3101.3
Kasstroom uit Financieringsactiviteiten 0-111.741-380.983-237.363-254.278-1,162.816-833.516-926.992-378.772-638.635579.319274.763-451.854-317.065-381.36122.698755.491-139.922-35.196880.553-251.56166.56-121.518-127.44260.788403.038321.842123.851167.3150.4120.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00-0.001-0.0040.002-0.00400.0010.152-0.570.056-0.561-0.2470.423-1.793-2.978-0.62200000000000000
Netto Kasstroomverandering 313.556-22.038-31.16255.2815.483-81.07455.4998.0141.479-65.72755.49-10.03221.79-6.756-3.322-20.05321.169-2.277-19.21638.178-4.678-2.69814.826-1.7493.7322.2420.0050.001-0.9-2.32.4
Kaspositie aan het Einde van de Periode 313.55621.21443.25274.41419.13313.6594.72430.4322.41620.93786.66431.17441.20619.41626.17229.49449.54728.37830.65549.87111.69316.37119.0694.2435.9922.260.0180.01300.93.3