SITE Centers Corp. (SITC-PA)
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Cashflow (Annual)

Get detailed ratio statement breakdowns, uncovering price to free cash flow ratio, price per earnings, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06 FY05 FY04 FY03 FY02 FY01 FY00 FY99 FY98 FY97 FY96 FY95 FY94 FY93
Net Income 265.72M 168.79M 125.42M 36.59M 101.83M 116.11M -243.13M 61.20M -70.31M 113.56M -9.38M -25.33M -19.40M -247.72M -403.63M -57.78M 276.05M 253.26M 282.64M 269.76M 240.26M 101.97M 92.37M 100.83M 87.40M 77.92M 67.52M 49.54M 29.10M 21.40M 9.30M
Depreciation & Amortization 212.46M 203.55M 185.77M 170.67M 165.09M 242.10M 346.20M 389.52M 402.05M 419.08M 324.13M 251.09M 245.07M 240.57M 244.86M 246.37M 224.38M 193.53M 170.70M 132.65M 95.22M 78.37M 64.49M 54.20M 52.44M 43.18M 32.31M 25.06M 23.60M 17.40M 10.90M
Stock-Based Compensation 7.63M 7.22M 13.53M 8.80M 9.89M 7.47M 11.49M 7.76M 7.89M 9.96M 8.37M 7.55M 7.44M 6.46M 20.40M 27.97M 5.22M 3.45M - - - - - - - - - - - - -
Other Working Capital -10.05M -2.14M -2.21M -12.18M -3.17M 5.54M -16.77M -30.24M -23.68M -30.32M -20.85M 9.42M -432.00K 55.38M -28.17M -20.20M 158.09M 56.28M 43.83M 36.67M 38.05M -5.18M 21.33M -5.97M 44.62M -6.28M 7.96M 9.83M -100.00K 400.00K -1.70M
Other Non-Cash Items -226.73M -114.50M 4.31M 1.58M 3.98M -104.11M -1.11M 2.15M 4.64M 23.50M 24.94M 21.54M 2.69M -154.00K 5.57M -4.26M -123.99M -103.77M -99.63M -103.54M -84.94M 28.77M 13.35M 171.00K -407.00K 13.29M -6.37M -1.80M -3.50M -500.00K 2.40M
Deferred Income Tax - - -60.17M -3.63M -11.82M - 317.62M 31.12M 117.10M -119.52M 50.23M 43.34M 30.49M 201.22M 397.39M 189.44M -5.22M -3.45M - - - - - - - - - - - - -
Change in Working Capital -20.55M -7.79M 13.66M -23.84M 1.19M 3.24M -20.67M -28.83M -26.79M -26.31M -24.31M 6.02M 6.90M 77.75M -35.64M 22.83M 38.19M -2.33M 1.71M -6.64M 12.58M 1.64M 4.11M -8.93M 13.22M 3.10M 921.00K 3.01M -200.00K 800.00K -3.40M
Operating Cash Flow 238.53M 257.26M 282.51M 190.17M 270.15M 264.81M 410.41M 462.92M 434.59M 420.28M 373.97M 304.20M 273.19M 278.12M 228.95M 424.57M 414.62M 340.69M 355.42M 292.23M 263.13M 210.74M 174.33M 146.27M 152.65M 137.49M 94.38M 75.82M 49.00M 39.10M 19.20M
Capital Expenditures - - - - - - - - - - - - -217.86M -164.39M -208.77M -394.33M -2.79B -454.36M -863.79M -1.91B -284.00M -316.39M -106.62M -88.49M -182.50M -569.60M -391.80M -185.67M - - -
Acquisitions 3.26M 39.08M -4.60M 139.37M -30.64M -93.10M -69.24M -6.85M 1.30M -11.63M -13.59M -43.02M 23.66M 16.12M -8.55M -114.67M 606.55M 101.58M -83.48M - - - - -15.94M -17.18M -17.56M 9.84M - - - -
Purchase of Investments - -5.93M - - - - - - - - -1.80M - - -62.96M -1.89M - -247.88M -206.65M - - -99.34M - - - - -44.93M -35.97M -854.91K - - -
Sales Maturities Of Investments - - - - - - - - - 3.22M - - - 156.37M 348.18M - 20.46M 50.86M - 15.52M 26.09M 32.40M - - - 6.70M 9.80M - - - -
Other Investing Acitivies 556.64M -200.71M 79.05M -36.90M 20.25M 910.04M 547.85M 478.94M -55.79M 161.61M -882.47M -545.41M 394.90M 86.61M 21.91M 44.66M 1.26B 305.51M 607.83M 757.82M 341.00M 3.99M 68.64M 83.85M -10.02M 87.10M -8.09M -13.15M -217.20M -191.80M -137.20M
Investing Cash Flow 559.90M -167.56M 74.45M 102.48M -10.39M 816.94M 478.61M 472.09M -54.49M 153.20M -897.86M -588.43M 200.70M 31.76M 150.88M -464.34M -1.15B -203.05M -339.44M -1.13B -16.25M -280.00M -37.98M -20.58M -209.71M -538.29M -416.22M -199.67M -217.20M -191.80M -137.20M
Debt Repayment -81.35M 28.79M -350.29M -128.45M -52.37M -795.51M -709.88M -645.50M -109.37M -343.83M 514.00K -72.98M -363.27M -692.23M -629.14M 343.20M 930.43M 147.50M 248.96M 205.64M 410.90M 170.74M -66.86M 45.53M 133.40M 203.00M 201.80M 108.20M -5.70M 98.10M -266.80M
Common Stock Repurchased -28.35M -42.26M - -7.50M -214.10M -36.34M - - - - - -3.84M -6.66M - - - -378.94M -58.65M - - - -11.00K -508.00K -62.87M -25.84M - - - - - -
Dividend Paid -120.52M -120.02M -99.54M -98.35M -180.70M -281.33M -305.82M -293.90M -265.28M -240.55M -194.50M -154.76M -75.72M -64.25M -52.29M -371.47M -356.46M -307.65M -286.40M -226.75M -167.98M -122.84M -108.21M -108.50M -111.70M -75.03M -79.66M -65.97M -41.80M -36.60M -11.90M
Other Financial Acitivies -20.41M -14.98M -157.22M -3.07M -201.02M -48.90M 182.42M 12.41M -4.13M -65.40M -14.74M 10.38M -142.55M -3.90M -63.57M 6.54M -198.18M 68.54M -9.90M 157.74M -514.67M -137.22M -130.78M -2.48M 64.49M 178.65M 842.00K 4.25M 137.90M 73.30M 101.30M
Financial Cash Flow -250.62M -111.74M -380.98M -237.36M -254.28M -1.16B -833.52M -926.99M -378.77M -638.63M 579.32M 274.76M -451.85M -317.06M -381.36M 22.70M 755.49M -139.92M -35.20M 880.55M -251.56M 66.56M -121.52M -127.44M 60.79M 403.04M 321.84M 123.85M 167.30M 150.40M 120.40M
Net Cash Flow 547.82M -22.04M -31.16M 55.28M 5.48M -81.07M 55.50M 8.01M 1.48M -65.73M 55.49M -10.03M 21.79M -6.76M -3.32M -20.05M 21.17M -2.28M -19.22M 38.18M -4.68M -2.70M 14.83M -1.75M 3.73M 2.24M 5.00K 500.00 -900.00K -2.30M 2.40M
Free Cash Flow 238.53M 257.26M 282.51M 190.17M 270.15M 264.81M 410.41M 462.92M 434.59M 420.28M 373.97M 304.20M 55.33M 113.73M 20.18M 30.24M -2.37B -113.67M -508.37M -1.62B -20.87M -105.65M 67.70M 57.78M -29.85M -432.11M -297.42M -109.85M 49.00M 39.10M 19.20M