SITE Centers Corp. (SITC)
NYSE: SITC · Real-Time Price · USD
6.38
+0.10 (1.59%)
Feb 4, 2026, 2:25 PM EST - Market open

SITE Centers Cash Flow Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Net Income
37.61531.82265.7168.72124.9435.72
Depreciation & Amortization
50130.9212.46203.55185.77170.67
Other Amortization
3.7447.464.475.084.314.6
Gain (Loss) on Sale of Assets
-162.72-633.22-219.03-46.64-6.07-1.07
Gain (Loss) on Sale of Investments
--2.67-3.75-45.58-19.19-26.07
Asset Writedown
106.5766.6-2.547.275.2
Stock-Based Compensation
1.376.847.637.2213.538.8
Income (Loss) on Equity Investments
0.85-0.08-6.31-26.99-42.191.74
Change in Accounts Receivable
7.336.01-7.47-5.5315.87-7.53
Change in Accounts Payable
-37.7-21.58-3.04-0.13-2.99-7.75
Change in Other Net Operating Assets
-11.03-20.72-10.05-2.140.77-8.56
Other Operating Activities
0.910.7-2.09-2.830.4814.41
Operating Cash Flow
-3.07112.04238.53257.26282.52190.17
Operating Cash Flow Growth
--53.03%-7.28%-8.94%48.56%-29.61%
Acquisition of Real Estate Assets
-10.25-284.87-272.8-449.93-207.13-63.82
Sale of Real Estate Assets
351.062,126821.69201.8229.71.55
Net Sale / Acq. of Real Estate Assets
340.811,841548.89-248.11-177.44-62.26
Investment in Marketable & Equity Securities
1.842.5314.480.55251.89157.24
Other Investing Activities
---3.38--7.5
Investing Cash Flow
342.651,844559.9-167.5674.45102.48
Long-Term Debt Issued
-530100100-130
Long-Term Debt Repaid
--1,855-181.35-71.21-350.29-258.45
Net Debt Issued (Repaid)
-55.62-1,325-81.3528.79-350.29-128.45
Issuance of Common Stock
---36.72224.97-
Repurchase of Common Stock
-0.09-4.77-31.83-48.18-6.06-9.93
Preferred Share Repurchases
-175.03-175.03---150.02-
Common & Preferred Dividends Paid
-4.06-128.06-120.52-120.02-99.54-98.35
Total Dividends Paid
-4.06-128.06-120.52-120.02-99.54-98.35
Other Financing Activities
-800.26-824.65-16.92-9.06-7.2-0.64
Foreign Exchange Rate Adjustments
-----0-0
Miscellaneous Cash Flow Adjustments
----0-
Net Cash Flow
-945.81-501.37547.82-22.04-31.1655.28
Cash Interest Paid
59.759.775.170.269.675.1
Levered Free Cash Flow
11.63937.78-615.16235.7304.85145.41
Unlevered Free Cash Flow
20.82927.49-569.32278.17348.28189.31
Change in Working Capital
-41.41-36.3-20.56-7.7913.66-23.84
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Real Estate template. Financial Sources.
SEC Filings: 10-K · 10-Q