SITE Centers Corp. Logo

SITE Centers Corp. (DDR)

FSX

Currency in EUR
2.80
-0.06 (-2.10%)

Closed

Oct 7, 2026

Day's Range

2.80
2.80

52 wk Range

2.38
7.60

Financial Statements - DDR - SITE Centers Corp.

Revenue

123.64M▼ 55.4%

Net Income

177.86M▼ 66.6%Net Margin 143.8%

EBITDA

46.24M▼ 76.4%

Free Cash Flow

19.61M▼ 82.5%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales123.64M277.46M546.27M552.35M532.86M460.33M
Cost of Goods40.55M95.66M165.72M169.98M152.78M138.40M
Gross Profit83.09M181.80M380.55M382.36M380.07M321.93M
ExpandOperating Expense
------
Operating Income-1.55M33.37M117.22M132.25M139.25M98.38M
ExpandNon-Operating Interest
------
Other Income Expense190.72M520.98M232.54M115.04M64.09M5.05M
Pre Tax Income177.63M526.52M267.76M169.60M126.96M37.72M
Income Tax-226K761K2.04M816K1.55M1.13M
Net Income177.86M531.82M265.72M168.79M125.41M36.59M
EPS Basic3.369.814.842.962.040.32
EPS Diluted3.369.774.842.922.040.32
Basic Shares Outstanding52.44M52.39M54.91M55.41M54.11M50.30M
Diluted Shares Outstanding52.44M52.39M54.91M55.41M54.11M50.30M
Ebit192.94M585.98M349.76M247.30M203.34M115.32M
Ebitda46.24M195.98M339.45M361.15M371.13M244.66M
Net Income Continuous Operations177.86M531.82M265.72M168.79M125.41M36.59M
Minority Interests00-18K-73K-481K-869K
Preferred Stock Dividends1.70M8.44M606K484K5.72M204K

The information on this page is provided for general informational purposes only and is not investment advice.

Market data provided by Twelve Data. Charting by TradingView.

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