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Site Centers Corp (SITC)

Site Centers Corp (SITC)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] by (Cboe BZX)
[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [NYSE]
[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
[[ session ]] [[ item.lastPriceExt ]] [[ item.priceChangeExt ]] ([[ item.percentChangeExt ]]) [[ item.tradeTimeExt ]]
Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2025 12-2024 12-2023 12-2022 12-2021
Cash Flows From Operating Activities
Net Income 177,861 531,824 265,721 168,792 125,416
Depreciation Amortization 57,460 178,358 216,925 208,621 190,080
Accounts receivable 7,964 6,005 -7,467 -5,525 15,873
Other Working Capital -13,167 -36,300 -20,555 -7,791 13,660
Other Operating Activity -210,505 -567,843 -216,091 -106,835 -62,514
Operating Cash Flow $19,613 $112,044 $238,533 $257,262 $282,515
Cash Flows From Investing Activities
PPE Investments 703,514 1,841,376 548,885 -248,106 -177,437
Other Investing Activity 1,881 2,527 11,014 80,547 251,888
Investing Cash Flow $705,395 $1,843,903 $559,899 $-167,559 $74,451
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A N/A N/A N/A -135,000
Debt Issued N/A 530,000 100,000 100,000 N/A
Debt Repayment -306,762 -1,854,809 -181,346 -71,209 -215,285
Common Stock Issued N/A N/A N/A 36,724 224,974
Common Stock Repurchased -94 -4,767 -33,564 -48,184 -6,056
Dividend Paid -355,741 -128,064 -120,555 -120,088 -99,597
Other Financing Activity -7,262 -999,672 -15,150 -8,984 -157,163
Financing Cash Flow $-669,859 $-2,457,312 $-250,615 $-111,741 $-388,127
Exchange Rate Effect N/A N/A N/A N/A -1
Beginning Cash Position 67,666 569,031 21,214 43,252 74,414
End Cash Position 122,815 67,666 569,031 21,214 43,252
Net Cash Flow $55,149 $-501,365 $547,817 $-22,038 $-31,161
Free Cash Flow
Operating Cash Flow 19,613 112,044 238,533 257,262 282,515
Capital Expenditure -14,145 -284,872 -272,804 -449,925 -207,133
Free Cash Flow 5,468 -172,828 -34,271 -192,663 75,382
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