SITE CENTERS CORP.

SITC
Real-time Estimate Quote. Real-time Estimate  - 08/13 01:57:05 pm
8.065USD -1.53%
Income Statement Evolution
Annual Income Statement Data
Fiscal Period: December 2019 2020
Net sales1 449423
EBITDA1 310276
Operating profit (EBIT)1 145111
Operating Margin 32,3%26,2%
Pre-Tax Profit (EBT)1 75,1-7,84
Net income1 61,313,3
Net margin 13,7%3,14%
EPS2 0,330,07
Dividend per Share2 0,800,27
Last update 02/13/202007/31/2020
1 USD in Million
2 USD
Estimates
Finances - Leverage
Fiscal Period: December 2019 2020
Net Debt1 1 8311 867
Net Cash position1 --
Leverage (Debt / EBITDA) 5,91x6,76x
Free Cash Flow --
ROE (Net Profit / Equities) 1,64%0,55%
Shareholders' equity1 3 7402 434
ROA (Net Profit / Asset) 0,80%0,80%
Assets1 7 6681 668
Book Value Per Share2 10,29,79
Cash Flow per Share2 1,471,09
Capex1 11559,0
Capex / Sales 25,5%14,0%
Last update 02/13/202008/05/2020
1 USD in Million
2 USD
Estimates
Balance Sheet Analysis
Financial Ratios
Size 2020e 2021e
Capitalization 1 582 M $ -
Entreprise Value (EV) 3 449 M $ 3 466 M $
Valuation 2020e 2021e
P/E ratio (Price / EPS) 113x 229x
Capitalization / Revenue 3,74x 3,62x
EV / Revenue 8,15x 7,90x
EV / EBITDA 12,5x 12,0x
Yield (DPS / Price) 3,30% 7,03%
Price to book (Price / BVPS) 0,84x 0,87x
Profitability 2020e 2021e
Operating Margin (EBIT / Sales) 26,2% 28,0%
Operating Leverage (Delta EBIT / Delta Sales) -4,13x 3,16x
Net Margin (Net Profit / Revenue) 3,14% -3,37%
ROA (Net Profit / Asset) 0,80% 0,54%
ROE (Net Profit / Equities) 0,55% 0,74%
Rate of Dividend 372% 1 612%
Balance Sheet Analysis 2020e 2021e
CAPEX / Sales   14,0% 16,8%
Cash Flow / Sales 49,7% 47,7%
Capital Intensity (Assets / Sales) 3,94x -6,25x
Financial Leverage (Net Debt / EBITDA) 6,76x 6,58x
Price Earning Ratio
EPS & Dividend