SITE CENTERS CORP. (SITC)

Last Closing Price: 6.25 (2026-03-05)

Cash Flow from Operating Activities (Annual)

Cash Flow from Operating Activities: A company's cash flows from operations.

SITE CENTERS CORP. (SITC) had Cash Flow from Operating Activities of $19.61M for the most recently reported fiscal year, ending 2025-12-31.

Figures for fiscal year ending 2025-12-31
Income Statement Financials
$123.65M
$177.86M
$40.55M
$83.10M
$239.28M
$-115.63M
$293.26M
$177.63M
$-142.14M
$177.86M
$177.86M
$177.86M
$-141.50M
$-115.63M
$-58.17M
52.45M
52.45M
$3.36
$3.36
Balance Sheet Financials
$136.73M
$225.74M
$282.00M
$418.74M
$83.97M
--
--
$83.97M
$334.77M
$334.76M
$334.76M
52.46M
Cash Flow Statement Financials
Cash Flow from Operating Activities
$19.61M
$705.39M
$-669.86M
$67.67M
$122.81M
$55.15M
$1.39M
$-355.74M
--
Fundamental Metrics & Ratios
--
--
--
--
--
--
-93.51%
-93.51%
-47.04%
143.66%
143.84%
$723.13M
--
--
--
0.30
--
--
--
53.13%
53.13%
42.48%
53.13%
$6.38
$13.79
$0.37