SITE CENTERS CORP. (SITC)

Last Closing Price: 12.23 (2025-08-28)

Debt to Capital Ratio (Quarterly)

Debt to Capital Ratio: A measurement of a company's financial leverage, calculated as the company's long-term debt divided by its total capital. Calculated as: Total Long-Term Debt / (Total Long-Term Debt + Shareholders Equity)

SITE CENTERS CORP. (SITC) had Debt to Capital Ratio of 0.37 for the most recently reported fiscal quarter, ending 2025-06-30.

Figures for fiscal quarter ending 2025-06-30
Income Statement Financials
$33.47M
$46.50M
$11.15M
$22.32M
$33.49M
$-0.02M
$46.70M
$46.68M
$-6.55M
$46.50M
$46.50M
$46.50M
$-6.94M
$-0.02M
$14.10M
52.45M
52.45M
$0.88
$0.88
Balance Sheet Financials
$182.66M
$711.04M
$776.38M
$959.04M
$104.86M
$288.44M
$367.50M
$472.36M
$486.68M
$486.68M
$486.68M
52.45M
Cash Flow Statement Financials
$22.93M
$86.84M
$-14.91M
$67.67M
$162.52M
$94.86M
$0.70M
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Fundamental Metrics & Ratios
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--
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Debt to Capital Ratio
0.37
0.59
--
-0.05%
-0.05%
--
139.48%
138.94%
$109.34M
--
--
--
0.03
--
--
--
9.56%
9.56%
4.85%
6.00%
$9.28
$2.08
$0.44