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Condensed Consolidated Statements of Changes in Equity (Unaudited) - USD ($)
$ in Thousands
Total
Preferred Stock Issued [Member]
Common Stock 1 [Member]
Kimco Realty OP, LLC [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Kimco Realty OP, LLC [Member]
Common Stock 1 [Member]
Kimco Realty OP, LLC [Member]
Limited Partner [Member]
Kimco Realty OP, LLC [Member]
Limited Partner [Member]
Common Stock 1 [Member]
[1]
Preferred Stock [Member]
Preferred Stock [Member]
Preferred Stock Issued [Member]
[2]
Preferred Stock [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Common Stock [Member]
Common Stock [Member]
Common Stock 1 [Member]
Common Stock [Member]
Kimco Realty OP, LLC [Member]
Common Stock [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Common Stock [Member]
Kimco Realty OP, LLC [Member]
Common Stock 1 [Member]
Paid-in Capital [Member]
Paid-in Capital [Member]
Preferred Stock Issued [Member]
Paid-in Capital [Member]
Common Stock 1 [Member]
Retained Earnings [Member]
Retained Earnings [Member]
Preferred Stock Issued [Member]
Accumulated Other Comprehensive Income/(Loss)
Accumulated Other Comprehensive Income/(Loss)
Kimco Realty OP, LLC [Member]
Parent [Member]
Parent [Member]
Preferred Stock Issued [Member]
Parent [Member]
Common Stock 1 [Member]
Parent [Member]
Kimco Realty OP, LLC [Member]
Parent [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Parent [Member]
Kimco Realty OP, LLC [Member]
Common Stock 1 [Member]
Noncontrolling Interest [Member]
Noncontrolling Interest [Member]
Kimco Realty OP, LLC [Member]
Balance (in shares) at Dec. 31, 2023                 19,000   19,000   619,871,000   619,871,000                                  
Balance at Dec. 31, 2023 $ 9,653,458     $ 9,653,458         $ 19   $ 467,396   $ 6,199   $ 9,054,740     $ 9,638,494     $ (122,576)   $ 3,329 $ 3,329 $ 9,525,465     $ 9,525,465     $ 127,993 $ 127,993
Net income 113,014     113,014                                 108,764       108,764           4,250  
Net income       113,014     $ 176       15,903       92,861                         108,940       4,074
Other comprehensive income/(loss):                                                                
Change in fair value of cash flow hedges for interest payments 7,820     7,820                                     7,820 7,820 7,820     7,820        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees 87     87                                     87 87 87     87        
Redeemable noncontrolling interests income (2,282)     (2,283)                                                     (2,282) (2,283)
Distributions declared to preferred unitholders       (15,903)             $ (15,903)                                 (15,903)        
Distributions declared to common unitholders       (324,109)     (514)               $ (323,595)                         (324,109)        
Dividends declared to preferred shares (15,921)                                       (15,921)       (15,921)              
Dividends declared to common shares (323,577)                                       (323,577)       (323,577)              
Distributions to noncontrolling interests (3,341)     (2,826)                                                     (3,341) (2,826)
Redemption of common units       (3)     $ (3)                                         (3)        
Issuance of stock for merger (in shares)               953,000   2,000   2,000 [1]   53,034,000 [2]     53,034,000 [1]                              
Issuance of stock for merger   $ 105,607 [2] $ 1,166,764 [2]   $ 105,607 [1] $ 1,187,739 [1]   $ 20,975   $ 2   $ 105,607 [1]   $ 530 [2]     $ 1,166,764 [1]   $ 105,605 [2] $ 1,166,234 [2]           $ 105,607 [2] $ 1,166,764 [2]   $ 105,607 [1] $ 1,187,739 [1]    
Issuance of common stock (in shares)             121,000           1,967,000   1,967,000                                  
Issuance of common stock                         $ 20         (20)                            
Surrender of restricted common stock (in shares)                         (760,000)   (760,000)                                  
Surrender of restricted common stock (14,694)     (14,694)                 $ (8)   $ (14,694)     (14,686)             (14,694)     14,694        
Amortization of equity awards 18,322     18,322     $ 824               17,498     17,498             17,498     18,322     824  
Noncontrolling interests assumed from the merger [2] 20,975                                                           20,975  
Redemption/conversion of noncontrolling interests (602)     (599)                     (18)     (18)             (18)     (18)     (584) (581)
Adjustment of redeemable noncontrolling interests to estimated fair value 977     977                     $ 977     977             977     977        
Balance (in shares) at Jun. 30, 2024             1,074,000   21,000   21,000   674,112,000   674,112,000                                  
Balance at Jun. 30, 2024 10,726,607     10,726,607     $ 21,458   $ 21   $ 573,003   $ 6,741   $ 9,994,533     10,914,084     (353,310)   11,236 11,236 10,578,772     10,600,230     147,835 126,377
Balance (in shares) at Mar. 31, 2024             1,074,000   21,000   21,000   674,118,000   674,118,000                                  
Balance at Mar. 31, 2024 10,767,856     10,767,856     $ 21,093   $ 21   $ 573,003   $ 6,741   $ 10,036,757     10,906,300     (303,302)   10,279 10,279 10,620,039     10,641,132     147,817 126,724
Net income 122,052     122,052                                 119,738       119,738           2,314  
Net income       122,052     191       7,961       111,777                         119,929       2,123
Other comprehensive income/(loss):                                                                
Change in fair value of cash flow hedges for interest payments 1,361     1,361                                     1,361 1,361 1,361     1,361        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees (404)     (404)                                     (404) (404) (404)     (404)        
Redeemable noncontrolling interests income (1,145)     (1,146)                                                     (1,145) (1,146)
Distributions declared to preferred unitholders       (7,961)             $ (7,961)                                 (7,961)        
Distributions declared to common unitholders       (162,041)     (256)               $ (161,785)                         (162,041)        
Dividends declared to preferred shares (7,961)                                       (7,961)       (7,961)              
Dividends declared to common shares (161,785)                                       (161,785)       (161,785)              
Distributions to noncontrolling interests (1,581)     (1,324)                                                     (1,581) (1,324)
Redemption of common units       (3)     (3)                                         (3)        
Surrender of restricted common stock (in shares)                         (6,000)   (6,000)                                  
Surrender of restricted common stock (35)     (35)                     $ (35)     (35)             (35)     (35)        
Amortization of equity awards 8,252     8,252     $ 433               $ 7,819     7,819             7,819     8,252     433  
Redemption/conversion of noncontrolling interests (3)                                                           (3)  
Balance (in shares) at Jun. 30, 2024             1,074,000   21,000   21,000   674,112,000   674,112,000                                  
Balance at Jun. 30, 2024 $ 10,726,607     10,726,607     $ 21,458   $ 21   $ 573,003   $ 6,741   $ 9,994,533     10,914,084     (353,310)   11,236 11,236 10,578,772     10,600,230     147,835 126,377
Balance (in shares) at Dec. 31, 2024 20,806           1,074,000   21,000   21,000   679,494,000   679,494,000                                  
Balance at Dec. 31, 2024 $ 10,797,912     10,797,912     $ 22,276   $ 21   $ 549,588   $ 6,795   $ 10,091,921     11,033,485     (398,792)   11,038 11,038 10,652,547     10,674,823     145,365 123,089
Net income 299,445     299,445                                 295,803       295,803           3,642  
Net income       299,445     558       15,239       280,564                         296,361       3,084
Other comprehensive income/(loss):                                                                
Change in fair value of cash flow hedges for interest payments (15,709)     (15,709)                                     (15,709) (15,709) (15,709)     (15,709)        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees (3,119)     (3,119)                                     (3,119) (3,119) (3,119)     (3,119)        
Redeemable noncontrolling interests income (1,469)     (1,469)                                                     (1,469) (1,469)
Distributions declared to preferred unitholders       (15,109)             $ (15,109)                                 (15,109)        
Distributions declared to common unitholders       (339,788)     $ (629)                                         (339,788)        
Dividends declared to preferred shares (15,091)                                       (15,091)       (15,091)              
Dividends declared to common shares (339,177)                           $ (339,159)           (339,177)       (339,177)              
Repurchase of stock (in shares)                           (3,000,000)     (3,000,000)                              
Repurchase of stock   (3,480) (58,844)   (3,480) (58,844)           (3,462)   $ (30)   $ (18) $ (58,844)   (3,332) (58,814)   $ (148)       (3,480) (58,844)   (3,480) (58,844)    
Distributions to noncontrolling interests (2,819)     (2,190)                                                     (2,819) (2,190)
Issuance of equity awards, net (in shares)             371,000           1,241,000   1,241,000                                  
Issuance of equity awards, net 6,425     6,425     $ 4,320           $ 12   $ 2,105     2,093             2,105     6,425     4,320  
Surrender of restricted common stock (in shares)                         (530,000)   (530,000)                                  
Surrender of restricted common stock (11,646)     (11,646)                 $ (5)   $ (11,646)     (11,641)             (11,646)     (11,646)        
Amortization of equity awards 18,349     18,349     $ 1,618               16,731     16,731             16,731     18,349     1,618  
Redemption/conversion of noncontrolling interests                             (78)     (78)             (78)     (78)     78 78
Adjustment of redeemable noncontrolling interests to estimated fair value $ 633     633                     $ 633     633             633     633        
Balance (in shares) at Jun. 30, 2025 20,748           1,445,000   21,000   21,000   677,205,000   677,205,000                                  
Balance at Jun. 30, 2025 $ 10,671,410     10,671,410     $ 28,143   $ 21   $ 546,256   $ 6,772   $ 9,982,209     10,979,077     (457,405)   (7,790) (7,790) 10,520,675     10,548,818     150,735 122,592
Balance (in shares) at Mar. 31, 2025             1,074,000   21,000   21,000   679,497,000   679,497,000                                  
Balance at Mar. 31, 2025 10,733,977     10,733,977     $ 22,877   $ 21   $ 546,901   $ 6,795   $ 10,042,286     11,025,904     (443,533)   (911) (911) 10,588,276     10,611,153     145,701 122,824
Net income 164,942     164,942                                 162,986       162,986           1,956  
Net income       164,942     347       7,556       155,430                         163,333       1,609
Other comprehensive income/(loss):                                                                
Change in fair value of cash flow hedges for interest payments (5,440)     (5,440)                                     (5,440) (5,440) (5,440)     (5,440)        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees (1,439)     (1,439)                                     (1,439) (1,439) (1,439)     (1,439)        
Redeemable noncontrolling interests income (656)     (656)                                                     (656) (656)
Distributions declared to preferred unitholders       (7,556)             $ (7,556)                                 (7,556)        
Distributions declared to common unitholders       (169,644)     $ (360)               $ (169,284)                         (169,644)        
Dividends declared to preferred shares (7,538)                                       (7,538)       (7,538)              
Dividends declared to common shares (169,302)                                       (169,302)       (169,302)              
Repurchase of stock (in shares)                           (3,000,000)     (3,000,000)                              
Repurchase of stock   $ (663) $ (58,844)   $ (663) $ (58,844)           $ (645)   $ (30)   $ (18) $ (58,844)   $ (645) $ (58,814)   $ (18)       $ (663) $ (58,844)   $ (663) $ (58,844)    
Distributions to noncontrolling interests (1,623)     (1,263)                                                     (1,623) (1,263)
Issuance of equity awards, net (in shares)             371,000           716,000   716,000                                  
Issuance of equity awards, net 6,425     6,425     $ 4,320           $ 7   $ 2,105     2,098             2,105     6,425     4,320  
Surrender of restricted common stock (in shares)                         (8,000)   (8,000)                                  
Surrender of restricted common stock (110)     (110)                     $ (110)     (110)             (110)     (110)        
Amortization of equity awards 11,625     11,625     $ 959               10,666     10,666             10,666     11,625     959  
Redemption/conversion of noncontrolling interests                             (78)     (78)             (78)     (78)     78 78
Adjustment of redeemable noncontrolling interests to estimated fair value $ 56     56                     $ 56     56             56     56        
Balance (in shares) at Jun. 30, 2025 20,748           1,445,000   21,000   21,000   677,205,000   677,205,000                                  
Balance at Jun. 30, 2025 $ 10,671,410     $ 10,671,410     $ 28,143   $ 21   $ 546,256   $ 6,772   $ 9,982,209     $ 10,979,077     $ (457,405)   $ (7,790) $ (7,790) $ 10,520,675     $ 10,548,818     $ 150,735 $ 122,592
[1] See Footnotes 1 and 3 of the Notes to Condensed Consolidated Financial Statements for further details.
[2] See Footnotes 1 and 3 of the Notes to Condensed Consolidated Financial Statements for further details.