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CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Assets    
Land $ 1,094,240 $ 1,066,852
Buildings 3,770,497 3,733,805
Fixtures and tenant improvements 600,948 576,036
Total real estate rental property 5,465,685 5,376,693
Less: Accumulated depreciation (1,724,837) (1,652,899)
Real estate rental property, net 3,740,848 3,723,794
Construction in progress and land 60,231 56,466
Total real estate assets, net 3,801,079 3,780,260
Investments in and advances to joint ventures, net 40,556 44,608
Cash and cash equivalents 28,041 20,254
Restricted cash 552 960
Accounts receivable 61,376 63,926
Other assets, net 129,397 135,009
Total assets 4,061,001 4,045,017
Unsecured indebtedness:    
Senior notes, net 1,367,775 1,453,923
Term loan, net 198,689 198,521
Revolving credit facility 175,000 0
Total unsecured indebtedness 1,741,464 1,652,444
Mortgage indebtedness, net 53,829 54,577
Total indebtedness 1,795,293 1,707,021
Accounts payable and other liabilities 210,927 214,985
Dividends payable 30,083 30,389
Total liabilities 2,036,303 1,952,395
Commitments and contingencies
SITE Centers Equity    
Common shares, with par value, $0.10 stated value; 300,000,000 shares authorized; 214,372,608 and 214,371,498 shares issued at June 30, 2023 and December 31, 2022, respectively 21,437 21,437
Additional paid-in capital 5,971,918 5,974,216
Accumulated distributions in excess of net income (4,085,897) (4,046,370)
Deferred compensation obligation 4,941 5,025
Accumulated other comprehensive income 10,125 9,038
Less: Common shares in treasury at cost: 5,376,465 and 3,787,279 shares at June 30, 2023 and December 31, 2022, respectively (72,826) (51,518)
Total SITE Centers shareholders' equity 2,024,698 2,086,828
Non-controlling interests 0 5,794
Total equity 2,024,698 2,092,622
Total liabilities and equity 4,061,001 4,045,017
Class A Cumulative Redeemable Preferred Shares [Member]    
SITE Centers Equity    
Cumulative redeemable preferred shares $ 175,000 $ 175,000