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Regency Centers Corp (REG)

Regency Centers Corp (REG)
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Company Info

Regency Centers Corp ONE INDEPENDENT DRIVE SUITE 114 JACKSONVILLE FL 32202 USA

www.regencycenters.com Employees: 502 P: 904-598-7000

Description:

Regency Centers Corporation is one of the leading publicly traded retail REIT in the U.S. The company is the preeminent national owner, operator, and developer of shopping centers located in affluent and densely populated trade areas. The Company portfolio includes thriving properties merchandised with highly productive grocers, restaurants, service providers, and best-in-class retailers that connect to their neighborhoods, communities, and customers. Operating as a fully integrated real estate company, Regency Centers is a qualified real estate investment trust (REIT) that is self-administered, self-managed.

Key Statistics

Overview:

Market Capitalization, $K 13,476,151
Enterprise Value, $K 17,763,752
Shares Outstanding, K 181,497
Annual Sales, $ 1,322 M
Annual Net Income, $ 364,560 K
Last Quarter Sales, $ 360,270 K
Last Quarter Net Income, $ 101,470 K
EBIT, $ 893,150 K
EBITDA, $ 1,225 M
60-Month Beta 1.21
% of Insider Shareholders 1.00%
% of Institutional Shareholders 96.07%
Float, K 179,682
% Float 99.00%
Short Volume Ratio 0.71

Growth:

1-Year Return 20.68%
3-Year Return 4.59%
5-Year Return 14.59%
5-Year Revenue Growth 17.97%
5-Year Earnings Growth 39.73%
5-Year Dividend Growth 18.02%

Per-Share Information:

Most Recent Earnings 0.54 on 10/28/24
Next Earnings Date N/A
Earnings Per Share ttm 2.13
EPS Growth vs. Prev Qtr 0.94%
EPS Growth vs. Prev Year 4.90%
Annual Dividend Rate, $ 2.68
Annual Dividend Yield 3.61%
Most Recent Dividend 0.670 on 09/12/24
Next Ex-Dividends Date 12/16/24
Dividend Payable Date 01/03/25
Dividend Payout Ratio 123.13%

REG Ratios

Ratio
Price/Earnings ttm 17.44
Price/Earnings forward 17.24
Price/Earnings to Growth 4.07
Return-on-Equity % 5.85%
Return-on-Assets % 3.21%
Profit Margin % 27.57%
Debt/Equity 0.63
Price/Sales 10.12
Price/Cash Flow 19.57
Price/Book 1.99
Book Value/Share 38.26
Interest Coverage 3.08

REG Dividends

Date Value
09/12/24 $0.6700
06/12/24 $0.6700
03/12/24 $0.6700
12/13/23 $0.6700
09/13/23 $0.6500
06/13/23 $0.6500
03/14/23 $0.6500
12/15/22 $0.6500
09/14/22 $0.6250
06/14/22 $0.6250
03/14/22 $0.6250
12/15/21 $0.6250
09/14/21 $0.5950
06/14/21 $0.5950
03/12/21 $0.5950
12/15/20 $0.5950
08/13/20 $0.5950
05/15/20 $0.5950
02/21/20 $0.5950
11/08/19 $0.5850
08/09/19 $0.5850
05/10/19 $0.5850
02/22/19 $0.5850
11/13/18 $0.5550
08/14/18 $0.5550
05/15/18 $0.5550
02/16/18 $0.5550
11/14/17 $0.5300
08/14/17 $0.5300
05/18/17 $0.5300
02/22/17 $0.5100
11/14/16 $0.5000
08/15/16 $0.5000
05/16/16 $0.5000
02/18/16 $0.5000
11/16/15 $0.4850
08/17/15 $0.4850
05/18/15 $0.4850
02/19/15 $0.4850
11/17/14 $0.4700
08/18/14 $0.4700
05/19/14 $0.4700
02/20/14 $0.4700
11/08/13 $0.4625
08/12/13 $0.4625
05/20/13 $0.4625
02/11/13 $0.4625
11/09/12 $0.4625
08/13/12 $0.4625
05/14/12 $0.4625
02/13/12 $0.4625
11/14/11 $0.4625
08/15/11 $0.4625
05/16/11 $0.4625
02/14/11 $0.4625
11/15/10 $0.4625
08/16/10 $0.4625
05/17/10 $0.4625
02/12/10 $0.4625
11/16/09 $0.4625
08/17/09 $0.4625
05/18/09 $0.4625
02/13/09 $0.7250
11/17/08 $0.7250
08/18/08 $0.7250
05/19/08 $0.7250
02/15/08 $0.7250
11/09/07 $0.6600
08/13/07 $0.6600
05/14/07 $0.6600
02/12/07 $0.6600
11/13/06 $0.5950
08/14/06 $0.5950
05/15/06 $0.5950
02/13/06 $0.5950
11/10/05 $0.5500
08/12/05 $0.5500
05/16/05 $0.5500
02/11/05 $0.5500
11/08/04 $0.5300
08/09/04 $0.5300
05/10/04 $0.5300
02/09/04 $0.5300
11/17/03 $0.5200
08/22/03 $0.5200
05/19/03 $0.5200
02/14/03 $0.5200
11/15/02 $0.5100
08/19/02 $0.5100
05/09/02 $0.5100
02/08/02 $0.5100
11/07/01 $0.5000
08/09/01 $0.5000
05/09/01 $0.5000
02/08/01 $0.5000
11/09/00 $0.4800
08/09/00 $0.4800
05/10/00 $0.4800
02/09/00 $0.4800
11/08/99 $0.4600
08/10/99 $0.4600
05/10/99 $0.4600
02/10/99 $0.4600
11/06/98 $0.4400
08/10/98 $0.4400
05/12/98 $0.4400
02/10/98 $0.4400
11/07/97 $0.4200
08/08/97 $0.4200
05/12/97 $0.4200
02/10/97 $0.4200
11/06/96 $0.4050
08/08/96 $0.4050
05/09/96 $0.4050
02/08/96 $0.4050
11/08/95 $0.3950
08/09/95 $0.3950
05/08/95 $0.3950
02/07/95 $0.3950
11/04/94 $0.3950
08/08/94 $0.3750
05/09/94 $0.3750
02/07/94 $0.2300
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