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BFS-PE

Saul Centers, Inc.

Price Chart
Latest Quote

$22.30

+0.30 (+1.36%)
Current Price
Previous Close $22.00
Open $22.01
Day High $22.30
Day Low $22.01
Volume 1,920
Fetched: 2026-06-05T05:36:22
Stock Information
Quarterly Dividend / Yield $1.50 / 6.73%
Quarterly Dividend Yield 6.73%
Quarterly Dividend $1.50
Total Debt $1.60B
Cash Equivalents $11.14M
Revenue $296.25M
Net Income $25.64M
Sector Real Estate
Industry REIT - Retail
P/E Ratio 13.20
EPS (TTM) $1.69
Exchange NYQ
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📊 Comprehensive Analysis
Company Data
Enterprise Value$2.49B
Sales$296.25M
Income$25.64M
Book/sh$4.75
Employees156
Financial Ratios
Quick Ratio0.34
Current Ratio0.34
Debt/Eq337.58
EPS Growth TTM-7.00%
Returns & Margins
ROA3.55%
ROE10.03%
Gross Margin70.65%
Operating Margin40.50%
Profit Margin12.43%
Ownership
Institutional Ownership47.53%
Insider & Institutional transactions data not available
Valuation Ratios
P/B4.69
Analyst Data
Recommendationnone
Technical Indicators
SMA20$22.71
SMA50$22.38
SMA200$22.02
RSI37.62
ATR0.5038
Shares Float13.56M
Short Ratio14.90
Volatility0.89
Rel Volume0.44
Performance History
Week-2.73%
Month-0.22%
Quarter+1.14%
6 Months+9.06%
YTD+2.47%
Year+12.96%
3 Years+36.55%
5 Years+17.74%
10 Years+37.63%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-04 $22.30 1,927
2026-06-03 $22.00 7,804
2026-06-02 $22.38 7,631
2026-06-01 $22.15 4,217
2026-05-29 $22.15 15,645
2026-05-28 $22.92 2,398
2026-05-27 $23.09 3,743
2026-05-26 $22.80 884
2026-05-22 $22.95 1,366
2026-05-21 $22.98 3,007
2026-05-20 $22.96 4,119
2026-05-19 $22.83 1,276
2026-05-18 $22.57 4,722
2026-05-15 $22.62 2,144
2026-05-14 $23.11 16,403
2026-05-13 $23.11 2,106
2026-05-12 $22.75 667
2026-05-11 $22.76 169
2026-05-08 $23.10 2,889
2026-05-07 $22.60 3,747
2026-05-06 $22.50 2,338
2026-05-05 $22.35 1,793
About Saul Centers, Inc.

Saul Centers, Inc. is a self-managed, self-administered equity REIT headquartered in Bethesda, Maryland, which currently operates and manages a real estate portfolio of 62 properties which includes (a) 59 community and neighborhood shopping centers and mixed-use properties with approximately 10.5 million square feet of leasable area and (b) three land and development properties. Over 85% of the Saul Centers' property operating income is generated by properties in the metropolitan Washington, DC/Baltimore area. Saul Centers, Inc. was established on June 10, 1993 and incorporated in Maryland, USA.

Period:
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Income Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Revenue
Reconciled Cost Of Revenue $72,061,000 $67,139,000 $64,522,000 $61,628,000
Cost Of Revenue $72,061,000 $67,139,000 $64,522,000 $61,628,000
Total Revenue $268,847,000 $257,207,000 $245,860,000 $239,225,000
Operating Revenue $261,178,000 $249,057,000 $240,837,000 $234,515,000
Expenses
Interest Expense $51,502,000 $47,198,000 $42,028,000 $43,721,000
Total Expenses $147,629,000 $139,028,000 $135,883,000 $132,152,000
Other Income Expense $181,000 - $-648,000 -
Net Non Operating Interest Income Expense $-53,696,000 $-49,153,000 $-43,937,000 $-45,424,000
Total Other Finance Cost $2,353,000 $2,250,000 $1,985,000 $1,710,000
Interest Expense Non Operating $51,502,000 $47,198,000 $42,028,000 $43,721,000
Operating Expense $75,568,000 $71,889,000 $71,361,000 $70,524,000
General And Administrative Expense $25,066,000 $23,459,000 $22,392,000 $20,252,000
Other Operating Expenses - - - $50,272,000
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $50,649,000 $52,689,000 $50,194,000 $48,389,000
Net Interest Income $-53,696,000 $-49,153,000 $-43,937,000 $-45,424,000
Interest Income $159,000 $295,000 $76,000 $7,000
Normalized Income $50,506,010 $52,689,000 $50,705,920 $48,389,000
Net Income From Continuing And Discontinued Operation $50,649,000 $52,689,000 $50,194,000 $48,389,000
Net Income Common Stockholders $39,455,000 $41,495,000 $39,000,000 $37,195,000
Net Income $50,649,000 $52,689,000 $50,194,000 $48,389,000
Net Income Including Noncontrolling Interests $67,703,000 $69,026,000 $65,392,000 $61,649,000
Net Income Continuous Operations $67,703,000 $69,026,000 $65,392,000 $61,649,000
Pretax Income $67,703,000 $69,026,000 $65,392,000 $61,649,000
Special Income Charges $0 $0 $-648,000 $0
Interest Income Non Operating $159,000 $295,000 $76,000 $7,000
Operating Income $121,218,000 $118,179,000 $109,977,000 $107,073,000
Depreciation Amortization Depletion Income Statement $50,502,000 $48,430,000 $48,969,000 $50,272,000
Depreciation And Amortization In Income Statement $50,502,000 $48,430,000 $48,969,000 $50,272,000
Gross Profit $196,786,000 $190,068,000 $181,338,000 $177,597,000
Total Operating Income As Reported - - $65,392,000 $61,649,000
Other
Tax Effect Of Unusual Items $38,010 $0 $-136,080 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $169,526,000 $164,654,000 $157,037,000 $155,642,000
Total Unusual Items $181,000 $0 $-648,000 $0
Total Unusual Items Excluding Goodwill $181,000 $0 $-648,000 $0
Reconciled Depreciation $50,502,000 $48,430,000 $48,969,000 $50,272,000
EBITDA (Bullshit earnings) $169,707,000 $164,654,000 $156,389,000 $155,642,000
EBIT $119,205,000 $116,224,000 $107,420,000 $105,370,000
Diluted NI Availto Com Stockholders $39,455,000 $41,495,000 $39,000,000 $37,195,000
Preferred Stock Dividends $11,194,000 $11,194,000 $11,194,000 $11,194,000
Minority Interests $-17,054,000 $-16,337,000 $-15,198,000 $-13,260,000
Gain On Sale Of Security $181,000 - - -
Selling General And Administration $25,066,000 $23,459,000 $22,392,000 $20,252,000
Other Gand A $25,066,000 $23,459,000 $22,392,000 $20,252,000
Other Special Charges - - $648,000 -
Otherunder Preferred Stock Dividend - - - $0
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Assets
Net Tangible Assets $335,754,000 $348,389,000 $400,484,000 $405,049,000
Total Assets $2,126,404,000 $1,994,137,000 $1,833,302,000 $1,746,761,000
Total Non Current Assets $2,065,156,000 $1,929,698,000 $1,763,700,000 $1,673,508,000
Other Non Current Assets $14,944,000 $14,335,000 $21,651,000 $15,490,000
Non Current Deferred Assets $25,907,000 $23,728,000 $22,388,000 $24,005,000
Current Assets $61,248,000 $64,439,000 $69,602,000 $73,253,000
Receivables $50,949,000 $56,032,000 $56,323,000 $58,659,000
Accounts Receivable $50,949,000 $56,032,000 $56,323,000 $58,659,000
Cash Cash Equivalents And Short Term Investments $10,299,000 $8,407,000 $13,279,000 $14,594,000
Cash And Cash Equivalents $10,299,000 $8,407,000 $13,279,000 $14,594,000
Debt
Net Debt $1,522,317,000 $1,378,594,000 $1,209,621,000 $1,129,262,000
Total Debt $1,532,616,000 $1,387,001,000 $1,222,900,000 $1,143,856,000
Long Term Debt And Capital Lease Obligation $1,346,127,000 $1,112,286,000 $1,060,959,000 $1,040,689,000
Long Term Debt $1,346,127,000 $1,112,286,000 $1,060,959,000 $1,040,689,000
Current Debt And Capital Lease Obligation $186,489,000 $274,715,000 $161,941,000 $103,167,000
Current Debt $186,489,000 $274,715,000 $161,941,000 $103,167,000
Liabilities
Total Liabilities Net Minority Interest $1,625,280,000 $1,489,708,000 $1,311,500,000 $1,216,274,000
Total Non Current Liabilities Net Minority Interest $1,369,160,000 $1,135,034,000 $1,084,128,000 $1,065,877,000
Non Current Deferred Liabilities $23,033,000 $22,748,000 $23,169,000 $25,188,000
Current Liabilities $256,120,000 $354,674,000 $227,372,000 $150,397,000
Payables And Accrued Expenses $69,631,000 $79,959,000 $65,431,000 $47,230,000
Payables $69,631,000 $79,959,000 $65,431,000 $47,230,000
Dividends Payable $23,469,000 $22,937,000 $22,453,000 $21,672,000
Accounts Payable $46,162,000 $57,022,000 $42,978,000 $25,558,000
Equity
Common Stock Equity $150,754,000 $163,389,000 $215,484,000 $220,049,000
Preferred Stock Equity $185,000,000 $185,000,000 $185,000,000 $185,000,000
Total Equity Gross Minority Interest $501,124,000 $504,429,000 $521,802,000 $530,487,000
Stockholders Equity $335,754,000 $348,389,000 $400,484,000 $405,049,000
Gains Losses Not Affecting Retained Earnings $2,966,000 $2,014,000 $2,852,000 $0
Other Equity Adjustments $2,966,000 $2,014,000 $2,852,000 -
Retained Earnings $-306,541,000 $-288,825,000 $-273,559,000 $-256,448,000
Other Equity Interest - - $39,650,000 $39,650,000
Other
Preferred Shares Number $7,400,000 $7,400,000 $7,400,000 $7,400,000
Ordinary Shares Number $24,302,576 $24,082,887 $24,016,009 $23,840,471
Share Issued $24,302,576 $24,082,887 $24,016,009 $23,840,471
Tangible Book Value $150,754,000 $163,389,000 $215,484,000 $220,049,000
Invested Capital $1,683,370,000 $1,550,390,000 $1,438,384,000 $1,363,905,000
Working Capital $-194,872,000 $-290,235,000 $-157,770,000 $-77,144,000
Total Capitalization $1,681,881,000 $1,460,675,000 $1,461,443,000 $1,445,738,000
Minority Interest $165,370,000 $156,040,000 $121,318,000 $125,438,000
Additional Paid In Capital $454,086,000 $449,959,000 $446,301,000 $436,609,000
Capital Stock $185,243,000 $185,241,000 $185,240,000 $185,238,000
Common Stock $243,000 $241,000 $240,000 $238,000
Preferred Stock $185,000,000 $185,000,000 $185,000,000 $185,000,000
Non Current Deferred Revenue $23,033,000 $22,748,000 $23,169,000 $25,188,000
Line Of Credit $186,489,000 $274,715,000 $161,941,000 $103,167,000
Investment Properties $2,024,305,000 $1,891,635,000 $1,719,661,000 $1,634,013,000
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow
Free Cash Flow $121,224,000 $117,727,000 $121,151,000 $118,427,000
Operating Activities
Operating Cash Flow $121,224,000 $117,727,000 $121,151,000 $118,427,000
Cash Flow From Continuing Operating Activities $121,224,000 $117,727,000 $121,151,000 $118,427,000
Operating Gains Losses $-181,000 - $648,000 -
Investing Activities
Investing Cash Flow $-188,732,000 $-203,681,000 $-116,888,000 $-55,918,000
Cash Flow From Continuing Investing Activities $-188,732,000 $-203,681,000 $-116,888,000 $-55,918,000
Financing Activities
Issuance Of Capital Stock $2,406,000 $2,238,000 $8,173,000 $14,425,000
Financing Cash Flow $69,400,000 $81,082,000 $-5,578,000 $-74,771,000
Cash Flow From Continuing Financing Activities $69,400,000 $81,082,000 $-5,578,000 $-74,771,000
Net Other Financing Charges $-11,322,000 $-20,843,000 $-30,688,000 $-21,816,000
Cash Dividends Paid $-68,088,000 $-67,916,000 $-66,717,000 $-62,156,000
Preferred Stock Dividend Paid $-11,194,000 $-11,194,000 $-11,194,000 $-11,193,000
Common Stock Dividend Paid $-56,894,000 $-56,722,000 $-55,523,000 $-50,963,000
Net Common Stock Issuance $2,406,000 $2,238,000 $8,173,000 $14,425,000
Common Stock Issuance $2,406,000 $2,238,000 $8,173,000 $14,425,000
Repurchase Of Capital Stock - - - $0
Net Preferred Stock Issuance - - - $0
Preferred Stock Issuance - - - $0
Other
Repayment Of Debt $-317,593,000 $-90,332,000 $-271,096,000 $-87,141,000
Issuance Of Debt $463,997,000 $257,935,000 $354,750,000 $81,917,000
Interest Paid Supplemental Data $51,647,000 $46,083,000 $40,725,000 $44,575,000
End Cash Position $10,299,000 $8,407,000 $13,279,000 $14,594,000
Beginning Cash Position $8,407,000 $13,279,000 $14,594,000 $26,856,000
Changes In Cash $1,892,000 $-4,872,000 $-1,315,000 $-12,262,000
Net Issuance Payments Of Debt $146,404,000 $167,603,000 $83,654,000 $-5,224,000
Net Long Term Debt Issuance $146,404,000 $167,603,000 $83,654,000 $-6,724,000
Long Term Debt Payments $-317,593,000 $-90,332,000 $-271,096,000 $-42,641,000
Long Term Debt Issuance $463,997,000 $257,935,000 $354,750,000 $35,917,000
Net Investment Properties Purchase And Sale $-37,048,000 $-26,196,000 $-15,781,000 $-30,034,000
Sale Of Investment Properties $181,000 $0 $0 $0
Purchase Of Investment Properties $-37,229,000 $-26,196,000 $-15,781,000 $-30,034,000
Net Business Purchase And Sale $-151,684,000 $-177,485,000 $-101,107,000 $-25,884,000
Purchase Of Business $-151,684,000 $-177,485,000 $-101,107,000 $-25,884,000
Change In Working Capital $4,560,000 $1,673,000 $5,440,000 $4,236,000
Change In Other Working Capital $285,000 $-421,000 $-2,019,000 $1,895,000
Change In Other Current Assets $742,000 $453,000 $4,511,000 $-2,820,000
Change In Payables And Accrued Expense $-691,000 $1,884,000 $524,000 $-285,000
Change In Payable $-691,000 $1,884,000 $524,000 $-285,000
Change In Account Payable $-691,000 $1,884,000 $524,000 $-285,000
Change In Receivables $4,224,000 $-243,000 $2,424,000 $5,446,000
Other Non Cash Items $46,560,000 $45,073,000 $48,238,000 $50,168,000
Stock Based Compensation $1,723,000 $1,421,000 $1,521,000 $1,562,000
Asset Impairment Charge $859,000 $534,000 $-88,000 $812,000
Gain Loss On Sale Of PPE $-181,000 $0 $0 $0
Net Income From Continuing Operations $67,703,000 $69,026,000 $65,392,000 $61,649,000
Net Short Term Debt Issuance - $112,000,000 $58,000,000 $1,500,000
Short Term Debt Payments - $-48,000,000 $-97,000,000 $-44,500,000
Short Term Debt Issuance - $160,000,000 $155,000,000 $46,000,000
Preferred Stock Payments - - - $0
Fetched: 2026-02-02