Saul Centers, Inc.

General ticker "BFS" information:

  • Sector: Real Estate
  • Industry: Retail REITs
  • Capitalization: $837.6M (TTM average)

Saul Centers, Inc. does not follow the US Stock Market performance with the rate: -6.4%.

Estimated limits based on current volatility of 0.9%: low 30.15$, high 30.73$

Factors to consider:

  • Company pays dividends (quarterly): last record date 2025-10-15, amount 0.59$ (Y7.89%)
  • Total employees count: 69 (-1.4%) as of 2024
  • Company does not operate outside US (retrieved using AI)
  • Top business risk factors: Tenant dependency, E commerce risks, Cybersecurity threats, Liquidity and credit risks, Market capital access
  • Earnings for 9 months up through Q3 are below our estimates

Stock Forecast*

* forecast is subjective and experimental, should not be used for any investment decisions

Long term estimates were made for the period from 2024-12-31 to 2026-12-31

  • 2024-12-31 to 2025-12-31 estimated range: [31.95$, 43.39$]
  • 2025-12-31 to 2026-12-31 estimated range: [30.62$, 42.25$]

Financial Metrics affecting the BFS estimates:

  • Negative: with PPE of 12.5 at the end of fiscal year the price was very high
  • Positive: Operating profit margin, % of 25.17 > 18.64
  • Negative: Shareholder equity ratio, % of 15.79 <= 18.93
  • Positive: 5.52 < Industry operating cash flow per share per price (median), % of 7.99
  • Positive: Industry inventory ratio change (median), % of 0 <= 0
  • Positive: 6.82 < Operating cash flow per share per price, % of 13.02
  • Positive: 1.87 < Return on assets ratio (scaled to [-100,100]) of 3.09

Similar symbols

Short-term BFS quotes

Long-term BFS plot with estimates

Financial data

YTD 2022-12-31 2023-12-31 2024-12-31
Operating Revenue $245.86MM $257.21MM $269.03MM
Operating Expenses $179.82MM $188.18MM $201.32MM
Operating Income $66.04MM $69.03MM $67.70MM
Non-Operating Income $-0.65MM $0.00MM $0.00MM
Interest Expense $43.94MM $49.15MM $53.70MM
Income(Loss) $65.39MM $69.03MM $67.70MM
Profit(Loss)* $50.19MM $52.69MM $50.65MM
Stockholders Equity $400.48MM $348.39MM $335.75MM
Assets $1,833.30MM $1,994.14MM $2,126.40MM
Operating Cash Flow $121.15MM $117.73MM $121.22MM
Capital expenditure $19.01MM $0.00MM $0.00MM
Investing Cash Flow $-116.89MM $-203.68MM $-188.73MM
Financing Cash Flow $-5.58MM $81.08MM $69.40MM
Earnings Per Share** $2.09 $2.19 $2.10

* Profit(Loss) attributable to entity.
** EPS are Split Adjusted, recent splits may be reflected with a delay.