
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 |
|---|---|---|---|---|---|---|---|---|
| Real Estate Investment Property, Net | $4.49B+1.3% | $4.44B-2.2% | $4.54B-3.7% | $4.71B+0.0% | $4.71B-2.8% | $4.85B-6.7% | $5.20B+3.4% | $5.02B |
| Land held for development | $20.2M+0.0% | $20.2M+0.0% | $20.2M+0.0% | $20.2M+0.0% | $20.2M-13.2% | $23.2M-17.3% | $28.1M-17.8% | $34.2M |
| Property under development | $54.9M-51.1% | $112.3M-14.5% | $131.3M+72.7% | $76.0M+79.5% | $42.4M-26.5% | $57.6M+56.8% | $36.8M-87.2% | $287.5M |
| Operating Lease, Right-of-Use Asset | $170.8M-1.5% | $173.4M-7.1% | $186.6M-7.1% | $201.0M+11.2% | $180.8M+10.4% | $163.8M-22.5% | $211.2M | $0 |
| Financing Receivable, after Allowance for Credit Loss, Current | $679.3M+2.0% | $665.8M+16.9% | $569.8M+24.6% | $457.3M+23.5% | $370.2M+1.2% | $365.6M+2.3% | $357.4M | — |
| Real Estate Investments, Joint Ventures | $12.3M-12.1% | $14.0M-71.8% | $49.8M-6.1% | $53.0M | — | — | — | — |
| Cash and cash equivalents | $90.6M+310.6% | $22.1M-71.7% | $78.1M-27.7% | $107.9M-62.6% | $288.8M-71.8% | $1.03B+94.0% | $528.8M+8904.8% | $5.9M |
| Restricted cash | $8.1M-40.8% | $13.6M+369.9% | $2.9M+12.6% | $2.6M+138.8% | $1.1M-55.7% | $2.4M-9.1% | $2.7M-78.8% | $12.6M |
| Accounts receivable | $97.9M+15.7% | $84.6M+32.9% | $63.7M+18.8% | $53.6M-31.4% | $78.1M-32.8% | $116.2M+33.8% | $86.9M-11.7% | $98.4M |
| Other assets | $71.6M-4.8% | $75.3M+22.7% | $61.3M-16.1% | $73.1M+4.5% | $69.9M-0.4% | $70.2M-25.4% | $94.2M-2.1% | $96.2M |
| Total assets | $5.70B+1.5% | $5.62B-1.5% | $5.70B-1.0% | $5.76B-0.7% | $5.80B-13.5% | $6.70B+1.9% | $6.58B+7.3% | $6.13B |
| Accounts payable and accrued liabilities | $99.4M-7.9% | $108.0M+13.7% | $94.9M+18.5% | $80.1M+9.0% | $73.5M-30.3% | $105.4M-14.3% | $122.9M-27.0% | $168.5M |
| Operating Lease, Liability | $204.7M-3.6% | $212.4M-6.4% | $227.0M-6.0% | $241.4M+10.3% | $218.8M+8.2% | $202.2M-14.2% | $235.7M | $0 |
| Dividends Payable, Current | $22.5M-13.0% | $25.8M+2.2% | $25.3M+18.1% | $21.4M+13.3% | $18.9M+52388.9% | $36K-99.9% | $29.4M+9.9% | $26.8M |
| Preferred dividends payable | $6.0M+0.0% | $6.0M+0.0% | $6.0M-0.0% | $6.0M-0.0% | $6.0M+0.0% | $6.0M+0.0% | $6.0M+0.0% | $6.0M |
| Unearned rents and interest | $108.5M+34.7% | $80.6M+4.0% | $77.4M+21.1% | $63.9M+3.9% | $61.6M-6.0% | $65.5M-12.5% | $74.8M-5.3% | $79.1M |
| Debt | $2.93B+2.4% | $2.86B+1.6% | $2.82B+0.2% | $2.81B+0.2% | $2.80B-24.1% | $3.69B+19.1% | $3.10B+3.9% | $2.99B |
| Liabilities | $3.37B+2.3% | $3.29B+1.4% | $3.25B+0.7% | $3.22B+1.3% | $3.18B-21.9% | $4.07B+14.1% | $3.57B+9.3% | $3.27B |
| Common Stock, Value, Issued | $842K+0.7% | $836K+0.8% | $829K+0.5% | $825K+0.4% | $822K+0.4% | $819K+0.4% | $816K+5.7% | $772K |
| Additional paid-in-capital | $3.98B+0.7% | $3.95B+0.7% | $3.92B+0.6% | $3.90B+0.6% | $3.88B+0.5% | $3.86B+0.6% | $3.83B+9.4% | $3.50B |
| Treasury Stock, Value | -$295.3M-3.5% | -$285.4M-4.2% | -$274.0M-1.6% | -$269.8M-1.9% | -$264.8M-1.4% | -$261.2M-77.2% | -$147.4M-12.8% | -$130.7M |
| Accumulated Other Comprehensive Income (Loss), Net of Tax | $1.0M+127.6% | -$3.8M-214.0% | $3.3M+73.7% | $1.9M-80.9% | $10.0M+4508.8% | $216K-97.0% | $7.3M-39.8% | $12.1M |
| Accumulated Distributions in Excess of Net Income | -$1.36B-1.2% | -$1.34B-11.5% | -$1.20B-9.4% | -$1.10B-9.2% | -$1.00B-3.9% | -$967.0M-40.2% | -$689.9M-32.2% | -$521.7M |
| Equity | $2.33B+0.3% | $2.32B-5.3% | $2.45B-3.2% | $2.54B-3.1% | $2.62B-0.5% | $2.63B-12.5% | $3.01B+4.9% | $2.87B |
| Liabilities and Equity | $5.70B+1.5% | $5.62B-1.5% | $5.70B-1.0% | $5.76B-0.7% | $5.80B-13.5% | $6.70B+1.9% | $6.58B+7.3% | $6.13B |
| Series C Preferred Shares [Member] | ||||||||
| Preferred shares | $60K+0.0% | $60K+0.0% | $60K+0.0% | $60K+0.0% | $60K+0.0% | $60K+0.0% | $60K+0.0% | $60K |
| Series E Preferred Shares [Member] | ||||||||
| Series G Preferred Stock [Member] | ||||||||
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.