
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 |
|---|---|---|---|---|---|---|---|
| Land and improvements | $1.96B+5.2% | $1.87B+5.6% | $1.77B+5.6% | $1.67B+5.5% | $1.59B+2.4% | $1.55B-99.9% | $1.55T |
| Building and improvements | $4.31B+5.4% | $4.09B+7.0% | $3.82B+6.9% | $3.57B+6.5% | $3.36B+3.6% | $3.24B-99.9% | $3.20T |
| In-place lease assets | $538.3M+2.9% | $523.2M+5.6% | $495.5M+5.1% | $471.5M+4.2% | $452.5M+2.4% | $441.7M-99.9% | $442.73B |
| Above-market lease assets | $77.6M+1.6% | $76.4M+2.6% | $74.4M+3.5% | $72.0M+4.7% | $68.7M+4.0% | $66.1M-99.9% | $65.95B |
| Total investment in real estate assets | $6.88B+5.1% | $6.55B+6.4% | $6.16B+6.3% | $5.79B+6.0% | $5.46B+3.2% | $5.30B-99.9% | $5.26T |
| Accumulated depreciation and amortization | -$1.96B-10.5% | -$1.77B-15.0% | -$1.54B-17.0% | -$1.32B-18.6% | -$1.11B-18.0% | -$941.4M+99.9% | -$731.56B |
| Net investment in real estate assets | $4.93B+3.0% | $4.78B+3.6% | $4.62B+3.2% | $4.47B+2.8% | $4.35B-0.0% | $4.35B-99.9% | $4.53T |
| Investment in unconsolidated joint ventures | $42.6M+34.2% | $31.7M+25.8% | $25.2M-7.3% | $27.2M-13.2% | $31.3M-16.2% | $37.4M-99.9% | $42.85B |
| Total investment in real estate assets, net | $4.97B+3.3% | $4.81B+3.7% | $4.64B+3.1% | $4.50B+2.6% | $4.38B-0.1% | $4.39B-99.9% | $4.57T |
| Cash and cash equivalents | $3.5M-27.4% | $4.9M+0.2% | $4.9M-11.1% | $5.5M-94.1% | $92.6M-11.2% | $104.3M-99.4% | $17.82B |
| Restricted cash | $39.8M+955.4% | $3.8M-5.9% | $4.0M-66.3% | $11.9M-48.3% | $22.9M-17.0% | $27.6M-100.0% | $77.29B |
| Goodwill | $29.1M+0.0% | $29.1M+0.0% | $29.1M+0.0% | $29.1M+0.0% | $29.1M+0.0% | $29.1M-99.9% | $29.07B |
| Other assets, net | $244.3M+25.1% | $195.3M+4.8% | $186.4M-1.3% | $188.9M+36.8% | $138.1M+9.2% | $126.5M-99.9% | $128.69B |
| Total assets | $5.29B+4.8% | $5.05B+3.7% | $4.87B+2.7% | $4.74B+1.4% | $4.67B-0.2% | $4.68B-99.9% | $4.83T |
| Debt obligations, net | $2.38B+12.6% | $2.11B+7.1% | $1.97B+3.8% | $1.90B+0.3% | $1.89B-17.5% | $2.29B-99.9% | $2.35T |
| Below-market lease liabilities, net | $118.4M+1.9% | $116.1M+7.3% | $108.2M-1.4% | $109.8M+2.1% | $107.5M+5.7% | $101.7M-99.9% | $112.32B |
| Accounts payable and other liabilities | $180.3M+10.2% | $163.7M+40.6% | $116.5M+2.9% | $113.2M+16.4% | $97.2M-45.1% | $176.9M-99.9% | $124.05B |
| Deferred income | $23.0M+0.6% | $22.9M+24.8% | $18.4M-0.7% | $18.5M-3.5% | $19.1M+31.3% | $14.6M-99.9% | $15.96B |
| Total liabilities | $2.70B+11.8% | $2.41B+9.0% | $2.21B+3.5% | $2.14B-2.5% | $2.19B-17.7% | $2.66B-99.9% | $2.66T |
| Commitments and contingencies (see Note 11) | $0 | $0 | $0 | $0 | $0 | $0 | $0 |
| Preferred stock | $0 | $0 | $0 | $0 | $0 | $0 | $0 |
| Common stock | $1.3M+0.6% | $1.3M+2.5% | $1.2M | $0-100.0% | $936K-66.5% | $2.8M-99.9% | $2.89B |
| Additional paid-in capital (“APIC”) | $3.66B+0.5% | $3.65B+2.8% | $3.55B+4.8% | $3.38B+3.7% | $3.26B+19.2% | $2.74B-99.9% | $2.78T |
| Accumulated other comprehensive income (“AOCI”) | $358K-91.7% | $4.3M-59.1% | $10.5M-49.9% | $21.0M+184.6% | -$24.8M+52.6% | -$52.3M+99.7% | -$20.76B |
| Accumulated deficit | -$1.38B-3.5% | -$1.33B-6.7% | -$1.25B-6.7% | -$1.17B-7.2% | -$1.09B-9.1% | -$999.5M+99.9% | -$947.25B |
| Total stockholders’ equity | $2.29B-1.4% | $2.32B+0.4% | $2.31B+3.3% | $2.24B+4.0% | $2.15B+27.2% | $1.69B-99.9% | $1.81T |
| Noncontrolling interests | $302.8M-3.6% | $314.1M-8.4% | $343.0M-5.0% | $360.9M+10.4% | $326.8M+0.4% | $325.6M-99.9% | $354.79B |
| Total equity | $2.59B-1.7% | $2.63B-0.7% | $2.65B+2.2% | $2.60B+4.9% | $2.48B+22.8% | $2.02B-99.9% | $2.17T |
| Total liabilities and equity | $5.29B+4.8% | $5.05B+3.7% | $4.87B+2.7% | $4.74B+1.4% | $4.67B-0.2% | $4.68B-99.9% | $4.83T |
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.