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SITC.PA    Site Centers Corp    894315    
Income Statement
Revenue 90,763,000
Net Income 322,953,000
Profit Margin 355.82%

Balance Sheet
Assets 3,127,098,000
Liabilities 475,172,000
Equity 2,651,926,000

Cash Flow Statement
Operating Cash Flow 143,199,000
Investing Cash Flow 1,849,963,000

Market Analysis
BVPS 11278.00
PS 0.51
FCF 1,993,162,000
Dividends
Jan Feb Mar
Apr May Jun
Jul Aug Sep
Oct Nov Dec

Earnings
Jan Feb Mar
Apr May Jun
Jul Aug Sep
Oct Nov Dec

Find a discrepancy? The most accurate way to find company fundamental data is to view SITC.PA documents filed with the SEC.


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