Federal Realty Investment Trust financials at a glance

Year Year 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2021 2022 2023 2024
Rev. Revenue
$827.43M $933.78M $912.04M $856.93M $801.64M $745.43M $687.33M $638.91M $607.55M $552.91M $542.86M $529.89M $521.22M $484.18M $427.47M $391.30M $383.82M $952.47M $1.08B $1.14B $0.00M
GM % Gross Margin %
65.71% 68.80% 69.31% 69.22% 69.43% 69.90% 70.55% 71.55% 71.73% 70.54% 69.72% 69.55% 69.51% 70.75% 71.61% 70.77% 76.57% 67.54% 67.67% 68.74% 0.00%
OM Operating Margin
29.07% 37.75% 37.97% 38.73% 40.05% 40.46% 39.61% 40.01% 42.07% 41.29% 42.48% 42.88% 42.30% 43.54% 43.86% 43.03% 39.54% 32.13% 34.06% 35.25% 0.00%
EPS Earnings Per Share
$3.06 $3.27 $3.63 $3.88 $3.45 $3.87 $4.01 $4.30 $4.60 $4.93 $5.33 $5.64 $5.91 $6.22 $6.31 $4.47 $5.50 $6.30 $6.55
Div. Dividends
$4.22 $4.17 $4.04 $4.00 $3.84 $3.76 $3.30 $3.02 $2.88 $2.76 $2.66 $2.62 $2.60 $2.34 $2.46 $2.37 $1.99 $4.26 $4.30 $4.34 $0.00
PR % Payout Ratio %
94.41% 66.09% 64.95% 67.68% 68.09% 70.54% 66.94% 65.65% 66.98% 68.83% 68.73% 75.94% 67.01% 64.46% 75.23% 77.45% 70.07% 77.45% 68.25% 66.26% 0
Sha. Shares
75.65m 75.52m 73.86m 72.55m 71.79m 69.42m 68.13m 65.04m 64.63m 63.5m 61.52m 61.19m 58.97m 56.63m 55.29m 52.74m 52.11m 77.79m 78.69m 81.62m 82.94m
OCF Operating Cash Flow
$369.93M $461.92M $516.69M $458.83M $427.67M $369.05M $346.13M $314.50M $296.63M $244.71M $256.74M $256.77M $228.29M $214.21M $186.65M $174.94M $174.15M $471.35M $516.77M $555.83M $0.00M
FCF Free Cash Flow
$-132.01M $52.01M $148.43M $382.23M $361.69M $313.74M $299.83M $267.43M $245.30M $194.17M $218.06M $230.77M $194.50M $188.45M $162.69M $154.78M $136.04M $30.84M $100.07M $155.68M $0.00M
FCFS Free Cash Flow Per Share
$4.00 $5.07 $6.15 $5.30 $5.22 $4.69 $4.45 $4.09 $3.84 $3.11 $3.56 $3.87 $3.32 $3.36 $3.04 $2.95 $2.67 $5.17 $5.12 $5.64 $0.00