BFS Saul Centers Inc

Price (delayed)

$29.88

Market cap

$728.08M

P/E Ratio

22.64

Dividend/share

$2.36

EPS

$1.32

Enterprise value

$2.29B

?
Relative Growth: Rel. Growth: 42
Relative Strength: Rel. Strength: 27
Relative Valuation: Rel. Valuation: 52
Relative Profitability: Rel. Profitability: 68

Saul Centers is a self-managed, self-administered equity REIT headquartered in Bethesda, Maryland, which currently operates and manages a real estate portfolio of 60 properties which includes (a) 50 community and ...

Highlights
BFS's price to earnings (P/E) is 14% less than its 5-year quarterly average of 26.1 and 7% less than its last 4 quarters average of 24.2
The revenue has increased by 5% year-on-year
The EPS has contracted by 26% YoY and by 10% from the previous quarter
Saul Centers's net income has decreased by 20% YoY and by 8% from the previous quarter

Key stats

What are the main financial stats of BFS
Market
Shares outstanding
24.37M
Market cap
$728.08M
Enterprise value
$2.29B
Valuations
Price to earnings (P/E)
22.64
Price to book (P/B)
2.24
Price to sales (P/S)
2.6
PEG
N/A
EV/EBIT
21.65
EV/EBITDA
14.23
EV/Sales
8.23
Earnings
Revenue
$277.9M
Gross profit
$200.11M
Operating income
$119.53M
Net income
$43.09M
EBIT
$105.64M
EBITDA
$160.73M
Free cash flow
-$40.86M
Per share
EPS
$1.32
EPS diluted
$1.31
Free cash flow per share
-$1.69
Book value per share
$13.31
Revenue per share
$11.48
TBVPS
$88.36
Balance sheet
Total assets
$2.14B
Total liabilities
$1.65B
Debt
$1.56B
Equity
$322.38M
Working capital
N/A
Liquidity
Debt to equity
4.85
Current ratio
N/A
Quick ratio
N/A
Net debt/EBITDA
9.7
Margins
EBITDA margin
57.8%
Gross margin
72%
Net margin
15.5%
Operating margin
43%
Efficiency
Return on assets
1.5%
Return on equity
9.6%
Return on invested capital
2.9%
Return on capital employed
N/A
Return on sales
38%
Dividend
Dividend yield
7.9%
DPS
$2.36
Payout ratio
178.8%

BFS stock price

How has the Saul Centers stock price performed over time
Intraday
0.37%
1 week
-0.33%
1 month
-5.38%
1 year
-27.02%
YTD
-22.99%
QTD
-6.24%

Financial performance

How have Saul Centers's revenue and profit performed over time
Revenue
$277.9M
Gross profit
$200.11M
Operating income
$119.53M
Net income
$43.09M
Gross margin
72%
Net margin
15.5%
Saul Centers's net margin has decreased by 24% YoY and by 9% from the previous quarter
Saul Centers's net income has decreased by 20% YoY and by 8% from the previous quarter
The company's operating margin fell by 7% YoY and by 2.1% QoQ
The revenue has increased by 5% year-on-year

Price vs fundamentals

How does BFS's price correlate with its fundamentals

Growth

What is Saul Centers's growth rate over time

Valuation

What is Saul Centers stock price valuation
P/E
22.64
P/B
2.24
P/S
2.6
EV/EBIT
21.65
EV/EBITDA
14.23
EV/Sales
8.23
The EPS has contracted by 26% YoY and by 10% from the previous quarter
BFS's price to earnings (P/E) is 14% less than its 5-year quarterly average of 26.1 and 7% less than its last 4 quarters average of 24.2
The P/B is 17% lower than the last 4 quarters average of 2.7 and 10% lower than the 5-year quarterly average of 2.5
Saul Centers's equity has decreased by 7% YoY
BFS's P/S is 34% below its 5-year quarterly average of 3.9 and 24% below its last 4 quarters average of 3.4
The revenue has increased by 5% year-on-year

Efficiency

How efficient is Saul Centers business performance
BFS's ROA is down by 29% YoY and by 12% QoQ
The ROE has contracted by 20% YoY and by 9% from the previous quarter
The return on invested capital has declined by 6% year-on-year
The ROS has contracted by 3.3% YoY

Dividends

What is BFS's dividend history
DPS
$2.36
Dividend yield
7.9%
Payout ratio
178.8%
Recent dividends

Special dividends are included in TTM DPS and yield

Financial health

How did Saul Centers financials performed over time
BFS's total assets is 30% higher than its total liabilities
The company's total liabilities rose by 6% YoY
BFS's total assets is up by 3.3% YoY
The debt to equity has grown by 16% year-on-year and by 3.2% since the previous quarter
Saul Centers's debt has increased by 8% YoY

All financial data is based on trailing twelve months (TTM) periods - updated quarterly, unless otherwise specified.