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Cedar Realty Trust, Inc. (CDR-PB) 10-Year Financial Performance & Capital Metrics

CDR-PB • • REIT / Real Estate
Real EstateRetail REITsOpen-Air Shopping Centers
AboutCedar Realty Trust, Inc. is a fully-integrated real estate investment trust which focuses on the ownership, operation and redevelopment of grocery-anchored shopping centers in high-density urban markets from Washington, D.C. to Boston. The Company's portfolio (excluding properties treated as "held for sale") comprises 54 properties, with approximately 8.1 million square feet of gross leasable area.Show more
  • Revenue $35M -0.2%
  • FFO $13M +2.3%
  • FFO/Share 0.96 +2.3%
  • FFO Payout 78.95% -5.1%
  • FFO per Share 0.96 +2.3%
  • NOI Margin 61.43% -1.0%
  • FFO Margin 38.28% +2.6%
  • ROE 7.01% +383.3%
  • ROA 2.02% +135.1%
  • Debt/Assets 65.9% +9.3%
  • Net Debt/EBITDA 5.37 -16.0%
  • Book Value/Share 4.10 -23.5%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Sustainable FFO payout ratio of 78.9%
  • ✓High NOI margin of 61.4%
  • ✓Healthy dividend yield of 4.0%
  • ✓Trading near 52-week high

✗Weaknesses

  • ✗High debt to equity ratio of 2.5x
  • ✗Weak 3Y average ROE of 0.3%
  • ✗Dividend payout exceeds 100% of earnings

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-13.55%
5Y-24.84%
3Y-35.3%
TTM-10.23%

Profit (Net Income) CAGR

10Y-16.91%
5Y-
3Y-
TTM523.07%

EPS CAGR

10Y-26.71%
5Y-
3Y-
TTM270.59%

ROCE

10Y Avg3.2%
5Y Avg3.18%
3Y Avg3.74%
Latest6.54%

Peer Comparison

Open-Air Shopping Centers
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Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
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TTM Growth
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Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
CDR-PBCedar Realty Trust, Inc.259.82M18.94135.29-0.24%16.76%88.23%2.54
CDR-PCCedar Realty Trust, Inc.247.61M18.05128.93-0.24%16.76%88.23%2.54
PECOPhillips Edison & Company, Inc.4.94B39.2877.028.4%9.95%3.18%4.85%0.80
CURBCurbline Properties Corp.2.93B27.8175.1652.25%21.73%2.08%3.66%0.29
KIMKimco Realty Corporation16B23.5542.8214.22%27.29%5.54%4.26%0.79
REGRegency Centers Corporation14.4B79.0037.449.74%26.36%5.83%5.49%0.73
BRXBrixmor Property Group Inc.9.27B30.2724.226.73%28.16%12.83%7.04%
IVTInvenTrust Properties Corp.2.42B31.2021.979.2%37.3%6.21%6.41%0.54

Compare CDR-PB vs Peers

Analyze head-to-head performance against top industry competitors across valuation, growth, and profitability metrics.

vs KIM

Compare head-to-head with Kimco Realty Corporation

vs REG

Compare head-to-head with Regency Centers Corporation

Compare Top 5

vs KIM, REG, BRX, KRG

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Revenue+149.21M151.09M146.01M152.02M144.08M135.54M127.55M34.01M34.63M34.55M
Revenue Growth %0.69%1.26%-3.36%4.12%-5.22%-5.93%-5.89%-73.34%1.84%-0.24%
Property Operating Expenses44.59M44.52M44.33M47.89M48.35M45.6M46.45M14.07M13.15M13.33M
Net Operating Income (NOI)+----------
NOI Margin %----------
Operating Expenses+53.6M58.94M57.02M56.97M64.67M65.28M57.49M19.74M11.45M7.58M
G&A Expenses15M18.15M16.91M16.91M18.8M16.86M18.03M10.1M3.19M2.3M
EBITDA+88.59M146M145.27M138.4M138.49M133.83M68.06M34.3M20.95M22.33M
EBITDA Margin %----------
Depreciation & Amortization+38.59M108.08M103.21M107.06M113.41M112.37M44.44M34.1M10.92M8.68M
D&A / Revenue %----------
Operating Income+49.99M37.92M42.06M31.33M25.07M21.45M23.62M193K10.03M13.65M
Operating Margin %----------
Interest Expense+28.27M26.53M22.2M22.15M23.51M21.97M18.64M10.89M8.02M9.1M
Interest Coverage1.77x1.43x1.89x1.41x1.07x0.98x1.27x0.02x1.25x1.50x
Non-Operating Income105K2.62M210K4.83M0-1.71M0000
Pretax Income+21.62M8.76M19.65M4.36M1.57M-520K-45M-79.01M2.01M4.54M
Pretax Margin %----------
Income Tax+026.35M22.71M-4.83M022.53M18.73M000
Effective Tax Rate %----------
Net Income+22.15M8.94M19.14M3.89M-22.43M-23.05M-63.73M-24.28M2.01M4.54M
Net Margin %----------
Net Income Growth %-23.58%-59.62%114.06%-79.68%-676.83%-2.73%-176.56%61.91%108.27%126.46%
Funds From Operations (FFO)+----------
FFO Margin %----------
FFO Growth %-10.26%92.67%4.55%-9.32%-18%-1.82%-121.6%150.93%31.54%2.32%
FFO per Share+----------
FFO Payout Ratio %----------
EPS (Diluted)+2.390.962.060.42-2.42-2.49-4.82-1.81-0.640.14
EPS Growth %-23.64%-59.83%114.58%-79.61%-676.19%-2.89%-93.57%62.45%64.64%121.88%
EPS (Basic)2.390.962.060.42-2.42-1.76-4.82-1.81-0.640.14
Diluted Shares Outstanding9.27M9.27M9.27M9.27M9.27M9.27M13.21M13.45M13.72M13.72M

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Assets+1.32B1.23B1.25B1.22B1.21B1.18B1.02B234.16M233.08M216.93M
Asset Growth %2.7%-6.66%1.53%-2.36%-1.41%-2.35%-13.62%-76.97%-0.46%-6.93%
Real Estate & Other Assets+1.25B1.19B1.21B1.17B1.14B1.11B896.69M208.4M204.6M177.51M
PP&E (Net)532K431K393K359K13.64M13.83M9.91M2.06M2.06M0
Investment Securities0-1000K-1000K-1000K-1000K-1000K1000K-1000K00
Total Current Assets+46.09M20.66M24.41M35.55M44.19M39.99M105.64M20.63M23.77M38.15M
Cash & Equivalents2.08M2.88M3.7M1.98M2.75M1.64M3.04M3.9M6.52M23.09M
Receivables1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Current Assets19.99M2.88M3.52M11.59M13.23M9.5M757.27M9.56M9.39M7.53M
Intangible Assets23.19M20.32M17.66M13.21M10.47M8.94M7.79M3.08M2.65M1.26M
Total Liabilities724.04M651.52M622.31M664.18M691.55M689.79M576.93M151.96M159.63M160.72M
Total Debt+677.02M607.75M580.13M624.83M630.58M638.35M527.04M131.46M140.49M142.96M
Net Debt674.94M604.86M576.42M622.86M627.83M636.71M524M127.56M133.98M119.87M
Long-Term Debt673.82M604.52M577.11M519.45M519.21M443.93M455.72M131.46M140.42M142.85M
Short-Term Borrowings03.22M3.02M100M106M189.08M66M00112K
Capital Lease Obligations23.19M20.32M17.66M5.39M5.36M19.42M5.31M159.54M159.54M0
Total Current Liabilities+101.83M95.46M79.52M126.14M156.5M231.58M108.1M17.42M16.48M16.49M
Accounts Payable00000042.1M10.09M8.38M7M
Deferred Revenue0651.52M622.31M664.18M691.55M689.79M-42.1M-131.46M00
Other Liabilities-74.8M-68.78M-69.65M13.21M10.47M8.94M7.79M02.73M1.38M
Total Equity+597.54M582M630.11M558.72M514.08M487.46M439.97M203.28M73.46M56.21M
Equity Growth %3.95%-2.6%8.27%-11.33%-7.99%-5.18%-9.74%-53.8%-63.86%-23.48%
Shareholders Equity596.05M580.74M628.34M555.42M510.56M483.5M437.38M82.2M73.46M56.21M
Minority Interest1.49M1.26M1.77M3.29M3.51M3.96M2.59M121.08M00
Common Stock5.1M390.08M420.83M395.88M351.02M323.96M820K823K823K823K
Additional Paid-in Capital825.98M829.53M875.06M875.57M872.72M879.79M881.01M868.32M868.32M868.95M
Retained Earnings-404.35M-426.86M-446.94M-475.73M-503.73M-522.7M-582.46M-946.49M-955.23M-953.35M
Preferred Stock190.66M190.66M207.51M159.54M159.54M159.54M159.54M159.54M159.54M139.79M
Return on Assets (ROA)1.7%0.7%1.54%0.31%-1.85%-1.93%-5.81%-3.88%0.86%2.02%
Return on Equity (ROE)3.78%1.52%3.16%0.65%-4.18%-4.6%-13.74%-7.55%1.45%7.01%
Debt / Assets51.23%49.27%46.32%51.09%52.3%54.22%51.83%56.14%60.28%65.9%
Debt / Equity1.13x1.04x0.92x1.12x1.23x1.31x1.20x0.65x1.91x2.54x
Net Debt / EBITDA7.62x4.14x3.97x4.50x4.53x4.76x7.70x3.72x6.40x5.37x
Book Value per Share64.4662.7867.9760.2755.4552.5833.3015.125.354.10

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+59.14M57.52M57.53M57.9M53.67M42.58M44.96M-20.46M8.25M9.46M
Operating CF Growth %16.21%-2.72%0%0.65%-7.3%-20.67%5.59%-145.51%140.3%14.73%
Operating CF / Revenue %----------
Net Income21.78M8.76M19.65M4.36M1.57M-520K-45M44.16M2.01M4.54M
Depreciation & Amortization38.59M40.79M40.12M40.05M45.86M48.41M39.45M19.37M10.92M8.45M
Stock-Based Compensation3.17M2.93M3.55M3.76M4.12M3.72M3.04M1.61M00
Other Non-Cash Items-2.02M-1.01M-1.85M-4.36M-1.81M1.24M125K-94.03M-4.18M-2.75M
Working Capital Changes-3.48M-1.43M-8.1M-8.84M-2.47M-14.96M-3.75M8.43M-500K-785K
Cash from Investing+-47.88M51.06M-46.44M-14.94M-22.34M-18.37M71.53M676.77M-3.7M25.6M
Acquisitions (Net)000000-4.65M-155K00
Purchase of Investments0-31.92M-32.44M-3.68M-9.08M0-4.65M-155K00
Sale of Investments01000K1000K1000K1000K1000K1000K1000K00
Other Investing-35.18M66.55M-20.88M15.44M9.57M21.18M104.5M699.34M2.76M25.6M
Cash from Financing+-12.68M-107.79M-10.27M-48.2M-30.56M-25.32M-114.86M-646.12M-2.11M-20.34M
Dividends Paid-31.41M-31.46M-31.34M-29.58M-28.56M-17.9M-14.67M-408.05M-10.75M-10.44M
Common Dividends-17M-17.05M-17.68M-18.3M-17.81M-7.15M-3.92M-397.3M0-10.44M
Debt Issuance (Net)-1000K-1000K-1000K1000K1000K-1000K-1000K-1000K1000K1000K
Share Repurchases000-2.33M-6.84M0-8K-467K0-11.5M
Other Financing-14.18M-1.79M-94K-5.96M-154K-368K-4.08M1.43M-414K-444K
Net Change in Cash+-1.42M799K820K-5.24M770K-1.11M1.63M10.19M2.44M14.72M
Exchange Rate Effect0000000000
Cash at Beginning3.5M2.08M2.88M7.22M1.98M2.75M1.64M3.27M13.46M15.91M
Cash at End2.08M2.88M3.7M1.98M2.75M1.64M3.27M13.46M15.91M30.62M
Free Cash Flow+46.44M42.04M31.96M27.52M21.77M3.03M16.65M-42.87M1.79M-2.13M
FCF Growth %34.09%-9.47%-23.97%-13.9%-20.92%-86.08%449.79%-357.44%104.18%-219.14%
FCF / Revenue %----------

Key Ratios

Metric2015201620172018201920202021202220232024
FFO per Share6.5512.6213.211.979.819.64-1.460.730.940.96
FFO Payout Ratio27.99%14.57%14.45%16.49%19.57%8%-20.3%4043.35%83.19%78.95%
NOI Margin70.12%70.54%69.64%68.49%66.44%66.36%63.59%58.63%62.02%61.43%
Net Debt / EBITDA7.62x4.14x3.97x4.50x4.53x4.76x7.70x3.72x6.40x5.37x
Debt / Assets51.23%49.27%46.32%51.09%52.3%54.22%51.83%56.14%60.28%65.9%
Interest Coverage1.77x1.43x1.89x1.41x1.07x0.98x1.27x0.02x1.25x1.50x
Book Value / Share64.4662.7867.9760.2755.4552.5833.315.125.354.1
Revenue Growth0.69%1.26%-3.36%4.12%-5.22%-5.93%-5.89%-73.34%1.84%-0.24%

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