Saul Centers, Inc.

Saul Centers, Inc.

Real Estate

NYSE:BFS · New York Stock Exchange

Market Cap $918.60M Beta 0.89 P/E (TTM) 24.6
$37.45 +0.67%

+$0.25 today

52W Low $29.16High $38.42

Vol 0.05M · Avg 0.06M

EPS (TTM)$1.52
Div Yield6.30%
REIT - Retail

Income Statement

Follow revenue through to earnings

Review sales, margins, expenses, and profit trends to see what is actually driving reported earnings over time.

Earnings Waterfall

Revenue to Net Income

Key Ratios

EPS$1.52
Gross Margin74.9%
Net Margin12.5%
P/E Ratio22.1
P/S Ratio10.7

Analysis

$296.2M of revenue converted into $36.8M of net income for the selected period. Gross margin is 74.9% and net margin is 12.5%, showing how much revenue survives after costs and taxes. EPS is $1.52, tying the income statement back to per-share earnings.

Income Statement

Annual data · 5 periods

MetricFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018
Revenue
$291.6M
+8.5%
$268.8M
+4.5%
$257.2M
+4.6%
$245.9M
+2.8%
$239.2M
$809.6M$921.6M$731.2M
Cost of Revenue
$202.0M
+180.4%
$72.1M
+7.3%
$67.1M
+4.1%
$64.5M
+4.7%
$61.6M
$725.6M$804.0M$882.4M
Gross Profit
$89.5M
-54.5%
$196.8M
+3.5%
$190.1M
+4.8%
$181.3M
+2.1%
$177.6M
$8.9B$7.6B$6.2B
Gross Margin
30.7%
-42.5pp
73.2%
-0.7pp
73.9%
+0.1pp
73.8%
-0.5pp
74.2%
9.8%28.9%38.3%
Research & Development
$0
$0
$0
$0
$0
$983.2M$1.3B$490.4M
Selling, General & Admin
$26.9M
+7.4%
$25.1M
+6.9%
$23.5M
+4.8%
$22.4M
+10.6%
$20.3M
$620.6M$923.0M-$1.5B
Operating Expenses
-$30.1M
-139.9%
$75.6M
+222.1%
$23.5M
-79.8%
$115.9M
-0.0%
$115.9M
$5.3B$7.0B$8.7B
Depreciation & Amortization
$58.8M
+16.4%
$50.5M
+4.3%
$48.4M
-1.1%
$49.0M
-2.6%
$50.3M
$374.2M$1.2B$631.8M
EBITDA
$178.6M
+3.9%
$171.9M
+3.2%
$166.6M
+6.5%
$156.4M
+0.5%
$155.6M
-$15.2B$6.8B$9.3B
EBITDA Margin
61.2%
-2.7pp
63.9%
-0.8pp
64.8%
+1.2pp
63.6%
-1.5pp
65.1%
5.6%46.3%42.0%
Operating Income
$119.6M
-1.3%
$121.2M
-27.2%
$166.6M
+154.8%
$65.4M
+6.1%
$61.6M
$12.3B$14.0B-$15.7B
Operating Margin
41.0%
-4.1pp
45.1%
-19.7pp
64.8%
+38.2pp
26.6%
+0.8pp
25.8%
16.6%24.1%22.0%
Interest Income
$159.0K
$0
-100.0%
$295.0K
$0
$0
-$1.5B-$1.6B$405.0M
Interest Expense
$70.5M
+31.4%
$53.7M
+13.8%
$47.2M
+7.4%
$43.9M
-3.3%
$45.4M
$1.1B$1.0B$1.2B
Other Income / Expenses
-$70.4M
-31.6%
-$53.5M
+45.2%
-$97.6M
$0
$0
-$1.5B$1.4B$1.2B
Income Before Tax
$49.2M
-27.3%
$67.7M
-1.9%
$69.0M
+5.6%
$65.4M
+6.1%
$61.6M
$3.3B$4.9B$3.6B
Pre-Tax Margin
16.9%
-8.3pp
25.2%
-1.7pp
26.8%
+0.2pp
26.6%
+0.8pp
25.8%
20.8%18.7%26.2%
Income Tax Expense
$0
$0
$0
$0
$0
$1.3B-$1.6B$745.2M
Net Income
$37.5M
-25.9%
$50.6M
-3.9%
$52.7M
+5.0%
$50.2M
+3.7%
$48.4M
$4.9B$4.8B$4.7B
Net Margin
12.9%
-6.0pp
18.8%
-1.6pp
20.5%
+0.1pp
20.4%
+0.2pp
20.2%
12.4%17.5%22.5%
EPS (Basic)
$2
-5.5%
$2
-5.2%
$2
+6.1%
$2
+3.8%
$2
$400.8M$703.2M$1.3B
EPS (Diluted)
$2
-4.9%
$2
-5.8%
$2
+6.1%
$2
+3.8%
$2
$766.2M$609.4M$452.6M
Weighted Avg Shares
$24.2M
+0.3%
$24.1M
+0.1%
$24.1M
+0.5%
$24.0M
+1.3%
$23.7M
$757.8M$925.8M$1.1B
Weighted Avg Shares (Diluted)
$24.2M
+0.3%
$24.1M
+0.4%
$24.1M
+0.3%
$24.0M
+1.3%
$23.7M
$1.2B$924.4M$678.0M

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SEC Filings

Recent regulatory filings

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How much revenue does BFS generate?

Saul Centers, Inc. (BFS) reported $291.56M of revenue in fiscal 2025.

Is BFS profitable?

Saul Centers, Inc. (BFS) reported $37.51M of net income, with a net margin of 12.9%.

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