Skip to content

REGENCY CENTERS LP

CIK 0001066247

Revenue (TTM)
Q3 Nov 2025
Net Income (TTM)
Q3 Nov 2025
EPS Diluted (TTM)
Q3 Nov 2025
Gross Margin
Q3 Nov 2025
Operating Margin
Q3 Nov 2025
Net Margin
Q3 Nov 2025
Free Cash Flow (TTM)
Q3 Nov 2025
Cash
$205.6M
Q3 Nov 2025
Total Debt
$4.92B
Q3 Nov 2025
Shares Outstanding
182.9M sh
Q3 Nov 2025

Recent filings