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