CBL

Dividend Rate (TTM) $0
Dividend Yield 0%
Payout Ratio (FFO) 0%
FFO/Share $0.68
FFO Multiple 0.13
Market Cap 18.43M
Price HistoryCompany NewsSEC Filings

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Annual Income StatementsBalance Sheet
Symbol TTM2019201820172016201520142013   
CBLRental Revenue585.4585.4736.9829.1909.6711.5724.3721.8
CBLTenant Reimbursements----280.4288.3290.6
CBLOther Revenue19.119.122.518.95.721.431.535.4
CBLTotal Revenues611.7768.7858.6927.31028.310551060.7
CBLProperty Expenses197.9197.9230.7252.6260.6281.5283.3293.9
CBLSelling General & Admin Exp.77.377.364.261.558.558.562.150.3
CBLDepreciation & Amortization221.4221.4257.7285.4299.1292.7299.1291.3
CBLOther Operating Expenses0.50.50.10.85.220.324.632.2
CBLTotal Operating Expenses497497552.7600.3623.3652.9669.1667.6
CBLOperating Income114.7216258.3304375.4385.9393.1
CBLTotal Interest Expense-210-210-206.3-220-218.7-216.3-229.3-239.8
CBLInterest and Investment Income5.85.82.81.90.81.51.614.1
CBLNet Interest Expenses-204.2-204.2-203.5-218.2-217.9-214.8-227.8-225.7
CBLOther Non Operating Income-------
CBLEBT, Excl. Unusual Items-100.5-100.517.554.7109278.1176.3182.2
CBLGain (Loss) on Sale of Assets5.25.216.31993.8-70.926.3-12.5
CBLAsset Writedown-184.4-184.4-239.5-174.5-71.4-16.4-102.4-0.1
CBLOther Unusual Items15.415.471.7-30.9-2.30.387.9
CBLEBT, Incl. Unusual Items-202-202-128.6-100.8157193.5122257.5
CBLIncome Tax Expense17.717.73.2-1.6-1.9-2.12.94.5
CBLEarnings From Continuing Operations-219.7-131.7-99.2159195.5119253
CBLEarnings Of Discontinued Operations------0.1
CBLNet Income to Company-219.7-219.7-131.7-99.2159195.5119253
CBLMinority Interest17.217.222.920.7-38-22.6-15.6-33.9
CBLNet Income-202.5-108.8-78.6120.9172.9103.4219.2
CBLPref. Dividends and Other Adj.44.944.944.944.944.944.944.944.9
CBLNI to Common Incl Extra Items-247.4-247.4-153.7-123.57612858.5174.3
CBLNI to Common Excl. Extra Items-247.4-153.7-123.57612858.5174.2
CBLRevenue Per Share3.313.314.434.985.426.026.196.23
CBLBasic EPS-1.34-1.34-0.89-0.720.440.750.341.02
CBLBasic EPS - Continuing Ops-1.34-1.34-0.89-0.720.440.750.341.02
CBLBasic Weighted Average Shares Outst.184.6184.6173.4172.5171.1170.8170.5170.2
CBLDiluted EPS-1.35-1.35-0.89-0.720.440.750.341.02
CBLDiluted EPS - Continuing Ops-1.35-1.35-0.89-0.720.440.750.341.02
CBLDiluted Weighted Average Shares Outst.184.6184.6173.4172.5171.1170.8170.5170.2
CBLNormalized Basic EPS-0.25-0.250.20.320.180.890.550.47
CBLNormalized Diluted EPS-0.25-0.250.20.320.180.880.550.47
CBLDividend Per Share000.080.6811.061.061
CBLFFO134.4134.4280.3339.8434.6538.2481.1545.5
CBLAFFO-271.5345.1413.7480.8462.9454.6
CBLFunds Available for Distribution-271.5345.1413.7480.8462.9454.6
CBLEBITDA334.7334.7472543.5601.3668.2683.5684.8
CBLEBITA119.7119.7220.5271.5317.2384.1398.8407.1
CBLEBIT114.7114.7216258.3304375.4385.9393.1
CBLEBITDAR-472.9--669.5684.7686.1
CBLEffective Tax RateNMNMNMNMNMNM0.0240.017
CBLNormalized Net Income-45.6-45.633.954.930.1151.294.680
CBLInterest Capitalized-2.53.22.32.23.77.1
Symbol Q3 2020Q2 2020Q1 2020Q4 2019Q3 2019Q2 2019Q1 2019Q4 2018
CBLGross Property Plant And Equipment6004.56035.46110.36411.46628.66962.17091.77247.6
CBLAccumulated Depreciation-2228.6-2199.6-2218.3-2349.4-2404.6-2477.6-2478.8-2493.1
CBLNet Property Plant And Equipment3775.93835.73892406242244484.54612.84754.6
CBLTotal Real Estate Assets3775.93835.73892406242244484.54612.84754.6
CBLCash And Equivalents106.8123.4159.132.834.620.521.125.1
CBLAccounts Receivable108.1125.972.275.376.972.571.477.8
CBLOther Receivables6.15.510.210.86.68.59.97.5
CBLInvestment In Debt and Equity Securities151.8152.4153.2-----
CBLOther Intangibles87.381.610638.3113.4115.4123.548.7
CBLMortgage Loans1.11.11.12.63.63.94.84.9
CBLRestricted Cash34.426.72626.228.72524.432.4
CBLDeferred Charges Long-Term---9.1---2
CBLOther Long-Term Assets291301.1299.8348.1279.9315.4291.5365
CBLTotal Assets45644655.24721.34622.34769.95048.15161.95340.9
CBLLong-Term Debt3729.737743789.7352736993865.93898.64043.2
CBLAccounts Payable221.9227.1205.5219256.3256.2273.2187.5
CBLOther Current Liabilities---8.5-0.724.774.4
CBLTotal Liabilities3951.64001.23995.23758.33959.34126.94200.54305.1
CBLPreferred Stock Redeemable00000000
CBLTotal Preferred Equity00000000
CBLCommon Stock21.91.91.71.71.71.71.7
CBLAdditional Paid In Capital1984.61982.51977.91965.91965.21966.51967.81968.3
CBLComprehensive Income and Other 000-----
CBLTotal Common Equity589.5630.1695.8806.3772.3863.8900.5964.1
CBLMinority Interest22.923.930.357.738.357.56171.6
CBLTotal Equity612.4654726.2864810.6921.3961.51035.7
CBLTotal Liabilities And Equity45644655.24721.34622.34769.95048.15161.95340.9
CBLTotal Shares Out. on Filing Date196.6194.1192175.6173.5173.5173.5172.7
CBLTotal Common Shares Outstanding195.8192192174.1173.5173.5173.5172.7
CBLBook Value / Share3.013.283.624.634.454.985.195.58
CBLTangible Book Value502.2548.5589.9768659748.4776.9915.5
CBLTangible Book Value Per Share2.572.863.074.413.84.314.485.3
CBLTotal Debt3729.737743789.73530.9370338703902.64043.2
CBLNet Debt3622.93650.63630.634983668.43849.53881.54018
CBLLand717719.5719.1730.2741.1756.9783.1793.9
CBLBuildings, Total5255.75285.35360.15631.85819.76153.46248.36414.9
CBLFull Time Employees---493---509
CBLPart Time Employees---101---141