Saul Centers Inc (BFS) — Cash Flow Reinvestment Rate
Latest as of March 2026:
0.00x
Saul Centers Inc (BFS) has a Cash Flow Reinvestment Rate of 0.00x as of March 2026, reinvesting $0.00 (capex $0.00 ) from operating cash flow of $29.29 Million. Explore Saul Centers Inc capital spending ratio to see what proportion of operating cash flow is directed to capital expenditures.
Reinvestment Rate
0.00x
(Capex + Investments) / Operating CF
Total Reinvested
$0.00
Capex + Investments
Operating Cash Flow
$29.29 Million
USD
Capital Expenditures
$0.00
USD
Saul Centers Inc Cash Flow Reinvestment Rate (1993–2025)
Historical reinvestment intensity for Saul Centers Inc across 33 annual periods. Also explore how large is Saul Centers Inc's balance sheet for the complete picture of this company's asset base.
Annual Cash Flow Reinvestment Rate for Saul Centers Inc (1993–2025)
Year-by-year capital reinvestment analysis for Saul Centers Inc. For live market cap and broader valuation context, see BFS company net worth.
| Year | Reinvestment Rate | Total Reinvested (USD) | Operating CF | Capex | YoY Change |
|---|---|---|---|---|---|
| 2025 | 0.96x | $95.93 Million | $99.80 Million | $95.93 Million | ▼ -69.1% |
| 2024 | 3.12x | $377.64 Million | $121.22 Million | $188.91 Million | ▼ -4.3% |
| 2023 | 3.26x | $383.33 Million | $117.73 Million | $203.68 Million | ▲ +190.3% |
| 2022 | 1.12x | $135.89 Million | $121.15 Million | $19.01 Million | ▲ +18.8% |
| 2021 | 0.94x | $111.74 Million | $118.38 Million | $55.87 Million | ▼ -34.4% |
| 2020 | 1.44x | $112.71 Million | $78.38 Million | $56.54 Million | ▲ +5.3% |
| 2019 | 1.37x | $157.55 Million | $115.38 Million | $21.89 Million | ▼ -16.8% |
| 2018 | 1.64x | $181.04 Million | $110.34 Million | $52.39 Million | ▲ +85.0% |
| 2017 | 0.89x | $91.74 Million | $103.45 Million | $90.46 Million | ▼ -45.6% |
| 2016 | 1.63x | $145.32 Million | $89.09 Million | $59.04 Million | ▲ +406.8% |
| 2015 | 0.32x | $28.61 Million | $88.90 Million | $23.72 Million | ▼ -77.4% |
| 2014 | 1.42x | $123.30 Million | $86.57 Million | $65.80 Million | ▲ +447.6% |
| 2013 | 0.26x | $19.12 Million | $73.53 Million | $19.12 Million | ▼ -50.1% |
| 2012 | 0.52x | $40.91 Million | $78.42 Million | $40.91 Million | ▼ -84.0% |
| 2011 | 3.26x | $181.72 Million | $55.67 Million | $181.72 Million | ▲ +89.8% |
| 2010 | 1.72x | $108.19 Million | $62.89 Million | $108.19 Million | ▲ +47.1% |
| 2009 | 1.17x | $80.72 Million | $69.02 Million | $80.72 Million | ▼ -26.2% |
| 2008 | 1.59x | $115.91 Million | $73.10 Million | $115.91 Million | ▲ +263.6% |
| 2007 | 0.44x | $31.05 Million | $71.20 Million | $31.05 Million | ▼ -1.3% |
| 2006 | 0.44x | $27.46 Million | $62.17 Million | $27.46 Million | ▼ -54.7% |
| 2005 | 0.97x | $56.92 Million | $58.40 Million | $56.92 Million | ▼ -42.2% |
| 2004 | 1.69x | $85.53 Million | $50.71 Million | $85.53 Million | ▲ +27.5% |
| 2003 | 1.32x | $48.13 Million | $36.37 Million | $48.13 Million | ▲ +1.1% |
| 2002 | 1.31x | $49.10 Million | $37.50 Million | $49.10 Million | ▲ +91.2% |
| 2001 | 0.68x | $21.80 Million | $31.83 Million | $21.80 Million | ▼ -47.5% |
| 2000 | 1.30x | $43.43 Million | $33.31 Million | $43.43 Million | ▲ +6.8% |
| 1999 | 1.22x | $38.64 Million | $31.64 Million | $38.64 Million | ▲ +145.3% |
| 1998 | 0.50x | $14.78 Million | $29.69 Million | $14.78 Million | ▼ -10.5% |
| 1997 | 0.56x | $16.09 Million | $28.94 Million | $16.09 Million | ▲ +92.2% |
| 1996 | 0.29x | $8.88 Million | $30.67 Million | $8.88 Million | — |
| 1995 | 0.00x | $0.00 | $26.10 Million | $0.00 | — |
| 1994 | 0.00x | $0.00 | $24.50 Million | $0.00 | — |
| 1993 | 0.00x | $0.00 | $3.50 Million | $0.00 | — |
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow