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Condensed Consolidated Statements of Changes in Equity (Unaudited) - USD ($)
$ in Thousands
Total
Preferred Stock Issued [Member]
Common Stock 1 [Member]
Kimco Realty OP, LLC [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Kimco Realty OP, LLC [Member]
Common Stock 1 [Member]
Kimco Realty OP, LLC [Member]
Limited Partner [Member]
Kimco Realty OP, LLC [Member]
Limited Partner [Member]
Common Stock 1 [Member]
[1]
Preferred Stock [Member]
Preferred Stock [Member]
Preferred Stock Issued [Member]
[2]
Preferred Stock [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Common Stock [Member]
Common Stock [Member]
Common Stock 1 [Member]
Common Stock [Member]
Kimco Realty OP, LLC [Member]
Common Stock [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Common Stock [Member]
Kimco Realty OP, LLC [Member]
Common Stock 1 [Member]
Paid-in Capital [Member]
Paid-in Capital [Member]
Preferred Stock Issued [Member]
Paid-in Capital [Member]
Common Stock 1 [Member]
Retained Earnings [Member]
Retained Earnings [Member]
Preferred Stock Issued [Member]
Accumulated Other Comprehensive Income/(Loss)
Accumulated Other Comprehensive Income/(Loss)
Kimco Realty OP, LLC [Member]
Parent [Member]
Parent [Member]
Preferred Stock Issued [Member]
Parent [Member]
Common Stock 1 [Member]
Parent [Member]
Kimco Realty OP, LLC [Member]
Parent [Member]
Kimco Realty OP, LLC [Member]
Preferred Stock Issued [Member]
Parent [Member]
Kimco Realty OP, LLC [Member]
Common Stock 1 [Member]
Noncontrolling Interest [Member]
Noncontrolling Interest [Member]
Kimco Realty OP, LLC [Member]
Balance (in shares) at Dec. 31, 2023                 19,000   19,000   619,871,000   619,871,000                                  
Balance at Dec. 31, 2023 $ 9,653,458     $ 9,653,458         $ 19   $ 467,396   $ 6,199   $ 9,054,740     $ 9,638,494     $ (122,576)   $ 3,329 $ 3,329 $ 9,525,465     $ 9,525,465     $ 127,993 $ 127,993
Contributions from noncontrolling interests 274     274                                                     274 274
Net income 251,440     251,440                                 244,747       244,747           6,693  
Net income       251,440     $ 392       23,864       220,883                         245,139       6,301
Other comprehensive loss                                                                
Change in fair value of cash flow hedges for interest payments (14,230)     (14,230)                                     (14,230) (14,230) (14,230)     (14,230)        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees (2,584)     (2,584)                                     (2,584) (2,584) (2,584)     (2,584)        
Redeemable noncontrolling interests income (3,392)     (3,392)                                                     (3,392) (3,392)
Distributions declared to preferred unitholders       (23,864)             (23,864)                                 (23,864)        
Distributions declared to common unitholders       (486,147)     (773)               $ (485,374)                         (486,147)        
Dividends declared to preferred shares (23,882)                                       (23,882)       (23,882)              
Dividends declared to common shares (485,356)                                       (485,356)       (485,356)              
Repurchase of stock (5)     (5)             $ (5)             (5)             (5)     (5)        
Distributions to noncontrolling interests (4,519)     (3,746)                                                     (4,519) (3,746)
Redemption of common units       (3)     $ (3)                                         (3)        
Issuance of stock for merger (in shares)               953,000   2,000   2,000 [1]   53,034,000 [2]     53,034,000 [1]                              
Issuance of stock for merger   $ 105,607 [2] $ 1,166,764 [2]   $ 105,607 [1] $ 1,187,739 [1]   $ 20,975   $ 2   $ 105,607 [1]   $ 530 [2]     $ 1,166,764 [1]   $ 105,605 [2] $ 1,166,234 [2]           $ 105,607 [2] $ 1,166,764 [2]   $ 105,607 [1] $ 1,187,739 [1]    
Issuance of common stock (in shares)             121,000           1,967,000   1,967,000                                  
Issuance of common stock                         $ 20         (20)                            
Surrender of restricted common stock (in shares)                         (790,000)   (790,000)                                  
Surrender of restricted common stock (15,293)     (15,293)                 $ (8)   $ (15,293)     (15,285)             (15,293)     15,293        
Amortization of equity awards 26,417     26,417     $ 1,257               25,160     25,160             25,160     26,417     1,257  
Noncontrolling interests assumed from the merger [2] 20,975                                                           20,975  
Redemption/conversion of noncontrolling interests (3,910)     (3,907)                     (479)     (479)             (479)     (479)     (3,431) (3,428)
Adjustment of redeemable noncontrolling interests to estimated fair value (2,701)     (2,701)                     $ (2,701)     (2,701)             (2,701)     (2,701)        
Balance (in shares) at Sep. 30, 2024             1,074,000   21,000   21,000   674,082,000   674,082,000                                  
Balance at Sep. 30, 2024 10,669,063     10,669,063     $ 21,848   $ 21   $ 572,998   $ 6,741   $ 9,963,700     10,917,003     (387,067)   (13,485) (13,485) 10,523,213     10,545,061     145,850 124,002
Balance (in shares) at Jun. 30, 2024             1,074,000   21,000   21,000   674,112,000   674,112,000                                  
Balance at Jun. 30, 2024 10,726,607     10,726,607     $ 21,458   $ 21   $ 573,003   $ 6,741   $ 9,994,533     10,914,084     (353,310)   11,236 11,236 10,578,772     10,600,230     147,835 126,377
Contributions from noncontrolling interests 274     274                                                     274 274
Net income 138,426     138,426                                 135,983       135,983           2,443  
Net income       138,426     216       7,961       128,022                         136,199       2,227
Other comprehensive loss                                                                
Change in fair value of cash flow hedges for interest payments (22,050)     (22,050)                                     (22,050) (22,050) (22,050)     (22,050)        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees (2,671)     (2,671)                                     (2,671) (2,671) (2,671)     (2,671)        
Redeemable noncontrolling interests income (1,110)     (1,109)                                                     (1,110) (1,109)
Distributions declared to preferred unitholders       (7,961)             (7,961)                                 (7,961)        
Distributions declared to common unitholders       (162,038)     (259)               $ (161,779)                         (162,038)        
Dividends declared to preferred shares (7,961)                                       (7,961)       (7,961)              
Dividends declared to common shares (161,779)                                       (161,779)       (161,779)              
Repurchase of stock (5)     (5)             $ (5)             (5)             (5)     (5)        
Distributions to noncontrolling interests (1,178)     (920)                                                     (1,178) (920)
Surrender of restricted common stock (in shares)                         (30,000)   (30,000)                                  
Surrender of restricted common stock (599)     (599)                     $ (599)     (599)             (599)     (599)        
Amortization of equity awards 8,095     8,095     $ 433               7,662     7,662             7,662     8,095     433  
Redemption/conversion of noncontrolling interests (3,308)     (3,308)                     461     461             461     (461)     (2,847) 2,847
Adjustment of redeemable noncontrolling interests to estimated fair value (3,678)     (3,678)                     $ (3,678)     (3,678)             (3,678)     (3,678)        
Balance (in shares) at Sep. 30, 2024             1,074,000   21,000   21,000   674,082,000   674,082,000                                  
Balance at Sep. 30, 2024 $ 10,669,063     10,669,063     $ 21,848   $ 21   $ 572,998   $ 6,741   $ 9,963,700     10,917,003     (387,067)   (13,485) (13,485) 10,523,213     10,545,061     145,850 124,002
Balance (in shares) at Dec. 31, 2024 20,806           1,074,000   21,000   21,000   679,494,000   679,494,000                                  
Balance at Dec. 31, 2024 $ 10,797,912     10,797,912     $ 22,276   $ 21   $ 549,588   $ 6,795   $ 10,091,921     11,033,485     (398,792)   11,038 11,038 10,652,547     10,674,823     145,365 123,089
Contributions from noncontrolling interests 125     125                                                     125 125
Net income 439,500     439,500                                 433,578       433,578           5,922  
Net income       439,500     852       22,775       410,803                         434,430       5,070
Other comprehensive loss                                                                
Change in fair value of cash flow hedges for interest payments (16,249)     (16,249)                                     (16,249) (16,249) (16,249)     (16,249)        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees (3,633)     (3,633)                                     (3,633) (3,633) (3,633)     (3,633)        
Redeemable noncontrolling interests income (2,249)     (2,249)                                                     (2,249) (2,249)
Distributions declared to preferred unitholders       (22,645)             $ (22,645)                                 (22,645)        
Distributions declared to common unitholders       (509,449)     $ (990)                                         (509,449)        
Dividends declared to preferred shares (22,627)                                       (22,627)       (22,627)              
Dividends declared to common shares (508,477)                           $ (508,459)           (508,477)       (508,477)              
Repurchase of stock (in shares)                           (3,000,000)     (3,000,000)                              
Repurchase of stock   $ (3,480) $ (58,844)   $ (3,480) $ (58,844)           $ (3,462)   $ (30)   $ (18) $ (58,844)   $ (3,332) $ (58,814)   $ (148)       $ (3,480) $ (58,844)   $ (3,480) $ (58,844)    
Distributions to noncontrolling interests (4,207)     (3,217)                                                     (4,207) (3,217)
Issuance of equity awards, net (in shares)             371,000           1,241,000   1,241,000                                  
Issuance of equity awards, net 6,425     6,425     $ 4,320           $ 12   $ 2,105     2,093             2,105     6,425     4,320  
Surrender of restricted common stock (in shares)                         (539,000)   (539,000)                                  
Surrender of restricted common stock (11,687)     (11,687)                 $ (5)   $ (11,687)     (11,682)             (11,687)     (11,687)        
Amortization of equity awards 25,292     25,292     $ 2,657               22,635     22,635             22,635     25,292     2,657  
Redemption/conversion of noncontrolling interests                             (78)     (78)             (78)     (78)     78 78
Adjustment of redeemable noncontrolling interests to estimated fair value $ 418     418                     $ 418     418             418     418        
Balance (in shares) at Sep. 30, 2025 20,748           1,445,000   21,000   21,000   677,196,000   677,196,000                                  
Balance at Sep. 30, 2025 $ 10,638,219     10,638,219     $ 29,115   $ 21   $ 546,256   $ 6,772   $ 9,948,796     10,984,725     (496,466)   (8,844) (8,844) 10,486,208     10,515,323     152,011 122,896
Balance (in shares) at Jun. 30, 2025             1,445,000   21,000   21,000   677,205,000   677,205,000                                  
Balance at Jun. 30, 2025 10,671,410     10,671,410     $ 28,143   $ 21   $ 546,256   $ 6,772   $ 9,982,209     10,979,077     (457,405)   (7,790) (7,790) 10,520,675     10,548,818     150,735 122,592
Contributions from noncontrolling interests 125     125                                                     125 125
Net income 140,055     140,055                                 137,775       137,775           2,280  
Net income       140,055     294       7,536       130,239                         138,069       1,986
Other comprehensive loss                                                                
Change in fair value of cash flow hedges for interest payments (540)     (540)                                     (540) (540) (540)     (540)        
Equity in change in fair value of cash flow hedges for interest payments of unconsolidated investees (514)     (514)                                     (514) (514) (514)     (514)        
Redeemable noncontrolling interests income (780)     (780)                                                     (780) (780)
Distributions declared to preferred unitholders       (7,536)             $ (7,536)                                 (7,536)        
Distributions declared to common unitholders       (169,661)     (361)               $ (169,300)                         (169,661)        
Dividends declared to preferred shares (7,536)                                       (7,536)       (7,536)              
Dividends declared to common shares (169,300)                                       (169,300)       (169,300)              
Distributions to noncontrolling interests (1,388)     (1,027)                                                     (1,388) (1,027)
Surrender of restricted common stock (in shares)                         (9,000)   (9,000)                                  
Surrender of restricted common stock (41)     (41)                     $ (41)     (41)             (41)     (41)        
Amortization of equity awards 6,943     6,943     $ 1,039               5,904     5,904             5,904     6,943     1,039  
Adjustment of redeemable noncontrolling interests to estimated fair value $ (215)     (215)                     $ (215)     (215)             (215)     (215)        
Balance (in shares) at Sep. 30, 2025 20,748           1,445,000   21,000   21,000   677,196,000   677,196,000                                  
Balance at Sep. 30, 2025 $ 10,638,219     $ 10,638,219     $ 29,115   $ 21   $ 546,256   $ 6,772   $ 9,948,796     $ 10,984,725     $ (496,466)   $ (8,844) $ (8,844) $ 10,486,208     $ 10,515,323     $ 152,011 $ 122,896
[1] See Footnotes 1 and 3 of the Notes to Condensed Consolidated Financial Statements for further details.
[2] See Footnotes 1 and 3 of the Notes to Condensed Consolidated Financial Statements for further details.