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Consolidated Statements of Stockholders' Equity - USD ($)
$ in Thousands
Total
Dividend paid
Dividend declared
Series C Preferred Stock
Series C Preferred Stock
Dividend paid
Series C Preferred Stock
Dividend declared
Series A Preferred Stock
Series A Preferred Stock
Dividend paid
Preferred Stock
Preferred Stock
Series C Preferred Stock
Preferred Stock
Series A Preferred Stock
Common Stock
Additional Paid-in Capital
Additional Paid-in Capital
Series C Preferred Stock
Additional Paid-in Capital
Series A Preferred Stock
Accumulated Deficit
Accumulated Deficit
Dividend paid
Accumulated Deficit
Dividend declared
Accumulated Deficit
Series C Preferred Stock
Dividend paid
Accumulated Deficit
Series C Preferred Stock
Dividend declared
Accumulated Deficit
Series A Preferred Stock
Accumulated Deficit
Series A Preferred Stock
Dividend paid
Accumulated Other Comprehensive (Loss)
Total Saul Centers, Inc.
Total Saul Centers, Inc.
Dividend paid
Total Saul Centers, Inc.
Dividend declared
Total Saul Centers, Inc.
Series C Preferred Stock
Total Saul Centers, Inc.
Series C Preferred Stock
Dividend paid
Total Saul Centers, Inc.
Series C Preferred Stock
Dividend declared
Total Saul Centers, Inc.
Series A Preferred Stock
Total Saul Centers, Inc.
Series A Preferred Stock
Dividend paid
Noncontrolling Interests
Noncontrolling Interests
Dividend paid
Noncontrolling Interests
Dividend declared
Beginning balance at Dec. 31, 2013 $ 315,126               $ 180,000     $ 206 $ 270,428     $ (172,564)             $ (1,392) $ 276,678               $ 38,448    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                                                    
Issuance of shares of preferred stock       $ 39,260           $ 40,000       $ (740)                         $ 39,260              
Redemption of preferred stock             $ (40,000)       $ (40,000)       $ 1,475           $ (1,475)                 $ (40,000)        
Issuance of common stock:                                                                    
Shares issued pursuant to dividend reinvestment plan 9,264                     2 9,262                     9,264                    
Shares issued due to exercise of employee stock options and issuance of directors' deferred stock 7,571                     1 7,570                     7,571                    
Issuance of partnership units pursuant to dividend reinvestment plan 8,877                                                             8,877    
Net income 57,988                             46,943               46,943               11,045    
Change in unrealized loss on cash flow hedge (675)                                           (502) (502)               (173)    
Preferred stock distributions:                                                                    
Preferred stock distributions         $ (7,219) $ (3,094)   $ (3,049)                     $ (7,219) $ (3,094)   $ (3,049)           $ (7,219) $ (3,094)   $ (3,049)      
Common stock distributions   $ (33,534)                             $ (24,937)               $ (24,937)               $ (8,597)  
Distributions payable common stock and distributions payable partnership units     $ (11,258)                             $ (8,379)               $ (8,379)               $ (2,879)
Ending balance at Dec. 31, 2014 339,257               180,000     209 287,995     (173,774)             (1,894) 292,536               46,721    
Issuance of common stock:                                                                    
Shares issued pursuant to dividend reinvestment plan 10,650                     3 10,647                     10,650                    
Shares issued due to exercise of employee stock options and issuance of directors' deferred stock 6,367                     1 6,366                     6,367                    
Issuance of partnership units pursuant to dividend reinvestment plan 5,673                                                             5,673    
Net income 52,931                             42,468               42,468               10,463    
Change in unrealized loss on cash flow hedge 124                                           92 92               32    
Preferred stock distributions:                                                                    
Preferred stock distributions         (9,282) (3,093)                         (9,282) (3,093)               (9,282) (3,093)          
Common stock distributions   (36,614)                             (27,265)               (27,265)               (9,349)  
Distributions payable common stock and distributions payable partnership units     (12,286)                             (9,145)               (9,145)               (3,141)
Ending balance at Dec. 31, 2015 353,727               180,000     213 305,008     (180,091)             (1,802) 303,328               50,399    
Issuance of common stock:                                                                    
Shares issued pursuant to dividend reinvestment plan 10,311                     2 10,309                     10,311                    
Shares issued due to exercise of employee stock options and issuance of directors' deferred stock 12,856                     2 12,854                     12,856                    
Issuance of partnership units pursuant to dividend reinvestment plan 6,910                                                             6,910    
Net income 56,720                             45,279               45,279               11,441    
Change in unrealized loss on cash flow hedge 678                                           503 503               175    
Preferred stock distributions:                                                                    
Preferred stock distributions         $ (9,282) $ (3,093)                         $ (9,282) $ (3,093)               $ (9,282) $ (3,093)          
Common stock distributions   $ (40,720)                             $ (30,328)               $ (30,328)               $ (10,392)  
Distributions payable common stock and distributions payable partnership units     $ (14,858)                             $ (11,069)               $ (11,069)               $ (3,789)
Ending balance at Dec. 31, 2016 $ 373,249               $ 180,000     $ 217 $ 328,171     $ (188,584)             $ (1,299) $ 318,505               $ 54,744