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CBL & Associates Properties, Inc.

CBL Real Estate Real Estate Investment Trusts
$48.43
▲ +1.9% Today
as of Jun 7, 06:55 ET
Last 30 days +7.36% Apr 28 → Jun 05
$42.90 $44.40 $45.90 $47.40 $48.90 Apr 28 May 05 May 13 May 20 May 29 Jun 05
Open
$47.39
High
$48.81
Low
$47.16
Volume
$138,180
Avg Vol
$155,506
Mkt Cap
$1.5B
P/E (TTM)
12.29
Beta
52w High
$49.18
52w Low
$24.32
Div Yield
Shares Out
$31M

Overview

52-week range
$24
$49
97% of range
Avg surprise (last 0)
Avg reaction (last 2)
+3.2%
50% positive
Latest IV / EM
44%
EM ±6.0% · $48 · Jun 18

Earnings trends

EPS — actual vs estimate Actual Estimate
$-0.67$0.09$0.85$1.62$2.38 Actual $-0.67Actual $0.41Actual $-0.01Actual $0.14Actual $0.52Actual $1.50Actual $0.08Actual $2.38Actual $1.73 JunSepMarJunSepMar/2025JunSepMar/2026
Revenue vs Net Income Revenue Net income
$0$38M$77M$115M$153M Jun 24Sep 24Mar 25Jun 25Sep 25Mar 26

Earnings history

DatePeriodActual EPSEstSurpriseYoY %ΔDay reactSource
Fri May 8, 2026Mar/2026 $1.73 +15.3% +7.7% earnings
Tue Sep 30, 2025Sep 2025 $2.38 financials
Mon Jun 30, 2025Jun 2025 $0.08 financials
Mon May 5, 2025Mar/2025 $1.50 -1.4% earnings
Mon Sep 30, 2024Sep 2024 $0.52 financials
Sun Jun 30, 2024Jun 2024 $0.14 financials
Sun Mar 31, 2024Mar 2024 $-0.01 financials
Sat Sep 30, 2023Sep 2023 $0.41 financials
Fri Jun 30, 2023Jun 2023 $-0.67 financials

Financials

Income statement (quarterly)

MetricMar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024
Revenue$146M$139M$141M$142M$125M$130M
Cost of revenue
Gross profit
Operating income
Net income$46M$75M$3M$9M$16M$5M
EPS (diluted)$1.48$2.38$0.08$0.27$0.52$0.14

Balance sheet (quarterly)

MetricMar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024
Cash & equivalents$123M$42M$53M$100M$30M$41M$65M$58M
Inventory
Total current assets
Total assets$2.65B$2.73B$2.73B$2.60B$2.62B$2.75B$2.25B$2.32B
Long-term debt$2.08B$2.17B$2.18B$2.14B$2.15B$2.21B$1.78B$1.85B
Total liabilities$2.26B$2.36B$2.39B$2.33B$2.34B$2.43B$1.95B$2.02B
Total equity$398M$375M$351M$289M$295M$324M$308M$309M

Implied volatility — last 90 days

38%41%43%46%48% Jun 07 — IV 44% · EM ±6.0%

Sector peers

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