Revenue

Adjusted Funds from Operations – AFFO (per diluted share)

Weighted Average Common Shares Outstanding

Three Months Ended   Twelve Months Ended
9/30/2021 9/30/2020 Change (%)   9/30/2021 9/30/2020 Change (%)
Basic 98,308 97,990 0.3%   98,253 98,082 0.2%
Diluted 98,542 98,083 0.5%   98,443 98,164 0.3%

Net Operating Income – NOI

Three Months Ended   Twelve Months Ended
9/30/2021 9/30/2020 Change (%)   9/30/2021 9/30/2020 Change (%)
Net Operating Income – NOI $39,719 $36,071 10.1%   $153,974 $140,705 9.4%
Basic $0.40 $0.37 8.1%   $1.57 $1.43 9.8%
Diluted 0.40 0.37 8.1%   1.56 1.43 9.1%

Funds From Operations – FFO

Three Months Ended   Twelve Months Ended
9/30/2021 9/30/2020 Change (%)   9/30/2021 9/30/2020 Change (%)
Funds From Operations – FFO* $(4,891) $19,205 (125.5)%   $46,091 $78,409 (41.2)%
Basic $(0.05) $0.20 (125.0)%   $0.47 $0.80 (41.3)%
Diluted (0.05) 0.20 (125.0)%   0.47 0.80 (41.3)%
* Current Year Excludes Non-recurring Strategic Alternatives & Proxy Costs

Adjusted Funds From Operations – AFFO

Three Months Ended   Twelve Months Ended
9/30/2021 9/30/2020 Change (%)   9/30/2021 9/30/2020 Change (%)
Adjusted Funds From Operations – AFFO $19,464 $18,193 7.0%   $76,969 $76,898 0.1%
Basic $0.20 $0.19 5.3%   $0.78 $0.78 0.0%
Diluted 0.20 0.19 5.3%   0.78 0.70 0.0%

Dividends Declared per Common Share

Three Months Ended   Twelve Months Ended
9/30/2021 9/30/2020   9/30/2021 9/30/2020  
Dividends Declared per Common Share $0.18 $0.17     $0.71 $0.68