Company: SLG-PI
Filing Date: 2025-04-17
Form Type: 10-K/A
Source: 0001040971-25-000019
Chunk: 19

Company: SL GREEN REALTY CORP
Filing Date: 2025-04-17
Form: 10-K/A
Chunk 19
---
          — |
| Share repurchase or redemption payable                                             |     |                         |      9,514 |     |   |     9,513 |     |   |          — |
| Recognition of right of use assets and related lease liabilities                   |     |                         |          — |     |   |         — |     |   |     57,938 |
| Consolidation of securitization vehicle assets                                     |     |                         |    600,521 |     |   |         — |     |   |          — |
| Consolidation of securitization vehicle liabilities                                |     |                         |    600,521 |     |   |         — |     |   |          — |

#### SL Green Operating Partnership, L.P.

### Consolidated Statements of Cash Flows
<div align='center'>(in thousands)</div>

In December 2024, the Company declared a regular monthly distribution per share of $ 0.2575that was paid in cash. This distribution was paid in January 2025. In December 2023, the Company declared a regular monthly distribution per share of $ 0.2500that was paid in cash. This distribution was paid in January 2024. In December 2022, the Company declared a regular monthly distribution per share of $ 0.2708that was paid in cash. This distribution was paid in January 2023.

The following table provides a reconciliation of cash, cash equivalents, and restricted cash reported within the consolidated balance sheets that sum to the total of the same such amounts shown in the consolidated statements of cash flows.

|                                                   |     | Year Ended |    2024 |     |   |    2023 |     |   |    2022 |
|:--------------------------------------------------|:----|:-----------|--------:|:----|:--|--------:|:----|:--|--------:|
| Cash and cash equivalents                         |     | $          | 184,294 |     | $ | 221,823 |     | $ | 203,273 |
| Restricted cash                                   |     |            | 147,344 |     |   | 113,696 |     |   | 180,781 |
| Total cash, cash equivalents, and restricted cash |     | $          | 331,638 |     | $ | 335,519 |     | $ | 384,054 |

<div align='center'>The accompanying notes are an integral part