Tanger Inc. (SKT)
NYSE: SKT · Real-Time Price · USD
35.91
-0.09 (-0.25%)
Mar 9, 2026, 4:00 PM EDT - Market closed

Tanger Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Property, Plant & Equipment
2,2912,0562,0301,7101,735
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Cash & Equivalents
18.1346.9912.78212.12161.26
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Accounts Receivable
6557.957.851.153.3
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Investment In Debt and Equity Securities
--9.1952.45-
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Other Intangible Assets
110.6785.0391.2758.5773.72
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Restricted Cash
35.4----
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Other Current Assets
65.4860.784645.9544
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Trading Asset Securities
0.161.292.7114.122.49
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Deferred Long-Term Charges
5.77.42.1-4.8
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Other Long-Term Assets
64.8665.6771.973.8182.65
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Total Assets
2,6562,3812,3242,2182,157
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Current Portion of Leases
6.32----
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Long-Term Debt
1,5991,4251,4421,4281,398
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Long-Term Leases
85.2584.586.0887.5388.87
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Accounts Payable
133.07107.78118.51104.7493
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Other Long-Term Liabilities
97.3484.518682.9778.19
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Total Liabilities
1,9211,7021,7331,7041,658
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Common Stock
1.151.131.091.051.04
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Additional Paid-In Capital
1,2631,1911,079987.19978.05
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Distributions in Excess of Earnings
-529.24-511.82-490.17-485.56-483.41
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Comprehensive Income & Other
-28.35-27.69-23.52-11.04-17.76
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Total Common Equity
706.48652.37566.79491.64477.93
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Minority Interest
28.6227.324.5322.2921.86
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Shareholders' Equity
735.1679.67591.31513.93499.79
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Total Liabilities & Equity
2,6562,3812,3242,2182,157
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Total Debt
1,6901,5091,5281,5161,486
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Net Cash (Debt)
-1,672-1,461-1,513-1,290-1,323
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Net Cash Per Share
-14.58-13.15-14.20-12.21-12.97
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Filing Date Shares Outstanding
114.51112.78108.92104.5104.08
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Total Common Shares Outstanding
115.1112.74108.79104.5104.08
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Book Value Per Share
6.145.795.214.704.59
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Tangible Book Value
595.81567.34475.52433.07404.21
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Tangible Book Value Per Share
5.185.034.374.143.88
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Land
342.2311.36303.61275.08268.27
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Buildings
3,3603,0892,9382,5532,532
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Construction In Progress
18.177.4529.227.34-
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Source: S&P Capital IQ. Real Estate template. Financial Sources.