How Tanger (SKT) Makes Money: A Visual Guide
Tanger (SKT) generated $581.56M in revenue (TTM through Q4 2025), earning $114.78M in net profit (19.7% margin). Below is an interactive breakdown of how revenue flows through the income statement.
Tanger (SKT) Income Statement Flow
Frequently asked questions
How much revenue does Tanger (SKT) generate?
- Tanger (SKT) generated $581.56M in total revenue for TTM through Q4 2025 with a net profit margin of 19.7%.
What is Tanger (SKT) gross profit margin?
- Tanger (SKT) reported a gross profit margin of 55.9% for TTM through Q4 2025, equivalent to $324.82M in gross profit. This means Tanger retains 55.9% of each revenue unit after direct costs of production.
What is Tanger (SKT) operating profit margin?
- Tanger (SKT) reported an operating profit margin of 19.5% for TTM through Q4 2025, equivalent to $113.13M in operating profit. This reflects profitability after operating expenses such as R&D, sales, and administration, but before taxes and non-operating items.
What is Tanger (SKT) net profit margin?
- Tanger (SKT) reported a net profit margin of 19.7% for TTM through Q4 2025, equivalent to $114.78M in net profit. This is the share of revenue that remains as profit after all expenses, taxes, and non-operating items.
How much does Tanger (SKT) spend on capital expenditures?
- Tanger (SKT) spent $85.73M on capital expenditures in TTM through Q4 2025 (14.7% of total revenue). Capital expenditures represent investments in physical assets such as property, equipment, and infrastructure.
What is Tanger (SKT) free cash flow?
- Tanger (SKT) generated $211.56M in free cash flow for TTM through Q4 2025 (36.4% of total revenue). Free cash flow is the cash remaining after capital expenditures and represents the company's ability to fund growth, pay dividends, or reduce debt.
Data & methodology
What is a Sankey diagram?
- A Sankey diagram shows how money flows through a company from revenue to net profit. The width of each flow represents its proportion.
How is the data calculated?
- We use the income statement from company filings. For TTM (Trailing Twelve Months), we use a pre-aggregated twelve-month view aligned with our latest four quarterly periods. Revenue flows to cost of revenue and gross profit, then to operating expenses (R&D, S&M, G&A) and operating profit.
When was this data last updated?
- Based on company filings through TTM through Q4 2025.
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