Tanger Factory Outlet Centers SKTNYSE

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Dividend News/Announcements

2023-04-13Tanger Factory Outlet Centers raises dividend 11.4% to $0.245 quarterly
2022-10-12Tanger Factory Outlet Centers raises dividend 10% to $0.22 quarterly
2016-04-08Tanger Factory Outlet Centers raises dividend 14% to $0.325 quarterly
2015-04-01Tanger Factory Outlets raises dividend 18.75% to $0.285 quarterly

Stock Metrics

Updated: 2026-08-11
Last Close
$38.56
PE Ratio
36.74
EPS
1.09
Market Cap
4.43B
52-Week Range %
$38.56
Next Earnings
2026-11-03

Dividend Metrics

Yield
3.23%
Yield on Cost
Payout Ratio
114.68 %
Frequency
Quarterly (FEB-MAY-AUG-NOV)
Annual Dividend
$1.25
Next Ex-Div
2026-10-30Est.
Next Pay Date
2026-08-14

Dividend History

Ex-Dividend DatePayout DateCash AmountChange / Status
2027-01-292027-02-12$0.3125unconfirmed/estimated
2026-10-302026-11-13$0.3125unconfirmed/estimated
2026-07-312026-08-14$0.3125
2026-04-302026-05-15$0.31256.84%
2026-01-302026-02-13$0.2925
2025-10-312025-11-14$0.2925
2025-07-312025-08-15$0.2925
2025-04-302025-05-15$0.29256.36%
2025-01-312025-02-14$0.275
2024-10-312024-11-15$0.275
2024-07-312024-08-15$0.275
2024-04-292024-05-15$0.2755.77%
2024-01-302024-02-15$0.26
2023-10-302023-11-15$0.266.12%
2023-07-282023-08-15$0.245
2023-04-272023-05-15$0.24511.36%
2023-01-302023-02-15$0.22
2022-10-282022-11-15$0.2210%
2022-07-282022-08-15$0.20
2022-04-282022-05-13$0.209.59%
2022-01-282022-02-15$0.1825
2021-10-282021-11-15$0.18252.82%
2021-07-292021-08-13$0.1775
2021-04-292021-05-14$0.1775
2021-01-282021-02-12$0.1775Resumed after a 9-month gap
2020-04-292020-05-15$0.35750.7%
2020-01-302020-02-14$0.355
2019-10-302019-11-15$0.355
2019-07-302019-08-15$0.355
2019-04-292019-05-15$0.3551.43%
2019-01-302019-02-15$0.35
2018-10-302018-11-15$0.35
2018-07-302018-08-15$0.35
2018-04-272018-05-15$0.352.19%
2018-01-302018-02-15$0.3425
2017-10-302017-11-15$0.3425
2017-07-272017-08-15$0.3425
2017-04-262017-05-15$0.34255.38%
2017-01-272017-02-15$0.325
2016-10-272016-11-15$0.325
2016-07-272016-08-15$0.325
2016-04-272016-05-13$0.32514.04%
2016-01-272016-02-15$0.285
2015-12-292016-01-15$0.21Special dividend
2015-10-282015-11-13$0.285
2015-07-282015-08-14$0.285
2015-04-282015-05-15$0.28518.75%
2015-01-282015-02-13$0.24
2014-10-282014-11-14$0.24
2014-07-282014-08-15$0.24
2014-04-282014-05-15$0.246.67%
2014-01-282014-02-14$0.225
2013-10-282013-11-15$0.225
2013-07-262013-08-15$0.225
2013-04-262013-05-15$0.2257.14%
2013-01-282013-02-15$0.21
2012-10-262012-11-15$0.21
2012-07-262012-08-15$0.21
2012-04-262012-05-15$0.215%
2012-01-262012-02-15$0.20
2011-10-262011-11-15$0.20
2011-07-272011-08-15$0.20
2011-04-272011-05-13$0.203.2%
2011-01-272011-02-15$0.1938
2010-10-272010-11-15$0.1938
2010-07-282010-08-13$0.1938
2010-04-282010-05-14$0.19381.2%
2010-01-272010-02-15$0.1915
2009-10-282009-11-16$0.1915
2009-07-282009-08-14$0.1915
2009-04-282009-05-15$0.19150.79%
2009-01-282009-02-16$0.19
2008-10-292008-11-14$0.19
2008-07-282008-08-15$0.19
2008-04-282008-05-15$0.195.56%
2008-01-292008-02-15$0.18
2007-10-292007-11-15$0.18
2007-07-272007-08-15$0.18
2007-04-262007-05-15$0.185.88%
2007-01-292007-02-15$0.17
2006-10-272006-11-15$0.17
2006-07-272006-08-15$0.17
2006-04-262006-05-15$0.175.26%
2006-01-272006-02-15$0.1615
2005-10-272005-11-15$0.1615
2005-07-272005-08-15$0.1615
2005-04-272005-05-16$0.16153.19%
2005-01-272005-02-15$0.15650.16%
2004-10-272004-11-15$0.15625
2004-07-282004-08-16$0.15625
2004-04-282004-05-14$0.156251.63%
2004-01-282004-02-16$0.15375
2003-10-292003-11-14$0.15375
2003-07-292003-08-15$0.15375
2003-04-282003-05-15$0.153750.33%
2003-01-292003-02-14$0.15325
2002-10-292002-11-15$0.15325
2002-07-292002-08-15$0.15325
2002-04-262002-05-15$0.153250.49%
2002-01-292002-02-15$0.1525
2001-10-292001-11-15$0.1525
2001-07-272001-08-15$0.1525
2001-04-262001-05-15$0.15250.33%
2001-01-292001-02-15$0.152
2000-10-272000-11-15$0.152
2000-07-272000-08-15$0.152
2000-04-262000-05-15$0.1520.5%
2000-01-272000-02-15$0.15125
1999-10-271999-11-15$0.15125
1999-07-281999-08-16$0.15125
1999-04-281999-05-14$0.151250.83%
1999-01-271999-02-15$0.15
1998-10-281998-11-16$0.15
1998-07-281998-08-14$0.15
1998-04-281998-05-15$0.159.09%
1998-01-281998-02-16$0.1375
1997-10-221997-11-14$0.1375
1997-07-231997-08-15$0.1375
1997-04-231997-05-15$0.13755.77%
1997-01-221997-02-14$0.13
1996-10-231996-11-15$0.13
1996-07-241996-08-15$0.13
1996-04-241996-05-15$0.134%
1996-01-241996-02-15$0.125
1995-10-251995-11-15$0.125
1995-07-261995-08-15$0.125
1995-04-241995-05-15$0.1258.7%
1995-01-231995-02-15$0.115
1994-10-241994-11-15$0.115
1994-07-251994-08-15$0.11510.84%
1994-04-251994-05-16$0.10375-1.19%
1994-01-131994-02-15$0.105
1993-12-131994-01-14$0.105
1993-10-261993-11-15$0.105
1993-07-281993-08-16$0.02875

Adjusted for splits

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Total return
Total return includes dividends. “Divs Reinvested” buys additional shares at the ex-dividend date close. “Cash” holds dividends without interest. Taxes and fees excluded.
Change:
Total return:
Dividends:

Total return either reinvests dividends at the ex-dividend date close or holds them as cash without interest. Taxes and fees are excluded.

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