Taubman Centers Inc.

Symbol: TCO     Sector: Real Estate     Industry: REITs

Dividend Yield
6.53%
Current Price
$41.35
Info     Dividend Rate History     Earnings     Financials     Rankings

Financials 2019

Update: 2019-06-09 19:40:01

Period

Report Date
Operating Revenue
Total Revenue
Cost of Revenue
Gross Profit
Operating Expense
Operating Income
Net Income
Current Assets
Total Assets
Total Liabilities
Shareholders Equity
Current Cash
Current Debt
Total Cash
Total Debt
Cash Change
Cash Flow
 
R&D

Q 1

2019-03-31
148,646,000
160,208,000
531,000
159,677,000
115,295,000
44,382,000
21,508,000
119,130,000
4,451,394,000
4,791,047,000
-116,731,000
135,445,000
-
38,151,000
-
-10,085,000
43,168,000
 
-

Financials 2018

Update: 2019-06-09 19:40:01

Period

Report Date
Operating Revenue
Total Revenue
Cost of Revenue
Gross Profit
Operating Expense
Operating Income
Net Income
Current Assets
Total Assets
Total Liabilities
Shareholders Equity
Current Cash
Current Debt
Total Cash
Total Debt
Cash Change
Cash Flow
 
R&D

Q 4

2018-12-31
152,860,000
167,489,000
284,000
167,205,000
136,320,000
30,885,000
9,463,000
145,687,000
4,344,106,000
4,652,003,000
-92,873,000
142,929,000
-
48,372,000
-
10,068,000
84,113,000
 
-

Q 3

2018-09-30
143,525,000
159,120,000
476,000
158,644,000
113,739,000
44,905,000
27,359,000
121,303,000
4,335,719,000
4,581,798,000
-48,078,000
133,291,000
-
38,037,000
-
-35,556,000
78,503,000
 
-

Q 2

2018-06-30
140,524,000
152,769,000
408,000
152,361,000
115,637,000
36,724,000
21,691,000
110,906,000
4,362,189,000
4,571,119,000
-21,255,000
173,731,000
-
35,374,000
-
-4,522,000
81,029,000
 
-

Q 1

2018-03-31
141,772,000
161,492,000
302,000
161,190,000
108,518,000
52,672,000
24,973,000
130,072,000
4,245,995,000
4,415,856,000
6,917,000
180,874,000
-
53,920,000
-
16,470,000
50,606,000
 
-

Financials 2017

Update: 2019-06-09 19:40:01

Period

Report Date
Operating Revenue
Total Revenue
Cost of Revenue
Gross Profit
Operating Expense
Operating Income
Net Income
Current Assets
Total Assets
Total Liabilities
Shareholders Equity
Current Cash
Current Debt
Total Cash
Total Debt
Cash Change
Cash Flow
 
R&D

Q 4

2017-12-31
157,733,000
172,184,000
459,000
171,725,000
131,384,000
40,341,000
26,613,000
268,373,000
4,214,592,000
4,364,620,000
22,240,000
42,499,000
-
42,499,000
-
-4,762,000
73,288,000
 
-