Simon Property Group, Inc. (SPG) — Stock Price, Financials & Analysis

Simon Property Group, Inc. is a self-administered and self-managed real estate investment trust (REIT). Simon Property Group, L.P., or the Operating Partnership, is our majority-owned partnership subsidiary that owns all of our real estate properties and other assets. In this package, the terms Simon, we, our, or the Company refer to Simon Property Group, Inc., the Operating Partnership, and its subsidiaries. We own, develop and manage premier shopping, dining, entertainment and mixed-use destinations, which consist primarily of malls, Premium Outlets, The Mills, and International Properties. At December 31, 2024, we owned or had an interest in 229 properties comprising 183 million square feet in North America, Asia and Europe. We also owned an 88% interest in The Taubman Realty Group, or TRG, which owns 22 regional, super-regional, and outlet malls in the U.S. and Asia. Additionally, at December 31, 2024, we had a 22.4% ownership interest in Klepierre, a publicly traded, Paris-based real estate company, which owns shopping centers in 14 European countries. Simon Property Group, Inc. was incorporated in 1960 and is based in Indianapolis, Indiana.

Key Statistics — SPG

  • Latest Close: $219.53
  • Market Cap: $83.42B
  • P/E Ratio (TTM): 15.3
  • EPS (TTM): $14.38
  • Dividend Yield: 399.00%
  • 52-Week High: $238.50
  • 52-Week Low: $165.37
  • Profit Margin: 66.6%
  • Return on Equity: 124.3%
  • Debt to Equity: 527.9

Sector: Real Estate — REIT - Retail

Income Statement — SPG

  • 2021: Revenue N/A, Net Income N/A
  • 2022: Revenue $5.29B, Net Income $2.14B
  • 2023: Revenue $5.66B, Net Income $2.28B
  • 2024: Revenue $5.96B, Net Income $2.37B
“”Wednesday, August 12, 2026
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Simon Property Group, Inc. — Real Estate · REIT - Retail

$219.53-1.02 (-0.46%)
Mkt Cap
$83.42B
P/E
15.3
EPS
$14.38
Beta
N/A
Yield
399.00%
52W Hi
$238.50
52W Lo
$165.37
Vol
1.9M

Price History

Chart Terminal →Technical Analysis →

Company Profile

Sector
Real Estate
Industry
REIT - Retail
Employees
3,100
HQ
Indianapolis, IN, United States
Web
simon.com

Simon Property Group, Inc. is a self-administered and self-managed real estate investment trust (REIT). Simon Property Group, L.P., or the Operating Partnership, is our majority-owned partnership subsidiary that owns all of our real estate properties and other assets. In this package, the terms Simon, we, our, or the Company refer to Simon Property Group, Inc., the Operating Partnership, and its subsidiaries. We own, develop and manage premier shopping, dining, entertainment and mixed-use destinations, which consist primarily of malls, Premium Outlets, The Mills, and International Properties. At December 31, 2024, we owned or had an interest in 229 properties comprising 183 million square feet in North America, Asia and Europe. We also owned an 88% interest in The Taubman Realty Group, or TRG, which owns 22 regional, super-regional, and outlet malls in the U.S. and Asia. Additionally, at December 31, 2024, we had a 22.4% ownership interest in Klepierre, a publicly traded, Paris-based real estate company, which owns shopping centers in 14 European countries. Simon Property Group, Inc. was incorporated in 1960 and is based in Indianapolis, Indiana.

Top Executives

NameTitleTotal Pay
Mr. Eli M. SimonPresident, CEO, COO & Director$2.1M
Mr. Brian J. McDadeExecutive VP & CFO$1.7M
Mr. John RulliChief Administrative Officer$1.7M
Mr. Steven E. Fivel J.D.General Counsel & Secretary$1.7M
Mr. Adam J. ReuilleSenior VP & Chief Accounting Officer$742.9K
Wasif AwanChief Technology Officer—
Mr. Thomas WardSenior Vice President of Investor Relations—
Ms. Lee SterlingChief Marketing Officer—
Tim ChmielewskiChief Human Resources Officer—
Ms. Victoria J. HanorSenior Executive VP & MD of Luxury Leasing—

Financial Statements

✓
Profitable
4/5 periods
✓
Revenue Growing
+6.7% latest, 3/3 up
✓
Earnings Growing
+95.2% latest, 3/3 up
✗
Pays Dividend
No dividends
✓
Positive Margin
66.6% net margin

Simon Property Group, Inc.

Real Estate \u00b7 REIT - Retail

Market Cap$83.42B
Trailing P/E15.3
Forward P/E32.7
EPS (trailing)$14.38
EPS (forward)$6.71
Gross Margin81.4%
Operating Margin46.0%
Profit Margin66.6%
Dividend Rate$8.80/share
Dividend Yield399.0%
Payout Ratio60.2%

Revenue & Net Income

2021 – 2025, Annual

Revenue

Net Income

Profit Margins

2021 – 2025, Annual

Earnings Per Share

2021 – 2025, Annual

Dividends

No dividend history available.

Price Ranges

52-Week
$165.37$238.50
Fwd P/E32.7
Avg Volume1.9M
Shares Out0.32B

Key Ratios

Gross Margin81.4%
Operating Margin46.0%
Profit Margin66.6%
ROE124.3%
ROA5.6%
P/B14.8
D/E527.88
Current Ratio0.53
Dividend Rate$8.80
Payout Ratio60.2%

Cash & Debt

Cash 3%Debt 97%
Total Cash$1.02B
Total Debt$29.43B
Net Cash$-28.41B
Free Cash Flow$2.61B
Operating CF$4.12B

Ratings Snapshot

2.5 / 5
P/E3/5(15.3)
P/B1/5(14.8)
ROE5/5(124.3)
ROA3/5(5.6)
D/E1/5(527.9)
Liquidity2/5(0.5)

Growth Pulse

Revenue Growth+19.5%
Earnings Growth-12.5%

Analyst Recommendations

0m
Hold (21 analysts)
6
13
Strong Buy: 1
Buy: 6
Hold: 13
Sell: 0
Strong Sell: 1
MonthStr BuyBuyHoldSellStr Sell
0m161301
-1m161301
-2m171201
-3m181200

Income Snapshot 2025

Revenue
$6.4B
Net Income
$4.6B
Gross Margin
81.9%
Net Margin
72.7%
Op. Income
$3.2B
EPS
$14.17

Balance Sheet

2021 – 2025, Annual
Debt / Equity5.60x
High leverage — more debt than equity
Current Ratio0.57x
May struggle to pay near-term bills
Net Debt$28.36B
Total debt minus cash on hand

Assets vs Liabilities vs Equity

Assets = Liabilities + Equity. The green bar is what's left for shareholders after paying all debts.

Cash vs Debt

How much cash the company has on hand vs how much it owes in total debt.

Period Detail

PeriodAssetsLiabilitiesEquityCashDebtD/E
2021N/AN/AN/AN/AN/A—
2022$33.01B$29.19B$3.14B$621.6M$25.46B8.11x
2023$34.28B$30.60B$3.02B$1.17B$26.52B8.77x
2024$32.41B$28.81B$2.94B$1.40B$24.78B8.42x
2025$40.61B$33.90B$5.21B$823.1M$29.19B5.60x

Balance Sheet Snapshot 2025

Total Assets$40.61B
Total Liabilities$33.90B
Equity$5.21B
Retained Earnings$-4.61B
Goodwill$20.1M
Long-Term Debt$28.08B

Cash Flow Statement

2021 – 2025, Annual

Operating · Investing · Financing

Operating — cash from core business.Investing — buying/selling long-term assets.Financing — debt, equity & dividends.

Free Cash Flow

Operating cash flow minus capital expenditure — the cash available after maintaining operations.

PeriodOperatingInvestingFinancingFCFCapEx
2021$0$0$0$0$0
2022$4B$-627M$-3B$3B$-650M
2023$4B$-1B$-2B$3B$-793M
2024$4B$1B$-5B$3B$-756M
2025$4B$-2B$-3B$3B$-934M

Capital Allocation 2025

CapEx$934.3M
Dividends Paid$439.4M
Buybacks$253.3M
Debt Repaid$3.28B
Debt Issued$3.67B
Net Change Cash$-577.2M

Price History

Chart Terminal →Technical Analysis →

Company Profile

Sector
Real Estate
Industry
REIT - Retail
Employees
3,100
HQ
Indianapolis, IN, United States
Web
simon.com

Simon Property Group, Inc. is a self-administered and self-managed real estate investment trust (REIT). Simon Property Group, L.P., or the Operating Partnership, is our majority-owned partnership subsidiary that owns all of our real estate properties and other assets. In this package, the terms Simon, we, our, or the Company refer to Simon Property Group, Inc., the Operating Partnership, and its subsidiaries. We own, develop and manage premier shopping, dining, entertainment and mixed-use destinations, which consist primarily of malls, Premium Outlets, The Mills, and International Properties. At December 31, 2024, we owned or had an interest in 229 properties comprising 183 million square feet in North America, Asia and Europe. We also owned an 88% interest in The Taubman Realty Group, or TRG, which owns 22 regional, super-regional, and outlet malls in the U.S. and Asia. Additionally, at December 31, 2024, we had a 22.4% ownership interest in Klepierre, a publicly traded, Paris-based real estate company, which owns shopping centers in 14 European countries. Simon Property Group, Inc. was incorporated in 1960 and is based in Indianapolis, Indiana.

Top Executives

NameTitleTotal Pay
Mr. Eli M. SimonPresident, CEO, COO & Director$2.1M
Mr. Brian J. McDadeExecutive VP & CFO$1.7M
Mr. John RulliChief Administrative Officer$1.7M
Mr. Steven E. Fivel J.D.General Counsel & Secretary$1.7M
Mr. Adam J. ReuilleSenior VP & Chief Accounting Officer$742.9K
Wasif AwanChief Technology Officer—
Mr. Thomas WardSenior Vice President of Investor Relations—
Ms. Lee SterlingChief Marketing Officer—
Tim ChmielewskiChief Human Resources Officer—
Ms. Victoria J. HanorSenior Executive VP & MD of Luxury Leasing—

Price Ranges

52-Week
$165.37$238.50
Fwd P/E32.7
Avg Volume1.9M
Shares Out0.32B

Key Ratios

Gross Margin81.4%
Operating Margin46.0%
Profit Margin66.6%
ROE124.3%
ROA5.6%
P/B14.8
D/E527.88
Current Ratio0.53
Dividend Rate$8.80
Payout Ratio60.2%

Cash & Debt

Cash 3%Debt 97%
Total Cash$1.02B
Total Debt$29.43B
Net Cash$-28.41B
Free Cash Flow$2.61B
Operating CF$4.12B

Ratings Snapshot

2.5 / 5
P/E3/5(15.3)
P/B1/5(14.8)
ROE5/5(124.3)
ROA3/5(5.6)
D/E1/5(527.9)
Liquidity2/5(0.5)

Growth Pulse

Revenue Growth+19.5%
Earnings Growth-12.5%

Analyst Recommendations

0m
Hold (21 analysts)
6
13
Strong Buy: 1
Buy: 6
Hold: 13
Sell: 0
Strong Sell: 1
MonthStr BuyBuyHoldSellStr Sell
0m161301
-1m161301
-2m171201
-3m181200

Financial Statements

✓
Profitable
4/5 periods
✓
Revenue Growing
+6.7% latest, 3/3 up
✓
Earnings Growing
+95.2% latest, 3/3 up
✗
Pays Dividend
No dividends
✓
Positive Margin
66.6% net margin

Simon Property Group, Inc.

Real Estate \u00b7 REIT - Retail

Market Cap$83.42B
Trailing P/E15.3
Forward P/E32.7
EPS (trailing)$14.38
EPS (forward)$6.71
Gross Margin81.4%
Operating Margin46.0%
Profit Margin66.6%
Dividend Rate$8.80/share
Dividend Yield399.0%
Payout Ratio60.2%

Revenue & Net Income

2021 – 2025, Annual

Revenue

Net Income

Profit Margins

2021 – 2025, Annual

Earnings Per Share

2021 – 2025, Annual

Dividends

No dividend history available.

Income Snapshot 2025

Revenue
$6.4B
Net Income
$4.6B
Gross Margin
81.9%
Net Margin
72.7%
Op. Income
$3.2B
EPS
$14.17

Balance Sheet

2021 – 2025, Annual
Debt / Equity5.60x
High leverage — more debt than equity
Current Ratio0.57x
May struggle to pay near-term bills
Net Debt$28.36B
Total debt minus cash on hand

Assets vs Liabilities vs Equity

Assets = Liabilities + Equity. The green bar is what's left for shareholders after paying all debts.

Cash vs Debt

How much cash the company has on hand vs how much it owes in total debt.

Period Detail

PeriodAssetsLiabilitiesEquityCashDebtD/E
2021N/AN/AN/AN/AN/A—
2022$33.01B$29.19B$3.14B$621.6M$25.46B8.11x
2023$34.28B$30.60B$3.02B$1.17B$26.52B8.77x
2024$32.41B$28.81B$2.94B$1.40B$24.78B8.42x
2025$40.61B$33.90B$5.21B$823.1M$29.19B5.60x

Balance Sheet Snapshot 2025

Total Assets$40.61B
Total Liabilities$33.90B
Equity$5.21B
Retained Earnings$-4.61B
Goodwill$20.1M
Long-Term Debt$28.08B

Cash Flow Statement

2021 – 2025, Annual

Operating · Investing · Financing

Operating — cash from core business.Investing — buying/selling long-term assets.Financing — debt, equity & dividends.

Free Cash Flow

Operating cash flow minus capital expenditure — the cash available after maintaining operations.

PeriodOperatingInvestingFinancingFCFCapEx
2021$0$0$0$0$0
2022$4B$-627M$-3B$3B$-650M
2023$4B$-1B$-2B$3B$-793M
2024$4B$1B$-5B$3B$-756M
2025$4B$-2B$-3B$3B$-934M

Capital Allocation 2025

CapEx$934.3M
Dividends Paid$439.4M
Buybacks$253.3M
Debt Repaid$3.28B
Debt Issued$3.67B
Net Change Cash$-577.2M
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