Simon Property Group, Inc.

NYSE:SPG

160.86 (USD) • At close May 5, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,400.3451,168.991621.628533.9361,011.613669.373514.3351,482.309560.059701.134612.2821,716.8631,184.518798.65796.7183,957.718773.544501.982929.36337.048520.084535.623397.129259.76223.111157.632129.19500000
Kortetermijnbeleggingen 01,000361.537000293.831330.794366.733365.283810.109268.607269.68800001,886.8911,526.2350000000000000
Liquide middelen en kortetermijnbeleggingen 1,400.3452,168.991621.628533.9361,011.613669.373514.3351,482.309560.059701.134612.2821,716.8631,184.518798.65796.7183,957.718773.5442,388.8732,455.595337.048520.084535.623397.129259.76223.111157.632129.19500000
Nettovorderingen 796.513826.126823.54919.6541,236.734832.151763.815742.672664.619624.605580.197581.482521.3011,137.731426.7361,034.729935.556995.224380.128357.079361.59305.2386.466396.58484.599451.234218.581188.3590000
Voorraad 000000-516.463-584.19-451.457-385.576-372.317-496.852-459.577000000000-2,056.322-1,800.181-1,627.437-1,871.65-1,743.44700000
Overige vlottende activa 0440.8570934.93200516.463584.19451.457385.576372.3170919.154343.936000000002,056.3221,800.1811,627.4371,871.651,743.44700000
Totaal vlottende activa 2,196.8582,995.1171,445.1681,798.592,248.3471,501.5241,278.152,224.9811,224.6781,325.7391,192.4792,298.3451,705.8191,936.3811,223.4544,992.4471,709.12,836.0972,835.723694.127881.674840.823783.595656.34707.71608.866347.77600000
Niet-vlottende activa:
Materiële vaste activa, netto 519.607484.073496.93504.119512.914514.6624,208.13124,457.51524,360.33523,547.73822,367.78522,243.84525,184.13321,268.91619,797.43118,331.65519,021.4319,102.9318,257.83317,936.01618,091.23812,415.24512,027.37311,317.22111,564.41411,703.17111,127.6436,405.65,021.92,009.31,829.11,350.4
Goodwill 20.09820.09820.09820.09820.09820.09820.09820.09820.09820.09820.09820.09820.09800000000037.21237.21238.38439.55658.13400000
Immateriële activa 2.7468.71417.77233.27834.95875.754130.638188.459265.039255.582291.696389.287487.03400987.531,086.248000000000000000
Goodwill en immateriële activa 22.84428.81237.8753.37655.05695.852150.736208.557285.137275.68311.794409.385507.13200987.531,086.2480000037.21237.21238.38439.55658.13400000
Langetermijnbeleggingen 7,756.6588,536.0758,146.728,042.427,785.1584,102.7023,989.9024,201.1594,164.9774,424.9374,165.2774,447.8144,125.921,378.0841,390.1051,468.5771,663.8861,886.8911,526.2351,562.5951,920.9831,811.7731,665.6541,451.1371,315.8361,573.7591,366.96600000
Belastingvorderingen 0033,011.27433,777.37934,786.84631,231.6330,686.22332,257.63831,103.578-23,547.738-22,367.785-22,243.845-25,184.13300-987.53-1,086.248000000000000000
Overige niet-vlottende activa 21,909.72421,646.16-10,126.688-10,398.505-10,601.475-6,214.738-29,626.919-31,092.212-30,035.12724,624.31723,862.7826,169.0326,247.7351,633.5442,446.4391,155.5871,202.2562,615.8412,300.3871,632.4282,057.7981,457.7031,174.2631,005.3841,019.311906.757724.2571,257.1874547.1448.1406.3
Totaal niet-vlottende activa 30,208.83330,695.1231,566.10631,978.78932,538.49929,730.10629,408.07330,032.65729,878.929,324.93428,339.85131,026.22930,880.78724,280.54423,633.97520,955.81921,887.57223,605.66222,084.45521,131.03922,070.01915,684.72114,904.50213,810.95413,937.94514,223.24313,2777,662.75,895.92,556.42,277.21,756.7
Totaal activa 32,405.69134,283.49533,011.27433,777.37934,786.84631,231.6330,686.22332,257.63831,103.57830,650.67329,532.3333,324.57432,586.60626,216.92524,857.42925,948.26623,596.67223,605.66222,084.45521,131.03920,691.97514,567.45114,031.57712,839.86312,874.57813,088.89313,2777,662.75,895.92,556.42,277.21,756.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,712.4651,682.1481,491.5831,433.2161,311.9251,390.6821,316.8611,269.191,214.0221,323.8011,259.6811,223.1021,374.1721,091.712000000000544.431451.2070000000
Kortlopende schulden 02,979.9870001,327.0500953.665002,072.52900000809.6671,683.96601,542.16100000000000
Belastingschulden 00000000000000000000000000000000
Uitgestelde opbrengsten 001,491.583000-758.681-978.467-953.665-878.657-409.185-0.400000000000000000000
Overige kortlopende verplichtingen 1,682.8411,868.2311,701.8251,574.5732,687.335239.2442,294.7922,384.845406.0731,338.8441,167.163-829.927724.744866.541,178.5931,604.6291,646.948974.819-1,683.9660-1,542.16100-544.431-451.2070000000
Totaal kortlopende verplichtingen 3,395.3066,530.3663,193.4083,007.7893,376.242,956.9762,852.9722,675.5682,573.762,692.3452,426.8442,465.7042,098.9161,958.2521,178.5931,604.6291,646.9482,8232,7112,7182,8412,0801,891544.431451.2072,2011,89500000
Langlopende verplichtingen:
Langetermijnschulden 24,792.27823,538.29725,458.23923,929.06426,615.83323,352.98923,372.7924,700.88322,977.10422,416.68220,852.99321,516.00223,113.00718,446.4416,578.18518,630.30218,423.26216,409.00713,710.52314,106.11713,044.23210,266.3889,546.0818,841.3788,728.5828,768.8417,973.45,077.993,6821,980.81,938.11,457.9
Uitgestelde opbrengsten niet-vlottend 00-278.3-259.3-251.1-257.726,659.10427,828.39426,005.90400000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00278.3259.3251.1257.766.794.1116.100000000000000000000000
Overige niet-vlottende verplichtingen 618.655527.234535.7362,439.8011,136.5351,791.354-325.339-526.524-498.625243.949-133.7341,434.786303.588267.9451,466.899530.373486.2792,594.153-13,710.523-14,106.117-13,044.232-10,266.388-9,546.081-8,841.378-8,728.582-8,768.841-7,973.4-5,077.99-3,682-1,980.8-1,938.1-1,457.9
Totaal niet-vlottende verplichtingen 25,410.93324,065.53125,993.97526,368.86527,752.36825,144.34323,806.13225,152.82623,432.14422,716.42221,128.44423,845.75323,416.59518,714.38518,045.08419,160.67518,909.54119,003.1616,909.51715,958.17816,049.36911,228.82410,412.9929,628.91510,533.6089,155.9889,867.7916,105.84,5912,323.52,219.91,727.2
Totaal passiva 28,806.23930,595.89729,187.38329,376.65431,128.60828,101.31926,659.10427,828.39426,005.90425,408.76723,555.28826,311.45725,515.51120,672.63719,223.67720,765.30420,556.48919,003.1616,909.51715,958.17816,049.36911,228.82410,412.9929,628.91510,533.6089,155.9889,867.7916,105.84,5912,323.52,219.91,727.2
Eigen vermogen:
Preferente aandelen 40.77841.10641.43541.76342.09142.4242.74843.07743.40543.73344.06244.3944.71945.04745.37545.704425.545746.608884.621,080.0221,062.687367.483814.254877.468878.55882.435717.91600000
Gewone aandelen 0.0330.0330.0340.0340.0340.0320.0320.0320.0320.0310.0310.0310.0310.030.030.0290.0240.0230.0230.0230.0230.0210.0190.0180.0180.0180.01700000
Ingehouden winsten -6,382.515-6,095.576-5,926.974-5,823.708-6,102.314-5,379.952-4,893.069-4,782.173-4,459.387-4,266.93-4,208.183-3,218.686-3,083.19-3,251.74-3,114.571-2,955.671-2,444.257-2,055.447-1,740.897-1,551.179-1,335.436-1,097.317-961.338-927.654-715.288-551.251-372.313-263.3-172.6-131-78.3-11.4
Overige gereserveerde algehele resultaten -193.026-172.787-164.873-185.186-188.675-118.604-126.017-110.453-114.126-252.686-61.041-75.795-90.9-94.2636.53-3.088-165.06618.08719.2399.79316.36512.586-8.109-9.893-1,480.719-5.8520.12600000
Overige totale aandeelhoudersvermogen 9,476.6559,250.0589,188.9029,328.5499,288.3367,982.5028,338.8538,535.6858,840.5248,947.3169,318.3089,099.4669,039.9437,950.5927,893.4167,371.1635,223.9374,854.1124,816.6574,807.0654,898.9674,055.8543,622.9072,454.5134,378.0172,929.993,063.751,817.7391,477.5363.9135.640.9
Totaal eigen vermogen van aandeelhouders 2,941.9253,022.8343,138.5243,361.4523,039.4722,526.3983,296.6813,686.1684,310.4484,471.4645,093.1775,849.4065,910.6034,649.6664,830.784,458.1373,040.1833,563.3833,979.6424,307.2963,264.5622,221.3572,594.8082,243.62,340.972,458.9053,409.2091,556.91,304.9232.957.329.5
Totaal eigen vermogen 3,599.4523,687.5983,823.8914,400.7253,658.2383,130.3114,027.1194,429.2445,097.6745,241.9065,977.0427,013.1177,071.0955,544.2885,633.7525,182.9623,040.1834,602.5025,174.9385,172.8614,642.6063,338.6273,618.5853,210.9482,340.973,932.9053,409.2091,556.91,304.9232.957.329.5
Totaal passiva en aandeelhoudersvermogen 32,405.69134,283.49533,011.27433,777.37934,786.84631,231.6330,686.22332,257.63831,103.57830,650.67329,532.3333,324.57432,586.60626,216.92524,857.42925,948.26623,596.67223,605.66222,084.45521,131.03920,691.97514,567.45114,031.57712,839.86312,874.57813,088.89313,2777,662.75,895.92,556.42,277.21,756.7