Simon Property Group, Inc.

NYSE:SPG

160.86 (USD) • At close May 5, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Operating Activities:
Net Income 2,370.8962,283.1262,452.3852,568.7071,277.3242,423.1882,822.3432,244.9032,134.7062,139.3751,651.5261,551.591,719.6321,245.9753.514387.262463.636546.3563.84329.642342.993368.715408.281198.905354.007229.805228.654203.1134.7101.560.46.9
Depreciation & Amortization 1,359.8611,262.1071,292.1131,325.8951,354.9911,394.1721,349.7761,357.3511,327.9461,239.2141,285.7841,332.951,301.3041,112.4381,016.0271,009.49956.827875.284812.718806.638611.09518.56491.306464.892430.472394.004278.812208.5143.6101.383.22.1
Deferred Income Tax 00-24.7-24.8-1.9-26.800000000000000000000000000
Stock Based Compensation 0024.724.81.926.819.82340.134.339.939.132.40000000000000000000
Change In Working Capital 0258.134148.886391.728-425.022-36.395-8.649-59.184-105.309-77.217-101.876-1.5627.099-137.253-60.79413.1652.863-10.016-67.155-92.6236.063-17.049-4.22477.14218.744-11.60537.654-92.2-66-13.4-29.8-7.4
Accounts Receivables 0-11.80263.35265.352-415.911-0.157-17.518-26.1716.2779.918-6.73-13.938-4.8150000-123.769-136.369-1.294-84.1787.881-1.541-37.564-3.151-60.1-20.7-82.5-19.2-8.8-2.7-22.7
Inventory 011.802-63.35-265.352415.9110.1570000000000072.7770053.0759.34711.554115.07428.8311.48545.500000
Accounts Payables 0245.513190.103203.96819.0813.184.30799.931-77.78935.542-29.57742.391165.679-58.95903.78939.873113.75369.214-91.32990.241-24.93-2.683110.88625.55248.476.936.4-13.82.1-12.219
Other Working Capital 012.621-41.217187.76-444.102-49.495-92.956-159.115-27.52-112.759-72.299-43.951-138.58-78.294-60.7949.376-37.01-72.77767.15592.623-53.075-9.347-11.554-111.254-32.487-11.39-64.046-46.1-33-6.7-14.9-3.7
Other Non Cash Items 83.898127.426-126.78-648.928119.40526.866-412.67450.71815.351-276.687-105.014-181.984-534.963-215.19846.463310.603182.90744.177-36.036129.204122.71281.741-12.37362.874-101.70714.852-15.70551.524.24.941.45.4
Operating Cash Flow 3,814.6553,930.7933,766.6043,637.4022,326.6983,807.8313,750.7963,593.7883,372.6943,024.6852,730.422,700.9962,513.0722,005.8871,755.211,720.521,606.2331,455.7451,273.3671,172.8611,082.858951.967882.99803.813701.516627.056529.415370.9236.5194.3155.27
Investing Activities:
Investments In Property Plant And Equipment 0-793.283-650.024-527.935-484.119-876.011-781.909-732.1-798.465-1,020.924-796.736-841.209-802.427-445.495-256.312-376.275-874.286-1,017.472-767.71-726.386-549.304-353.903-213.99-565.387-829.115-1,348.261-2,638.008-1,285.6-195.8-98.200
Acquisitions Net -32.486-149.79-439.156-313.981-3,798.062-76.589-114.457-421.661-812.136-1,740.809-325.285-1,009.69-3,937.048-727.715-949.26194.346171.708-263.09800-2,305.36-812.362-684.273124.665360.766-117.358-1,747.16700000
Purchases Of Investments -600-1,031.742-66.14-33.605-32.955-374.231-21.563-25-38.809-59.523-391.188-44.117-184.804-62.822-672.615-252.984-353.594-687.327-157.309-76.71-84.876-81.48-90.113-147.933-161.58-83.125-55.52300000
Sales Maturities Of Investments 2,865.817304.12926.08665.50430876.0112556.26842.6504.012495.88247.495415.848241.99375.67482.81635.3000600.575631.9690-282.54549.998-504.56163.2090.60000
Other Investing Activites -825.01307.505502.67257.253306.738-625.887656.423361.026637.784854.524120.061899.433927.760255.81933.106-675.278-69.024323.168750.662-406.732-145.887202.646591.768503.991,440.4292,275.45741.2-3.9-124.5-266.8-229.4
Investing Cash Flow 1,408.321-1,363.181-626.564-552.764-3,978.398-1,076.707-236.506-761.467-969.026-1,462.72-897.266-948.088-3,580.671-994.042-1,246.695-418.991-1,020.872-2,036.921-601.851-52.434-2,745.697-761.663-785.73-279.432-75.941-612.876-2,102.032-1,243.8-199.7-222.7-266.8-229.4
Financing Activities:
Debt Repayment -1,873.742971.315-272.461-825.5922,279.585884.602-1,144.9661,082.737216.0371,356.647-692.897473.1732,211.881256.506-2,368.999542.067764.8391,399.321,065.403-235.0172,488.98609.524305.099107.92948.396575.0611,914.4945.45925.7-75.1122.1-329.9
Common Stock Issued 00001,556.148000-0.32800.2770.0991,213.845.3134.1661,642.22811.106156.71217.23703.4399.725341.4458.0851.2091.463114.6344.4201.7242.4106.80
Common Stock Repurchased 0-518.288-515.905-341.887-169.549-369.902-438.854-410.119-259.894-509.277-14.4350-2480-10.994-87.689-17.854-384.461-409.708-194.416-162.987-93.95400-50.9720000000
Dividends Paid -3,045.959-2,439.233-2,264.007-2,351.764-1,445.098-2,560.859-2,821.642-2,231.259-2,355.885-2,196.041-1,603.603-1,690.553-1,485.24-1,032.659-919.443-216.756-1,075.895-216.403-204.652-194.697-724.478-655.061-595.874-563.679-501.902-515.819-409.348-227.9-262.5-177.7-120.70
Other Financing Activities -79.421-34.0430.025-381.193-229.061-531.842-449.373-351.43-461.429-124.442-627.077-3.282-239.014-27.576-385.239-141.258-1.845-297.5652.023-25.590.4640-10.561-23.438-40.5340.7230.013-143.6720-3.7-2.1623.5
Financing Cash Flow -4,991.622-2,020.249-3,052.348-3,562.3151,993.94-2,576.086-4,482.264-1,910.071-2,544.743-1,473.113-2,937.735-1,220.5631,453.467-1,009.913-3,669.5151,882.645-313.799153.798-79.204-1,303.4631,647.3-51.8140.109-487.732-560.09614.2571,592.113918.3-35.1-14.1106.1293.6
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000000000000000
Net Change In Cash 231.354547.36387.692-477.677342.24155.038-967.974922.25-141.07588.852-1,104.581532.345385.8681.932-3,1613,184.174271.562-427.378592.312-183.036-15.539138.494137.36936.64965.47928.43719.49645.41.7-42.5-5.571.2
Cash At End Of Period 1,400.3451,168.991621.628533.9361,011.613669.373514.3351,482.309560.059701.134612.2821,716.8631,184.518798.65796.7183,957.718773.544501.982929.36337.048520.084535.623397.129259.76223.111157.632129.195109.764.462.6105.1110.6