v3.26.1
Consolidated Statements of Equity - USD ($)
$ in Thousands
Simon Property Group, L.P
General Partner
Simon Property Group, L.P
Limited Partner
Simon Property Group, L.P
Preferred Stock
Simon Property Group, L.P
Noncontrolling Interests
Simon Property Group, L.P
Preferred Stock
Series J cumulative redeemable preferred stock
Common Stock
Accumulated Other Comprehensive Income (Loss)
Capital in Excess of Par Value
Accumulated Deficit
Common Stock Held in Treasury
Noncontrolling Interests
Total
Balance at Dec. 31, 2024           $ 40,778 $ 33 $ (193,026) $ 11,583,051 $ (6,382,515) $ (2,106,396) $ 472,798 $ 3,414,723
Balance at Dec. 31, 2024 $ 2,901,147 $ 451,339 $ 40,778 $ 21,459 $ 3,414,723                
Increase (Decrease) in Stockholders' Equity                          
Exchange of limited partner units                 922     (922)  
Limited partner units exchanged to common units 922 (922)                      
Series J preferred stock premium amortization     (82)   (82) (82)             (82)
Stock incentive program                 (7,502)   7,502    
Redemption of limited partner units (6,048) (287)     (6,335)       (6,048)     (287) (6,335)
Amortization of stock incentive 7,300       7,300       7,300       7,300
Long-term incentive performance units   12,042     12,042             12,042 12,042
Issuance of unit equivalents and other (57,123) 1   470 (56,652)       (1) (55,534) (1,588) 471 (56,652)
Unrealized gain (loss) on hedging activities (11,964) (1,869)     (13,833)     (11,964)       (1,869) (13,833)
Currency translation adjustments (14,447) (2,193)     (16,640)     (14,447)       (2,193) (16,640)
Changes in available-for-sale securities and other 951 147     1,098     951       147 1,098
Net gain reclassified from accumulated other comprehensive loss into earnings (1,259) (196)     (1,455)     (1,259)       (196) (1,455)
Other comprehensive income (loss) (26,719) (4,111)     (30,830)     (26,719)       (4,111) (30,830)
Adjustment to limited partners' interest from change in ownership in the Operating Partnership 16,969 (16,969)             16,969     (16,969)  
Distributions to common stockholders and limited partners, excluding Operating Partnership preferred interests                   (686,102)   (106,934) (793,036)
Distributions to other noncontrolling interest partners                       (693) (693)
Net income, excluding attributable to preferred interests in the Operating Partnership and attributable to noncontrolling redeemable interests in properties 413,699 64,327 834 512 479,372         414,533   64,839 479,372
Distributions, excluding distributions on preferred interests classified as temporary equity (685,268) (106,934) (834) (693) (793,729)                
Balance at Mar. 31, 2025           40,696 33 (219,745) 11,594,691 (6,709,618) (2,100,482) 420,234 3,025,809
Balance at Mar. 31, 2025 2,564,879 398,486 40,696 21,748 3,025,809                
Balance at Dec. 31, 2025           40,451 33 (251,361) 12,347,192 (4,608,136) (2,319,911) 1,263,819 6,472,087
Balance at Dec. 31, 2025 5,167,817 884,913 40,451 378,906 6,472,087                
Increase (Decrease) in Stockholders' Equity                          
Series J preferred stock premium amortization     (82)   (82) (82)             (82)
Stock incentive program                 (8,157)   8,157    
Redemption of limited partner units (1,122) (97)     (1,219)       (1,122)     (97) (1,219)
Treasury unit purchase (175,284)       (175,284)                
Amortization of stock incentive 6,914       6,914       6,914       6,914
Treasury stock purchase                     (175,284)   (175,284)
Long-term incentive performance units   51,519     51,519             51,519 51,519
Issuance of unit equivalents and other (34,635) (1)   (250) (34,886)       (1) (32,237) (2,397) (251) (34,886)
Unrealized gain (loss) on hedging activities 9,544 1,690     11,234     9,544       1,690 11,234
Currency translation adjustments 14,531 2,054     16,585     14,531       2,054 16,585
Changes in available-for-sale securities and other 971 172     1,143     971       172 1,143
Net gain reclassified from accumulated other comprehensive loss into earnings (1,455) (251)     (1,706)     (1,455)       (251) (1,706)
Other comprehensive income (loss) 23,591 3,665     27,256     23,591       3,665 27,256
Adjustment to limited partners' interest from change in ownership in the Operating Partnership 66,410 (66,410)             66,410     (66,410)  
Distributions to common stockholders and limited partners, excluding Operating Partnership preferred interests                   (715,706)   (122,887) (838,593)
Distributions to other noncontrolling interest partners                       (3,418) (3,418)
Net income, excluding attributable to preferred interests in the Operating Partnership and attributable to noncontrolling redeemable interests in properties 479,569 82,313 834 5,521 568,237         480,403   87,834 568,237
Distributions, excluding distributions on preferred interests classified as temporary equity (714,872) (122,887) (834) (3,418) (842,011)                
Balance at Mar. 31, 2026           $ 40,369 $ 33 $ (227,770) $ 12,411,236 $ (4,875,676) $ (2,489,435) $ 1,213,774 $ 6,072,531
Balance at Mar. 31, 2026 $ 4,818,388 $ 833,015 $ 40,369 $ 380,759 $ 6,072,531