v3.26.1
Investment in Unconsolidated Entities and International Investments (Tables)
6 Months Ended
Jun. 30, 2026
Schedule of equity method investments and share of income from such investments, balance sheet

  ​ ​ ​

June 30, 

  ​ ​ ​

December 31, 

2026

2025

Assets:

Investment properties, at cost

$

21,519,924

$

22,077,749

Less - accumulated depreciation

 

10,083,799

 

9,020,481

 

11,436,125

 

13,057,268

Cash and cash equivalents

 

1,511,847

 

1,264,619

Tenant receivables and accrued revenue, net

 

599,064

 

605,756

Right-of-use assets, net

111,163

108,349

Deferred costs and other assets

 

645,256

 

572,826

Total assets

$

14,303,455

$

15,608,818

Liabilities and Partners’ Deficit:

Mortgages

$

16,605,493

$

16,374,773

Accounts payable, accrued expenses, intangibles, and deferred revenue

 

1,149,481

 

1,117,855

Lease liabilities

112,971

99,837

Other liabilities

 

377,817

 

334,246

Total liabilities

 

18,245,762

 

17,926,711

Preferred units

 

67,450

 

67,450

Partners’ deficit

 

(4,009,757)

 

(2,385,343)

Total liabilities and partners’ deficit

$

14,303,455

$

15,608,818

Our Share of:

Partners’ deficit

$

(1,805,176)

$

(1,247,554)

Add: Excess Investment

 

3,055,376

 

2,773,173

Our net Investment in unconsolidated entities, at equity

$

1,250,200

$

1,525,619

Schedule of equity method investments and share of income from such investments, statements of operations

For the Three Months Ended

For the Six Months Ended

June 30, 

June 30, 

  ​ ​ ​

2026

  ​ ​ ​

2025

  ​ ​ ​

2026

  ​ ​ ​

2025

REVENUE:

Lease income

$

937,653

$

757,888

$

1,859,445

$

1,507,695

Other income

 

103,708

 

112,941

 

208,889

 

207,008

Total revenue

 

1,041,361

 

870,829

 

2,068,334

 

1,714,703

OPERATING EXPENSES:

Property operating

 

201,456

 

165,960

 

416,398

 

332,607

Depreciation and amortization

 

177,211

 

159,675

 

362,376

 

318,687

Real estate taxes

 

67,310

 

58,606

 

133,709

 

117,398

Repairs and maintenance

 

23,159

 

18,204

 

49,440

 

38,967

Advertising and promotion

 

25,085

 

22,474

 

50,018

 

44,623

Other

 

67,184

 

61,308

 

139,469

 

118,155

Total operating expenses

 

561,405

 

486,227

 

1,151,410

 

970,437

Operating Income Before Other Items

 

479,956

 

384,602

 

916,924

 

744,266

Interest expense

 

(205,540)

 

(174,995)

 

(410,577)

 

(345,363)

Net Income

$

274,416

$

209,607

$

506,347

$

398,903

Third-Party Investors’ Share of Net Income

$

142,119

$

107,651

$

258,581

$

204,248

Our Share of Net Income

 

132,297

 

101,956

 

247,766

 

194,655

Amortization of Excess Investment

 

(48,684)

 

(13,871)

 

(96,341)

 

(28,336)

Income from Unconsolidated Entities

$

83,613

$

88,085

$

151,425

$

166,319

TRG  
Schedule of financial information of other platform investments

For the Three Months Ended

For the Six Months Ended

June 30, 

June 30,

  ​ ​ ​

2025

  ​ ​ ​

2025

Total revenues

$

178,871

$

355,184

Operating income before other items

74,127

148,284

Consolidated net income

 

48,410

98,194

Our share of net income

42,192

86,312

Amortization of excess investment

(49,627)

(100,114)

Other Platform Investments  
Schedule of financial information of other platform investments

For the Three Months Ended

For the Six Months Ended

June 30, 

June 30, 

  ​ ​ ​

2026

  ​ ​ ​

2025

  ​ ​ ​

2026

  ​ ​ ​

2025

Total revenues

$

2,593,451

$

3,213,608

$

4,847,248

$

5,605,075

Operating income (loss) before other items

21,598

415,882

(321,481)

159,736

Consolidated net income (loss)

 

(23,877)

363,489

(409,558)

66,053

Share of net income (loss), net of tax

3,009

95,553

(79,034)

34,423

Amortization of excess investment

(692)

(692)

(1,384)

(1,384)

Europe | Klepierre  
Schedule of financial information of other platform investments

For the Three Months Ended

For the Six Months Ended

June 30, 

June 30, 

  ​ ​ ​

2026

  ​ ​ ​

2025

  ​ ​ ​

2026

  ​ ​ ​

2025

Total revenues

$

418,351

$

396,833

$

807,552

$

742,567

Operating income before other items

242,568

220,860

418,735

365,374

Consolidated net income

 

181,690

119,885

310,861

228,220

Our share of net income

29,757

18,477

53,525

40,911

Amortization of excess investment

(3,519)

(6,790)

(7,061)

(9,958)