FFilingSight

Not investment advice. FilingSight is an automated analytical research tool, not a registered investment advisor. Ratings and scores are quantitative analytical classifications, not buy or sell recommendations. Nothing here is personalized to your circumstances. Investing involves risk of loss — consult a licensed professional. See full disclosures.

Create a free account to read 3 full reports each month — plus a 14-day Pro trial. Get started →

Simon Property Group

SPGReal Estate

Generated Jul 6, 2026, 10:03 PM UTC

analytical score 16

SPG (Simon Property Group) analytical snapshot. Revenue grew +6.7% YoY to $6.36B. 5-year revenue CAGR +4.5%; 10y CAGR +1.8%. Net margin at 84.28% (expanding ▲). Market cap $0 at $225.00 per share. Trailing P/E 15.88, P/S 0.00, P/B 0.00. EV/Operating income ≈ 8.72 (EV $27.70B). Risk: High. Macro: Risk-on · Supportive. Composite analytical score 16 (data confidence 79%). Descriptive analytics from public filings — not investment advice.

Market cap
$0
0.00M shares
Price
$225.00
NYQ
P/E (ttm)
15.88
Revenue (FY)
$6.36B
YoY +6.7%
Net margin
84.28%
▲ 37.94pp
Free cash flow
$3.20B
50.31% margin
Risk level
High

Free SEC analysis

— computed from SEC filings, free to read
Free previewRegulatory Analyst

Filings & Ownership

Regulatory Analyst
score 15Improving
80% conf

Latest annual report (10-K) filed Feb 25, 2026. Latest quarterly report (10-Q) filed May 11, 2026. 10 recent 8-K material-event filings in the index.

  • Latest annual report (10-K) filed Feb 25, 2026.
  • Latest quarterly report (10-Q) filed May 11, 2026.
  • 10 recent 8-K material-event filings in the index.
  • Recent insider Form 4s: 0 buy vs 0 sell transactions.
  • 9 recent 13D activist/beneficial-ownership filings — potential catalyst.
  • 11 recent 13G passive institutional ownership notices.
Latest 10-K
Feb 25, 2026
Annual report
Latest 10-Q
May 11, 2026
8-K (recent)
10
Insider net
0B/0S
13F filers
Activist 13D
9
Recent 8-K material events
DateFormDescription
May 15, 20268-KFORM 8-K
May 11, 20268-KFORM 8-K
Mar 24, 20268-KFORM 8-K
Mar 5, 20268-KFORM 8-K
Feb 5, 20268-KFORM 8-K
Feb 5, 20268-KFORM 8-K
Feb 2, 20268-KFORM 8-K
Nov 3, 20258-KFORM 8-K
Free previewSEC Filing Analyst

SEC Filing Deep-Analysis

SEC Filing Analyst
score -15Deteriorating
62% conf

1 risk signal(s) detected from XBRL filing diff analysis. 1 risk signal(s) detected versus 0 positive signal(s). The balance of evidence suggests elevated filing-specific risk that warrants monitoring in subsequent filings.

  • Material weakness in internal controls: The term "material weakness" "internal control" appears in 1 recent filing(s) (vs 4 in the prior period). This risk language is ongoing.
  • Endogenous analysis: 1 risk signal(s) detected versus 0 positive signal(s). The balance of evidence suggests elevated filing-specific risk that warrants monitoring in subsequent filings.
  • 20 disclosure(s) dropped from prior year — reduced reporting granularity.
  • Ongoing high-severity risk language: Material weakness in internal controls.
Revenue
$6.36B
+6.7% YoY
Operating income
$3.18B
+2.7% YoY
Net income
$5.36B
+96.6% YoY
Operating cash flow
$4.14B
+8.4% YoY
Capex
$934.3M
+23.7% YoY
Total assets
$40.61B
+25.3% YoY
Total liabilities
$33.90B
+17.7% YoY
Long-term debt
$28.43B
+17.2% YoY
Filing quality score
65/100
stable
SEC XBRL metric changes (latest annual vs prior)
MetricPrior yearLatest yearChange% Change
Revenue$5.96B$6.36B$400.7M+6.7%
Operating income$3.09B$3.18B$82.6M+2.7%
Net income$2.73B$5.36B$2.64B+96.6%
Operating cash flow$3.81B$4.14B$321.9M+8.4%
Capex$755.6M$934.3M$178.8M+23.7%
Total assets$32.41B$40.61B$8.20B+25.3%
Total liabilities$28.81B$33.90B$5.09B+17.7%
Long-term debt$24.26B$28.43B$4.17B+17.2%
Cash & equivalents$1.40B$823.1M$-577.2M-41.2%
Stockholders equity$2.94B$5.21B$2.27B+77.0%
Interest expense$905.8M$974.8M$69.0M+7.6%
XBRL disclosure changes (new vs dropped concepts)
TypeConcepts
RemovedAccumulatedAmortizationDeferredFinanceCosts, AmortizationOfDebtDiscountPremium, AmortizationOfFinancingCosts, BelowMarketLeaseAmortizationIncomeAfterYearFive, BelowMarketLeaseAmortizationIncomeNextTwelveMonths, BelowMarketLeaseAmortizationIncomeYearFive, BelowMarketLeaseAmortizationIncomeYearFour, BelowMarketLeaseAmortizationIncomeYearThree, BelowMarketLeaseAmortizationIncomeYearTwo, BelowMarketLeaseGross
Risk language in filing text (EDGAR full-text search)
TermSeverityRecentPriorStatus
Material weakness in internal controlshigh14Ongoing
Off-balance sheet arrangementsmedium516Ongoing
Filing signal breakdown
Red flags: 1
Positive: 0
Watch: 0
Red flags
Positive
Watch
Free previewFundamentals Analyst

Fundamentals

Fundamentals Analyst
score 50Improving
80% conf

Revenue grew +6.7% YoY to $6.36B. 5-year revenue CAGR +4.5%; 10y CAGR +1.8%. Net margin at 84.28% (expanding ▲).

  • Revenue grew +6.7% YoY to $6.36B.
  • 5-year revenue CAGR +4.5%; 10y CAGR +1.8%.
  • Net margin at 84.28% (expanding ▲).
  • Return on equity 102.99%, ROA 13.21%, ROIC 9.44%.
  • Gross margin 0.00%, operating margin 49.89%.
  • Free cash flow margin 50.31% ($3.20B).
  • Net income up ▲ +96.6% YoY.
  • Debt/equity 5.81, current ratio —, net debt $27.70B.
  • Asset turnover 0.16 — capital efficiency.
Revenue (FY)
$6.36B
YoY +6.7%
Net margin
84.28%
▲ 37.94pp
ROE
102.99%
ROA 13.21%
ROIC
9.44%
EPS (diluted)
$14.17
FY2025
Free cash flow
$3.20B
50.31% margin
Debt / equity
5.81
Cash $543.0M
Current ratio
Equity $4.86B
Annual fundamentals — up to 10 years (SEC 10-K, US-GAAP)
FYRevenueRev YoYGross%Op%Net%FCFROE%
2024$5.96B+5.4%0.0051.8645.76$3.06B92.76
2025$6.36B+6.7%0.0049.8984.28$3.20B102.99
Quarterly revenue trend (last 6 quarters, SEC 10-Q)
Quarter endRevenueYoYQoQNet margin
Jun 30, 2024$1.46B+6.5%39.05%
Sep 30, 2024$1.48B+4.9%+1.5%36.92%
Mar 31, 2025$1.47B+2.1%-0.5%32.44%
Jun 30, 2025$1.50B+2.8%+1.7%42.96%
Sep 30, 2025$1.60B+8.2%+6.9%43.88%
Mar 31, 2026$1.76B+19.3%+9.7%32.36%
+8 more years of history, charts & full breakdown Pro

Pro analysis — preview

— score, signals & key metrics shown; full reasoning locked

Valuation

Valuation Analyst
score 0Stable
83% conf

Market cap $0 at $225.00 per share. Trailing P/E 15.88, P/S 0.00, P/B 0.00. EV/Operating income ≈ 8.72 (EV $27.70B).

  • Market cap $0 at $225.00 per share.
Market cap
$0
0.00M shares
P/E (ttm)
15.88
P/S
0.00
P/B
0.00
EV
$27.70B
Intrinsic (DCF)
ProFull breakdown & reasoning locked

Price & Technicals

Technical Analyst
score 65Improving
85% conf

Price $225.00 — uptrend (above 200-DMA); 1-month momentum positive. RSI(14) 58.38.

  • Price $225.00 — uptrend (above 200-DMA); 1-month momentum positive.
Price
$225.00
NYQ
RSI(14)
58.38
50-DMA
$209.07
200-DMA
$192.62
Volatility (ann.)
18.90%
52w range
$159.33–$228.58
-1.6% from high
ProFull breakdown & reasoning locked

Macro & Rates

Macro Analyst
score 15Stable
80% conf

Risk-on · Supportive. Real GDP growth 2.10% (quarterly, as of Jan 1, 2026). CPI inflation +4.2% YoY (above the Fed's long-run ~2% target). Fed funds rate 3.63%, 10Y Treasury 4.49%.

  • Market regime: Risk-on · Supportive.
GDP growth
2.10%
CPI (YoY)
+4.2%
Fed funds
3.63%
10Y yield
4.49%
10Y−2Y
0.35pp
Unemployment
4.20%
ProFull breakdown & reasoning locked

Risk Scorecard

Risk Analyst
score -36Deteriorating
83% conf

Composite risk High. Leverage debt/equity 5.81 (high). Earnings stability: net-margin stdev 16.60pp over 19y.

  • Composite risk: High.
Risk level
High
Debt / equity
5.81
Current ratio
Margin stdev
16.60pp
Cash / assets
1.37%
Liab / assets
84.01%
ProFull breakdown & reasoning locked

See the full picture behind every stock

Unlock the complete 10-year fundamentals, DCF & Graham intrinsic value, 13F/13D ownership flow, risk scorecard, multi-analyst bull/bear debate — plus watchlist alerts and your research workspace. Start with a 14-day Pro trial.

3 sections free · 4 Pro previews · composite 16

Macro exposure

Rate-sensitive · High sensitivity
Neutral

Macro regime: Risk-on · Supportive. Simon Property Group is a rate-sensitive name (high macro sensitivity) — a supportive backdrop, though defensives lag risk-on tapes.

Macro regime
Risk-on · Supportive
Yield curve
Normal
VIX
15.81
Fed funds
3.63%
CPI YoY
+4.2%

Analytical read

deterministic preview

Revenue grew **+6.7%** YoY to $6.36B..

Risk
High
Macro regime
Risk-on · Supportive
Macro exposure
Neutral
Descriptive analytics from public filings and macro data — not investment advice.

Peer comparison

Rate-sensitive group

How SPG stacks up against tracked peers with similar macro sensitivity — by analytical score and macro exposure.

CompanyScoreMacro
Allstate Corp. ALL30Neutral
Capital One Financial COF23Neutral
Chubb Ltd. CB20Neutral
Simon Property Group SPG● you16Neutral
American Express Co. AXP16Neutral
U.S. Bancorp USB14Neutral
Dominion Energy D12Neutral
Travelers Cos. TRV9Neutral
Mastercard Inc. MA8Neutral
Visa Inc. V7Neutral
Charles Schwab Corp. SCHW6Neutral
CME Group Inc. CME6Neutral
JPMorgan Chase & Co. JPM6Neutral
PNC Financial Services PNC5Neutral
Moody's Corp. MCO5Neutral
Wells Fargo & Co. WFC5Neutral
Citigroup Inc. C3Neutral
Exelon Corp. EXC3Neutral
Realty Income Corp. O3Neutral
Duke Energy Corp. DUK2Neutral
Bank of America Corp. BAC2Neutral
American International Group AIG1Neutral
Bank of New York Mellon BK0Neutral
Marsh & McLennan MMC0Neutral
Equity Residential EQR0Neutral
Public Storage PSA-1Neutral
Welltower Inc. WELL-1Neutral
NextEra Energy NEE-2Neutral
Morgan Stanley MS-2Neutral
Prologis Inc. PLD-3Neutral
Digital Realty Trust DLR-4Neutral
Xcel Energy XEL-5Neutral
Truist Financial TFC-5Neutral
American Water Works AWK-9Neutral
Goldman Sachs Group GS-10Neutral
S&P Global SPGI-10Neutral
MetLife Inc. MET-13Neutral
BlackRock Inc. BLK-14Neutral
Southern Company SO-15Neutral
Equinix Inc. EQIX-16Neutral
American Electric Power AEP-18Neutral
Crown Castle Inc. CCI-19Neutral
American Tower Corp. AMT-39Neutral