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Consolidated Statements of Equity (Parenthetical) - USD ($)
$ in Thousands
3 Months Ended
Jun. 30, 2022
Mar. 31, 2022
Jun. 30, 2021
Mar. 31, 2021
Exchange of limited partner units, (in shares)   2,680 58,571  
Stock incentive program, units, net 160,259 47,804 41,574 37,976
Redemption of Limited Partner Units 12,930 1,000 170 316
Treasury stock purchase, shares 1,424,096      
Shares repurchased 23,041 23,514 20,374  
Net income attributable to preferred interests in the Operating Partnership (in dollars) $ 478 $ 479 $ 478 $ 479
Net loss (gain) attributable to noncontrolling redeemable interests in properties (in dollars) $ (136) $ 1,269 $ 1,021 $ 897
Simon Property Group, L.P.        
Limited partner units exchanged to common units   2,680 58,571  
Stock incentive program, units, net 160,259 47,804 41,574 37,976
Redemption of Limited Partner Units 12,930 1,000 170 316
Treasury unit purchase, units 1,424,096      
Issuance of equivalents units   72,442    
Issuance of common units 23,041 23,514 20,374  
Net income, attributable to preferred distributions on temporary equity preferred units (in dollars) $ 478 $ 479 $ 478 $ 479
Net loss (gain) attributable to noncontrolling redeemable interests in properties (in dollars) $ (136) $ 1,269 $ 1,021 $ 897