0001047469-13-010290.txt : 20131106 0001047469-13-010290.hdr.sgml : 20131106 20131106060143 ACCESSION NUMBER: 0001047469-13-010290 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20130930 FILED AS OF DATE: 20131106 DATE AS OF CHANGE: 20131106 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SIMON PROPERTY GROUP INC /DE/ CENTRAL INDEX KEY: 0001063761 STANDARD INDUSTRIAL CLASSIFICATION: REAL ESTATE INVESTMENT TRUSTS [6798] IRS NUMBER: 046268599 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-14469 FILM NUMBER: 131194563 BUSINESS ADDRESS: STREET 1: 225 WEST WASHINGTON STREET CITY: INDIANAPOLIS STATE: IN ZIP: 46204-3438 BUSINESS PHONE: 317-636-1600 MAIL ADDRESS: STREET 1: 225 WEST WASHINGTON STREET CITY: INDIANAPOLIS STATE: IN ZIP: 46204-3438 FORMER COMPANY: FORMER CONFORMED NAME: CORPORATE PROPERTY INVESTORS INC DATE OF NAME CHANGE: 19980610 10-Q 1 a2217122z10-q.htm 10-Q

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Table of Contents

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.20549

FORM 10-Q

QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF
THE SECURITIES EXCHANGE ACT OF 1934

For the quarterly period ended September 30, 2013

SIMON PROPERTY GROUP, INC.
(Exact name of registrant as specified in its charter)

Delaware
(State of incorporation or organization)

001-14469
(Commission File No.)

046-268599
(I.R.S. Employer Identification No.)

225 West Washington Street
Indianapolis, Indiana 46204
(Address of principal executive offices)

(317) 636-1600
(Registrant's telephone number, including area code)

Indicate by check mark whether the Registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the Registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.    Yes ý            No o

Indicate by check mark whether the Registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the Registrant was required to submit and post such files).            Yes ý            No o

Indicate by check mark whether the Registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of "large accelerated filer," "accelerated filer," and "smaller reporting company" in Rule 12b-2 of the Exchange Act (check one):

Large accelerated filer ý   Accelerated filer o   Non-accelerated filer o   Smaller reporting company o
        (Do not check if a smaller
reporting company)
   

Indicate by check mark whether Registrant is a shell company (as defined by Rule 12b-2 of the Exchange Act).            Yes o            No ý

As of September 30, 2013, Simon Property Group, Inc. had 310,325,283 shares of common stock, par value $0.0001 per share and 8,000 shares of Class B common stock, par value $0.0001 per share outstanding.


Table of Contents


Simon Property Group, Inc. and Subsidiaries

Form 10-Q

INDEX

 
   
   
  Page
 
Part I — Financial Information  

 

 

Item 1.

 

Consolidated Financial Statements (Unaudited)

 

 

 

 


 

 

 

Consolidated Balance Sheets as of September 30, 2013 and December 31, 2012

 

 

3

 


 

 

 

Consolidated Statements of Operations and Comprehensive Income for the three months and nine months ended September 30, 2013 and 2012

 

 

4

 


 

 

 

Consolidated Statements of Cash Flows for the nine months ended September 30, 2013 and 2012

 

 

5

 


 

 

 

Condensed Notes to Consolidated Financial Statements

 

 

6

 


 

Item 2.

 

Management's Discussion and Analysis of Financial Condition and Results of Operations

 

 

21

 

 

 

Item 3.

 

Quantitative and Qualitative Disclosures About Market Risk

 

 

37

 

 

 

Item 4.

 

Controls and Procedures

 

 

37

 

Part II — Other Information

 


 

Item 1.

 

Legal Proceedings

 

 

38

 


 

Item 1A.

 

Risk Factors

 

 

38

 


 

Item 2.

 

Unregistered Sales of Equity Securities and Use of Proceeds

 

 

38

 


 

Item 3.

 

Defaults Upon Senior Securities

 

 

38

 


 

Item 4.

 

Mine Safety Disclosures

 

 

38

 

 

 

Item 5.

 

Other Information

 

 

38

 

 

 

Item 6.

 

Exhibits

 

 

39

 

Signatures

 

 

40

 

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Simon Property Group, Inc. and Subsidiaries
Unaudited Consolidated Balance Sheets
(Dollars in thousands, except share amounts)

 
  September 30,
2013
  December 31,
2012
 

ASSETS:

             

Investment properties at cost

  $ 34,764,669   $ 34,252,521  

Less — accumulated depreciation

    9,804,069     9,068,388  
           

    24,960,600     25,184,133  

Cash and cash equivalents

    1,099,321     1,184,518  

Tenant receivables and accrued revenue, net

    529,893     521,301  

Investment in unconsolidated entities, at equity

    1,991,900     2,108,966  

Investment in Klépierre, at equity

    1,971,230     2,016,954  

Deferred costs and other assets

    1,558,465     1,570,734  
           

Total assets

  $ 32,111,409   $ 32,586,606  
           

LIABILITIES:

             

Mortgages and unsecured indebtedness

  $ 22,729,654   $ 23,113,007  

Accounts payable, accrued expenses, intangibles, and deferred revenues

    1,328,089     1,374,172  

Cash distributions and losses in partnerships and joint ventures, at equity

    842,062     724,744  

Other liabilities

    227,319     303,588  
           

Total liabilities

    25,127,124     25,515,511  
           

Commitments and contingencies

             

Limited partners' preferred interest in the Operating Partnership and noncontrolling redeemable interests in properties

    179,792     178,006  

EQUITY:

             

Stockholders' Equity

             

Capital stock (850,000,000 total shares authorized, $0.0001 par value, 238,000,000 shares of excess common stock, 100,000,000 authorized shares of preferred stock):

             

Series J 83/8% cumulative redeemable preferred stock, 1,000,000 shares authorized, 796,948 issued and outstanding with a liquidation value of $39,847

    44,472     44,719  

Common stock, $0.0001 par value, 511,990,000 shares authorized, 313,976,863 and 313,658,419 issued and outstanding, respectively

    31     31  

Class B common stock, $0.0001 par value, 10,000 shares authorized, 8,000 issued and outstanding

         

Capital in excess of par value

    9,197,939     9,175,724  

Accumulated deficit

    (3,218,890)     (3,083,190)  

Accumulated other comprehensive loss

    (76,702)     (90,900)  

Common stock held in treasury at cost, 3,651,580 and 3,762,595 shares, respectively

    (118,031)     (135,781)  
           

Total stockholders' equity

    5,828,819     5,910,603  

Noncontrolling interests

    975,674     982,486  
           

Total equity

    6,804,493     6,893,089  
           

Total liabilities and equity

  $ 32,111,409   $ 32,586,606  
           

   

The accompanying notes are an integral part of these statements.

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Simon Property Group, Inc. and Subsidiaries
Unaudited Consolidated Statements of Operations and Comprehensive Income
(Dollars in thousands, except per share amounts)

 
  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

REVENUE:

                         

Minimum rent

  $ 795,809   $ 759,039   $ 2,351,876   $ 2,207,334  

Overage rent

    56,511     51,170     134,458     110,277  

Tenant reimbursements

    367,702     342,443     1,059,834     979,300  

Management fees and other revenues

    33,613     32,294     95,156     92,928  

Other income

    48,621     43,671     112,553     145,813  
                   

Total revenue

    1,302,256     1,228,617     3,753,877     3,535,652  
                   

EXPENSES:

                         

Property operating

    126,706     132,378     354,094     353,136  

Depreciation and amortization

    326,073     310,244     961,344     907,217  

Real estate taxes

    113,145     105,694     332,259     311,173  

Repairs and maintenance

    27,747     26,556     84,579     78,862  

Advertising and promotion

    30,725     28,114     81,343     77,762  

Provision for (recovery of) credit losses

    2,774     (1,180)     4,207     5,271  

Home and regional office costs

    34,171     27,057     106,021     95,019  

General and administrative

    14,546     14,165     44,476     42,787  

Other

    25,804     20,636     62,411     58,424  
                   

Total operating expenses

    701,691     663,664     2,030,734     1,929,651  
                   

OPERATING INCOME

    600,565     564,953     1,723,143     1,606,001  

Interest expense

    (284,491)     (288,896)     (849,482)     (835,532)  

Income and other taxes

    (7,768)     (3,904)     (29,943)     (9,872)  

Income from unconsolidated entities

    47,916     37,129     158,663     96,613  

Gain (loss) upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net

    11,071     (2,911)     99,906     491,926  
                   

CONSOLIDATED NET INCOME

   
367,293
   
306,371
   
1,102,287
   
1,349,136
 

Net income attributable to noncontrolling interests

    54,784     50,616     165,035     230,857  

Preferred dividends

    834     834     2,503     2,503  
                   

NET INCOME ATTRIBUTABLE TO COMMON STOCKHOLDERS

 
$

311,675
 
$

254,921
 
$

934,749
 
$

1,115,776
 
                   

BASIC EARNINGS PER COMMON SHARE:

                         

Net income attributable to common stockholders

  $ 1.00   $ 0.84   $ 3.01   $ 3.71  
                   

DILUTED EARNINGS PER COMMON SHARE:

                         

Net income attributable to common stockholders

  $ 1.00   $ 0.84   $ 3.01   $ 3.71  
                   

Consolidated Net Income

  $ 367,293   $ 306,371   $ 1,102,287   $ 1,349,136  

Unrealized (loss) gain on derivative hedge agreements

    (4,378)     (8,555)     897     (5,450)  

Net loss reclassified from accumulated other comprehensive income into earnings

    2,566     5,187     6,642     15,440  

Currency translation adjustments

    32,515     9,138     10,603     (12,374)  

Changes in available-for-sale securities and other

    (773)     16,573     (1,588)     40,442  
                   

Comprehensive income

    397,223     328,714     1,118,841     1,387,194  

Comprehensive income attributable to noncontrolling interests

    59,089     56,077     167,391     239,427  
                   

Comprehensive income attributable to common stockholders

  $ 338,134   $ 272,637   $ 951,450   $ 1,147,767  
                   

   

The accompanying notes are an integral part of these statements.

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Simon Property Group, Inc. and Subsidiaries
Unaudited Consolidated Statements of Cash Flows
(Dollars in thousands)

 
  For the Nine Months Ended
September 30,
 
 
  2013   2012  

CASH FLOWS FROM OPERATING ACTIVITIES:

             

Consolidated Net Income

  $ 1,102,287   $ 1,349,136  

Adjustments to reconcile consolidated net income to net cash provided by operating activities —

             

Depreciation and amortization

    991,715     940,310  

Gain upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net

    (99,906)     (491,926)  

Straight-line rent

    (32,906)     (27,447)  

Equity in income of unconsolidated entities

    (158,663)     (96,613)  

Distributions of income from unconsolidated entities

    143,202     114,508  

Changes in assets and liabilities —

             

Tenant receivables and accrued revenue, net

    22,528     57,479  

Deferred costs and other assets

    (46,537)     (69,553)  

Accounts payable, accrued expenses, intangibles, deferred revenues and other liabilities

    7,173     51,251  
           

Net cash provided by operating activities

    1,928,893     1,827,145  
           

CASH FLOWS FROM INVESTING ACTIVITIES:

             

Acquisitions

    (308,635)     (3,690,778)  

Funding of loans to related parties

    (62,689)     (18,613)  

Repayments from loans to related parties

        92,600  

Capital expenditures, net

    (628,577)     (589,671)  

Cash from acquisitions and cash impact from the consolidation and deconsolidation of properties

        91,170  

Net proceeds from sale of assets

    248,495     380,946  

Investments in unconsolidated entities

    (113,428)     (145,559)  

Purchase of marketable and non-marketable securities

    (39,945)     (179,887)  

Proceeds from sale of marketable and non-marketable securities

    47,495      

Repayments of loans held for investment

        163,908  

Distributions of capital from unconsolidated entities and other

    460,071     151,855  
           

Net cash used in investing activities

    (397,213)     (3,744,029)  
           

CASH FLOWS FROM FINANCING ACTIVITIES:

             

Proceeds from sales of common stock and other, net of transaction costs

    181     1,213,715  

Redemption of limited partner units

        (248,000)  

Distributions to noncontrolling interest holders in properties

    (7,393)     (9,534)  

Contributions from noncontrolling interest holders in properties

    5,684     2,107  

Preferred distributions of the Operating Partnership

    (1,436)     (1,436)  

Preferred dividends and distributions to stockholders

    (1,072,782)     (903,426)  

Distributions to limited partners

    (179,855)     (181,084)  

Proceeds from issuance of debt, net of transaction costs

    1,242,868     5,127,045  

Repayments of debt

    (1,604,144)     (3,428,441)  
           

Net cash (used in) provided by financing activities

    (1,616,877)     1,570,946  
           

DECREASE IN CASH AND CASH EQUIVALENTS

    (85,197)     (345,938)  

CASH AND CASH EQUIVALENTS, beginning of period

    1,184,518     798,650  
           

CASH AND CASH EQUIVALENTS, end of period

  $ 1,099,321   $ 452,712  
           

The accompanying notes are an integral part of these statements.

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Simon Property Group, Inc. and Subsidiaries

Condensed Notes to Consolidated Financial Statements

(Unaudited)

(Dollars in thousands, except share and per share amounts and where indicated in millions or billions)

1.    Organization

            Simon Property Group, Inc., or Simon Property, is a Delaware corporation that operates as a self-administered and self-managed real estate investment trust, or REIT, under the Internal Revenue Code of 1986, as amended. REITs will generally not be liable for federal corporate income taxes as long as they continue to distribute not less than 100% of their taxable income. Simon Property Group, L.P., or the Operating Partnership, is our majority-owned partnership subsidiary that owns all of our real estate properties and other assets. In these condensed notes to the unaudited consolidated financial statements, the terms "we", "us" and "our" refer to Simon Property, the Operating Partnership, and its subsidiaries.

            We own, develop and manage retail real estate properties, which consist primarily of malls, Premium Outlets®, The Mills®, and community/lifestyle centers. As of September 30, 2013, we owned or held an interest in 312 income-producing properties in the United States, which consisted of 158 malls, 66 Premium Outlets, 64 community/lifestyle centers, 13 Mills, and 11 other shopping centers or outlet centers in 38 states and Puerto Rico. Internationally, as of September 30, 2013, we had ownership interests in nine Premium Outlets in Japan, three Premium Outlets in South Korea, one Premium Outlet in Canada, one Premium Outlet in Mexico, and one Premium Outlet in Malaysia. Additionally, as of September 30, 2013, we owned a 28.9% equity stake in Klépierre SA, or Klépierre, a publicly traded, Paris-based real estate company, which owns, or has an interest in, more than 260 shopping centers located in 13 countries in Europe.

2.    Basis of Presentation

            The accompanying unaudited consolidated financial statements include the accounts of all controlled subsidiaries, and all significant intercompany amounts have been eliminated. Due to the seasonal nature of certain operational activities, the results for the interim period ended September 30, 2013, are not necessarily indicative of the results to be expected for the full year.

            These consolidated financial statements have been prepared in accordance with the instructions to Form 10-Q and include all of the information and disclosures required by accounting principles generally accepted in the United States (GAAP) for interim reporting. Accordingly, they do not include all of the disclosures required by GAAP for complete financial statements. In the opinion of management, all adjustments necessary for fair presentation (including normal recurring accruals) have been included. The consolidated financial statements in this Form 10-Q should be read in conjunction with the audited consolidated financial statements and related notes contained in our 2012 Annual Report on Form 10-K.

            As of September 30, 2013, we consolidated 220 wholly-owned properties and 18 additional properties that are less than wholly-owned, but which we control or for which we are the primary beneficiary. We account for the remaining 89 properties, or the joint venture properties, as well as our investment in Klépierre, using the equity method of accounting, as we have determined we have significant influence over their operations. We manage the day-to-day operations of 71 of the 89 joint venture properties, but have determined that our partner or partners have substantive participating rights with respect to the assets and operations of these joint venture properties. Our investments in joint ventures in Japan, South Korea, Canada, Mexico, and Malaysia comprise 15 of the remaining 18 properties. The international properties are managed locally by joint ventures in which we share oversight responsibility with our partner.

            Preferred distributions of the Operating Partnership are accrued at declaration and represent distributions on outstanding preferred units of partnership interests held by limited partners, or preferred units, and are included in net income attributable to noncontrolling interests. We allocate net operating results of the Operating Partnership after preferred distributions to third parties and to us based on the partners' respective weighted average ownership interests in the Operating Partnership. Net operating results of the Operating Partnership attributable to third parties are reflected in net income attributable to noncontrolling interests. Our weighted average ownership interest in the Operating Partnership was 85.6% and 83.3% for the nine months ended September 30, 2013 and 2012, respectively. As

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of September 30, 2013 and December 31, 2012, our ownership interest in the Operating Partnership was 85.6%. We adjust the noncontrolling limited partners' interests at the end of each period to reflect their interest in the Operating Partnership.

    Reclassifications

            We made certain reclassifications of prior period amounts in the consolidated financial statements to conform to the 2013 presentation. These reclassifications had no impact on previously reported net income attributable to common stockholders or earnings per share.

3.    Significant Accounting Policies

    Cash and Cash Equivalents

            We consider all highly liquid investments purchased with an original maturity of 90 days or less to be cash and cash equivalents. Cash equivalents are carried at cost, which approximates fair value. Cash equivalents generally consist of commercial paper, bankers' acceptances, Eurodollars, repurchase agreements, and money market deposits or securities. Financial instruments that potentially subject us to concentrations of credit risk include our cash and cash equivalents and our trade accounts receivable. We place our cash and cash equivalents with institutions with high credit quality. However, at certain times, such cash and cash equivalents are in excess of FDIC and SIPC insurance limits.

    Marketable and Non-Marketable Securities

            Marketable securities consist primarily of investments of our captive insurance subsidiaries, our deferred compensation plan investments, and certain other investments.

            The types of securities included in the investment portfolio of our captive insurance subsidiaries typically include U.S. Treasury or other U.S. government securities as well as corporate debt securities with maturities ranging from less than 1 to 10 years. These securities are classified as available-for-sale and are valued based upon quoted market prices or other observable inputs when quoted market prices are not available. The amortized cost of debt securities, which approximates fair value, held by our captive insurance subsidiaries is adjusted for amortization of premiums and accretion of discounts to maturity. Changes in the values of these securities are recognized in accumulated other comprehensive income (loss) until the gain or loss is realized or until any unrealized loss is deemed to be other-than-temporary. We review any declines in value of these securities for other-than-temporary impairment and consider the severity and duration of any decline in value. To the extent an other-than-temporary impairment is deemed to have occurred, an impairment charge is recorded and a new cost basis is established. Subsequent changes are then recognized through other comprehensive income (loss) unless another other-than-temporary impairment is deemed to have occurred. Net unrealized gains recorded in accumulated other comprehensive income (loss) as of September 30, 2013 and December 31, 2012 were approximately $1.0 million and $2.6 million, respectively, which represent the valuation and related currency adjustments for our marketable securities. Our insurance subsidiaries are required to maintain statutory minimum capital and surplus as well as maintain a minimum liquidity ratio. Therefore, our access to these securities may be limited.

            Our deferred compensation plan investments are classified as trading securities and are valued based upon quoted market prices. The investments have a matching liability as the amounts are fully payable to the employees that earned the compensation. Changes in value of these securities and changes to the matching liability to employees are both recognized in earnings and, as a result, there is no impact to consolidated net income.

            At September 30, 2013 and December 31, 2012, we also had investments of $16.5 million and $24.9 million, respectively, which must be used to fund the debt service requirements of mortgage debt related to an investment property that we sold. These investments are classified as held-to-maturity and are recorded at amortized cost as we have the ability and intent to hold these investments to maturity.

            At September 30, 2013 and December 31, 2012, we had investments of $118.8 million and $98.9 million, respectively, in non-marketable securities that we account for under the cost method. We regularly evaluate these investments for any other-than-temporary impairment in their estimated fair value and determined that no adjustment in the carrying value was required.

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    Loans Held for Investment

            From time to time, we may make investments in mortgage loans or mezzanine loans of third parties that own and operate commercial real estate assets located in the United States. Mortgage loans are secured, in part, by mortgages recorded against the underlying properties which are not owned by us. Mezzanine loans are secured, in part, by pledges of ownership interests of the entities that own the underlying real estate. Loans held for investment are carried at cost, net of any premiums or discounts which are accreted or amortized over the life of the related loan receivable utilizing the effective interest method. We evaluate the collectability of both interest and principal of each of these loans quarterly to determine whether the value has been impaired. A loan is deemed to be impaired when, based on current information and events, it is probable that we will be unable to collect all amounts due according to the existing contractual terms. When a loan is impaired, the amount of the loss accrual is calculated by comparing the carrying amount of the loan held for investment to its estimated realizable value.

            We had investments in three mortgage and mezzanine loans that were repaid in their entirety during 2012. For the nine months ended September 30, 2012, we earned $6.8 million in interest income on these loans.

    Fair Value Measurements

            Level 1 fair value inputs are quoted prices for identical items in active, liquid and visible markets such as stock exchanges. Level 2 fair value inputs are observable information for similar items in active or inactive markets, and appropriately consider counterparty creditworthiness in the valuations. Level 3 fair value inputs reflect our best estimate of inputs and assumptions market participants would use in pricing an asset or liability at the measurement date. The inputs are unobservable in the market and significant to the valuation estimate. We have no investments for which fair value is measured on a recurring basis using Level 3 inputs.

            We held marketable securities that totaled $141.7 million and $170.2 million at September 30, 2013 and December 31, 2012, respectively, that were primarily classified as having Level 1 fair value inputs. In addition, we have derivative instruments which are classified as having Level 2 inputs which consist primarily of interest rate swap agreements and foreign currency forward contracts with a gross liability balance of $4.6 million and $1.5 million at September 30, 2013 and December 31, 2012, respectively, and a gross asset value of $4.1 million and $3.0 million at September 30, 2013 and December 31, 2012, respectively. We also have interest rate cap agreements with nominal values.

            Note 6 includes a discussion of the fair value of debt measured using Level 2 inputs. Notes 5 and 9 include discussion of the fair values recorded in purchase accounting and impairment, using Level 2 and Level 3 inputs. Level 3 inputs to our purchase accounting and impairment include our estimations of net operating results of the property, capitalization rates and discount rates.

    Noncontrolling Interests and Temporary Equity

            Details of the carrying amount of our noncontrolling interests are as follows:

 
  As of
September 30,
2013
  As of
December 31,
2012
 

Limited partners' interests in the Operating Partnership

  $ 971,488   $ 983,363  

Nonredeemable noncontrolling deficit interests in properties, net

    4,186     (877)  
           

Total noncontrolling interests reflected in equity

  $ 975,674   $ 982,486  
           

            The remaining interests in a property or portfolio of properties which are redeemable at the option of the holder or in circumstances that may be outside our control, are accounted for as temporary equity within limited partners' preferred interest in the Operating Partnership and noncontrolling redeemable interests in properties in the accompanying consolidated balance sheets. The carrying amount of the noncontrolling interest is adjusted to the redemption amount assuming the instrument is redeemable at the balance sheet date. Changes in the redemption value of the underlying noncontrolling interest are recorded within accumulated deficit. There are no noncontrolling interests redeemable at amounts in excess of fair value.

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            Net income attributable to noncontrolling interests (which includes nonredeemable noncontrolling interests in consolidated properties, limited partners' interests in the Operating Partnership, redeemable noncontrolling interests in consolidated properties and preferred distributions payable by the Operating Partnership on its outstanding preferred units) is a component of consolidated net income. In addition, the individual components of other comprehensive income (loss) are presented in the aggregate for both controlling and noncontrolling interests, with the portion attributable to noncontrolling interests deducted from comprehensive income attributable to common stockholders.

            A rollforward of noncontrolling interests reflected in equity is as follows:

 
  For the Three Months Ended
September 30,
  For the Nine Months Ended
September 30,
 
 
  2013   2012   2013   2012  

Noncontrolling interests, beginning of period

  $ 971,498   $ 1,185,418   $ 982,486   $ 894,622  

Net income attributable to noncontrolling interests after preferred distributions and income attributable to redeemable noncontrolling interests in consolidated properties

    52,339     47,668     157,100     222,986  

Distributions to noncontrolling interest holders

    (60,197)     (62,149)     (180,104)     (181,354)  

Other comprehensive income (loss) allocable to noncontrolling interests:

                         

Unrealized (loss) gain on derivative hedge agreements

    (629)     1,327     111     2,333  

Net loss reclassified from accumulated other comprehensive loss into earnings

    369     517     955     2,233  

Currency translation adjustments

    4,676     2,716     1,518     (717)  

Changes in available-for-sale securities and other

    (111)     902     (228)     4,721  
                   

    4,305     5,462     2,356     8,570  
                   

Adjustment to limited partners' interest from change in ownership in the Operating Partnership

    (8,841)     (38,715)     (19,422)     117,584  

Units exchanged for common shares

    (59)     (129,783)     (6,041)     (133,801)  

Units redeemed

        (38,904)         (38,904)  

Purchase of noncontrolling interests and other

    16,629     10,367     39,299     89,661  
                   

Noncontrolling interests, end of period

  $ 975,674   $ 979,364   $ 975,674   $ 979,364  
                   

    Accumulated Other Comprehensive Income (Loss)

            The changes in accumulated other comprehensive income (loss) net of noncontrolling interest by component consisted of the following as of September 30, 2013:

 
  Currency
translation
adjustments
  Accumulated
derivative
losses, net
  Net unrealized
gains on
marketable securities
  Total  

Beginning balance

  $ (26,220)   $ (66,917)   $ 2,237   $ (90,900)  

Other comprehensive income (loss) before reclassifications

    9,085     786     (1,360)     8,511  

Amounts reclassified from accumulated other comprehensive income (loss)

        5,687         5,687  
                   

Net current-period other comprehensive income (loss)

    9,085     6,473     (1,360)     14,198  
                   

Ending balance

  $ (17,135)   $ (60,444)   $ 877   $ (76,702)  
                   

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            The reclassifications out of accumulated other comprehensive income (loss) consisted of the following as of September 30, 2013:

Details about accumulated
other comprehensive
income (loss) components:
  Amount reclassified from
accumulated other
comprehensive income
(loss)
  Affected line item in the statement where net
income is presented

Accumulated derivative losses, net

         

  $ (6,642)   Interest expense

    955   Net income attributable to noncontrolling interests
         

  $ (5,687)    
         

    Derivative Financial Instruments

            We record all derivatives on the balance sheet at fair value. The accounting for changes in the fair value of derivatives depends on the intended use of the derivative, whether we have designated a derivative as a hedge and whether the hedging relationship has satisfied the criteria necessary to apply hedge accounting. We may use a variety of derivative financial instruments in the normal course of business to selectively manage or hedge a portion of the risks associated with our indebtedness and interest payments. Our objectives in using interest rate derivatives are to add stability to interest expense and to manage our exposure to interest rate movements. To accomplish this objective, we primarily use interest rate swaps and caps. We require that hedging derivative instruments be highly effective in reducing the risk exposure that they are designated to hedge. As a result, there is no significant ineffectiveness from any of our derivative activities. We formally designate any instrument that meets these hedging criteria as a hedge at the inception of the derivative contract. We have no credit-risk-related hedging or derivative activities.

            As of September 30, 2013, we had the following outstanding interest rate derivatives related to managing our interest rate risk:

Interest Rate Derivative
  Number of
Instruments
  Notional Amount  

Interest Rate Swaps

    2   $ 492.2 million  

Interest Rate Caps

    5   $ 249.4 million  

            The carrying value of our interest rate swaps, at fair value, was a liability balance of $4.6 million and $1.5 million at September 30, 2013 and December 31, 2012, respectively, and is included in other liabilities. The interest rate caps were of nominal value at September 30, 2013 and December 31, 2012 and we generally do not apply hedge accounting to these arrangements.

            We are also exposed to fluctuations in foreign exchange rates on financial instruments which are denominated in foreign currencies, primarily in Japan and Europe. We use currency forward contracts and foreign currency denominated debt to manage our exposure to changes in foreign exchange rates on certain Yen and Euro-denominated receivables and net investments. Currency forward contracts involve fixing the Yen:USD or Euro:USD exchange rate for delivery of a specified amount of foreign currency on a specified date. The currency forward contracts are typically cash settled in US dollars for their fair value at or close to their settlement date. Approximately ¥1.7 billion remains as of September 30, 2013 for all forward contracts that we expect to receive through January 5, 2015. The September 30, 2013 asset balance related to these forward contracts was $4.1 million and is included in deferred costs and other assets. We have reported the changes in fair value for these forward contracts in earnings. The underlying currency adjustments on the foreign currency denominated receivables are also reported in income and generally offset the amounts in earnings for these forward contracts.

            The total gross accumulated other comprehensive loss related to our derivative activities, including our share of the other comprehensive loss from joint venture properties, approximated $70.6 million and $78.1 million as of September 30, 2013 and December 31, 2012, respectively.

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4.    Per Share Data

            We determine basic earnings per share based on the weighted average number of shares of common stock outstanding during the period and we consider any participating securities for purposes of applying the two-class method. We determine diluted earnings per share based on the weighted average number of shares of common stock outstanding combined with the incremental weighted average shares that would have been outstanding assuming all dilutive potential securities were converted into common shares at the earliest date possible. The following table sets forth the computation of our basic and diluted earnings per share.

 
  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

Net Income attributable to Common Stockholders — Basic and Diluted

  $ 311,675   $ 254,921   $ 934,749   $ 1,115,776  
                   

Weighted Average Shares Outstanding — Basic

    310,332,777     304,107,489     310,194,789     301,029,029  

Effect of stock options

        1,070     67     1,077  
                   

Weighted Average Shares Outstanding — Diluted

    310,332,777     304,108,559     310,194,856     301,030,106  
                   

            For the nine months ended September 30, 2013, potentially dilutive securities include stock options, units that are exchangeable for common stock and long-term incentive performance, or LTIP, units granted under our long-term incentive performance programs that are convertible into units and exchangeable for common stock. The only securities that had a dilutive effect for the nine months ended September 30, 2013 and 2012 were stock options. We accrue dividends when they are declared.

5.    Investment in Unconsolidated Entities

    Real Estate Joint Ventures and Investments

            Joint ventures are common in the real estate industry. We use joint ventures to finance properties, develop new properties and diversify our risk in a particular property or portfolio of properties. We held joint venture ownership interests in 74 properties in the United States as of September 30, 2013 and 78 properties as of December 31, 2012. We held interests in nine joint venture properties in Japan as of September 30, 2013 and eight joint venture properties as of December 31, 2012. We held interests in three joint venture properties in South Korea as of September 30, 2013 and two as of December 31, 2012. At September 30, 2013 and December 31, 2012, we also held interests in one joint venture property in Mexico and one joint venture property in Malaysia. On August 1, 2013, our first joint venture property in Canada opened. We account for these joint venture properties using the equity method of accounting. As discussed below, on January 9, 2012, we sold our interest in Gallerie Commerciali Italia, S.p.A,, or GCI, which at the time owned 45 properties located in Italy. On March 14, 2012, we purchased a 28.7% equity stake in Klépierre. On May 21, 2012, Klépierre paid a dividend, which we elected to receive in additional shares, resulting in an increase in our ownership to approximately 28.9%.

            Certain of our joint venture properties are subject to various rights of first refusal, buy-sell provisions, put and call rights, or other sale or marketing rights for partners which are customary in real estate joint venture agreements and the industry. We and our partners in these joint ventures may initiate these provisions (subject to any applicable lock up or similar restrictions), which may result in either the sale of our interest or the use of available cash or borrowings, or the use of limited partnership interests in the Operating Partnership, to acquire the joint venture interest from our partner.

            We may provide financing to joint ventures primarily in the form of interest bearing construction loans. As of September 30, 2013 and December 31, 2012, we had construction loans and other advances to related parties totaling $103.6 million and $25.4 million, respectively, which are included in deferred costs and other assets.

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    Unconsolidated Property Transactions

            On December 31, 2012, we formed a joint venture with Institutional Mall Investors, or IMI, to own and operate The Shops at Mission Viejo in the Los Angeles suburb of Mission Viejo, California, and Woodfield Mall in the Chicago suburb of Schaumburg, Illinois. We and IMI each own a noncontrolling 50% interest in Woodfield Mall and we own a noncontrolling 51% interest in The Shops at Mission Viejo and IMI owns the remaining 49%. Prior to the formation of the joint venture, we owned 100% of The Shops at Mission Viejo and IMI owned 100% of Woodfield Mall. No gain was recorded as the transaction was recorded based on the carryover basis of our previous investment. Woodfield Mall is encumbered by a $425 million mortgage loan which matures in March of 2024 and bears interest at 4.5%. In January 2013, the joint venture closed a $295 million mortgage on the Shops at Mission Viejo which bears interest at 3.61% and matures in February of 2023. The proceeds from the financing were distributed to the venture partners and, as a result, we received a distribution of $149.7 million.

            On March 22, 2012, we acquired, through an acquisition of substantially all of the assets of The Mills Limited Partnership, or TMLP, additional interests in 26 properties, or the Mills transaction. The transaction resulted in additional interests in 16 of the properties which remain unconsolidated, the consolidation of nine previously unconsolidated properties and the purchase of the remaining noncontrolling interest in a previously consolidated property. The transaction was valued at $1.5 billion, which included repayment of the remaining $562.1 million balance on TMLP's senior loan facility, and retirement of $100.0 million of TMLP's trust preferred securities. In connection with the transaction, our $558.4 million loan to SPG-FCM Ventures, LLC, or SPG-FCM, was extinguished on a non-cash basis. We consolidated $2.6 billion in additional property-level mortgage debt in connection with this transaction. This property-level mortgage debt was previously presented as debt of our unconsolidated entities. We and our joint venture partner had equal ownership in these properties prior to the transaction.

            The consolidation of the previously unconsolidated properties resulted in a remeasurement of our previously held interests in these nine newly consolidated properties to fair value and recognition of a corresponding non-cash gain of $488.7 million. In addition, we recorded an other-than-temporary impairment charge of $22.4 million for the excess of carrying value of our remaining investment in SPG-FCM over its estimated fair value. The gain on the transaction and impairment charge are included in gain (loss) upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net, in the accompanying consolidated statements of operations and comprehensive income. The assets and liabilities of the newly consolidated properties acquired in the Mills transaction have been reflected at their estimated fair value at the acquisition date.

            We recorded our acquisition of the interests in the nine newly consolidated properties using the acquisition method of accounting. Tangible and intangible assets and liabilities were established based on their fair values at the date of acquisition. The results of operations of the newly consolidated properties have been included in our consolidated results from the date of acquisition. The purchase price allocations were finalized during the first quarter of 2013. No significant adjustments were made to the previously reported purchase price allocations.

            On January 6, 2012, we paid $50.0 million to acquire an additional interest in Del Amo Fashion Center, increasing our interest in the property to 50%.

    European Investments

            At September 30, 2013, we owned 57,634,148 shares, or approximately 28.9%, of Klépierre, which had a quoted market price of $43.25 per share. At the date of purchase on March 14, 2012, our excess investment in Klépierre was approximately $1.2 billion which we have allocated to the underlying investment property, other assets and liabilities based on estimated fair value. Our share of net income, net of amortization of our excess investment, was $23.8 million for the nine months ended September 30, 2013. Based on applicable Euro:USD exchange rates and after our conversion of Klépierre's results to GAAP, Klépierre's total revenues, operating income and consolidated net income were approximately $1.1 billion, $538.6 million and $231.5 million, respectively, for the nine months ended September 30, 2013. Our share of net income, net of the amortization of our excess investment, was $4.7 million from the acquisition date through September 30, 2012.

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            During the second quarter of 2013, we signed a definitive agreement to form one or more joint ventures to invest in certain existing designer outlets, development projects, and the property management and development companies of McArthurGlen, an owner, developer and manager of designer outlets in Europe. As of September 30, 2013, we had made equity investments and advances and funded our share of development costs of approximately $73.9 million, which included the acquisition of a noncontrolling 50% ownership interest in the property management and development companies, a 45% ownership interest in a development project, and a 22.5% interest in Ashford Designer Outlets in Kent, UK. On October 16, 2013, we completed the transactions contemplated by our previously announced definitive agreement by acquiring interests in four existing McArthurGlen outlets — Parndorf (Vienna, Austria), La Reggia (Naples, Italy), Noventa di Piave (Venice, Italy) and Roermond (Roermond, the Netherlands) for cash consideration of €327.5 million ($444.1 million USD equivalent). Our noncontrolling ownership interests in these four centers range from 60% to 90%.

            We also have a minority interest in Value Retail PLC, which owns and operates nine luxury outlets throughout Europe and a direct minority ownership in three of those outlets. These investments are accounted for under the cost method. At September 30, 2013 and December 31, 2012, the carrying value of these investments was $115.4 and $95.5 million, respectively, and is included in deferred costs and other assets.

            On January 9, 2012, we sold our entire ownership interest in GCI to our venture partner, Auchan S.A. The aggregate cash we received was $375.8 million, and we recognized a gain on the sale of $28.8 million. Our investment carrying value included $39.5 million of accumulated losses related to currency translation and net investment hedge accumulated balances, which had been recorded in accumulated other comprehensive income (loss).

    Asian Joint Ventures

            We conduct our international Premium Outlet operations in Japan through a joint venture with Mitsubishi Estate Co., Ltd. We have a 40% ownership interest in this joint venture. The carrying amount of our investment in this joint venture was $276.2 million and $314.2 million as of September 30, 2013 and December 31, 2012, respectively, including all related components of accumulated other comprehensive income (loss). We conduct our international Premium Outlet operations in South Korea through a joint venture with Shinsegae International Co. We have a 50% ownership interest in this joint venture. The carrying amount of our investment in this joint venture was $70.7 million and $62.9 million as of September 30, 2013 and December 31, 2012, respectively; including all related components of accumulated other comprehensive income (loss).

Summary Financial Information

            A summary of our equity method investments and share of income from such investments, excluding Klépierre, follows. We acquired additional controlling interests in nine properties in the Mills transaction on March 22, 2012. These previously unconsolidated properties became consolidated properties as of their acquisition date. During 2012, we disposed of our joint venture interests in one mall and three retail properties. The results of operations of the properties for all of these 2012 transactions are classified as gain (loss) from operations of discontinued joint venture interests in the accompanying joint venture statements of operations. In 2013, we disposed of two retail properties. The gain on disposal is reported in gain (loss) on disposal of discontinued operations, net in the accompanying joint venture statements of operations. Balance sheet information for these investments is as follows:

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  September 30,
2013
  December 31,
2012
 

BALANCE SHEETS

             

Assets:

             

Investment properties, at cost

  $ 14,828,264   $ 14,607,291  

Less — accumulated depreciation

    5,144,189     4,926,511  
           

    9,684,075     9,680,780  

Cash and cash equivalents

    653,185     619,546  

Tenant receivables and accrued revenue, net

    270,770     252,774  

Investment in unconsolidated entities, at equity

    38,669     39,589  

Deferred costs and other assets

    442,831     438,399  
           

Total assets

  $ 11,089,530   $ 11,031,088  
           

Liabilities and Partners' Deficit:

             

Mortgages

  $ 11,979,021   $ 11,584,863  

Accounts payable, accrued expenses, intangibles, and deferred revenue

    723,143     672,483  

Other liabilities

    394,461     447,132  
           

Total liabilities

    13,096,625     12,704,478  

Preferred units

    67,450     67,450  

Partners' deficit

    (2,074,545)     (1,740,840)  
           

Total liabilities and partners' deficit

  $ 11,089,530   $ 11,031,088  
           

Our Share of:

             

Partners' deficit

  $ (943,037)   $ (799,911)  

Add: Excess Investment

    2,092,875     2,184,133  
           

Our net Investment in unconsolidated entities, at equity

  $ 1,149,838   $ 1,384,222  
           

            "Excess Investment" represents the unamortized difference of our investment over our share of the equity in the underlying net assets of the joint ventures or other investments acquired and is allocated on a fair value basis primarily to investment property, lease related intangibles, and debt premiums and discounts. We amortize excess investment over the life of the related depreciable components of investment property, typically no greater than 40 years, the terms of the applicable leases and the applicable debt maturity, respectively. The amortization is included in the reported amount of income from unconsolidated entities.

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  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

STATEMENT OF OPERATIONS

                         

Revenue:

                         

Minimum rent

  $ 408,204   $ 370,183   $ 1,201,748   $ 1,091,701  

Overage rent

    40,784     44,002     128,565     128,622  

Tenant reimbursements

    197,494     176,544     569,044     508,698  

Other income

    40,903     34,754     122,505     121,686  
                   

Total revenue

    687,385     625,483     2,021,862     1,850,707  

Operating Expenses:

                         

Property operating

    125,329     125,162     364,494     351,963  

Depreciation and amortization

    135,457     125,828     389,843     375,280  

Real estate taxes

    55,374     45,068     160,152     132,618  

Repairs and maintenance

    15,653     15,418     48,156     45,269  

Advertising and promotion

    14,141     11,706     44,164     39,600  

Provision for (recovery of) credit losses

    192     (646)     1,772     (247)  

Other

    37,948     36,089     110,129     128,134  
                   

Total operating expenses

    384,094     358,625     1,118,710     1,072,617  
                   

Operating Income

   
303,291
   
266,858
   
903,152
   
778,090
 

Interest expense

    (151,579)     (148,891)     (453,573)     (451,581)  
                   

Income from Continuing Operations

    151,712     117,967     449,579     326,509  

Gain (loss) from operations of discontinued joint venture interests

    7     (1,978)     (339)     (20,769)  

Gain (loss) on disposal of discontinued operations, net

    6,580     (4,904)     24,936     (4,904)  
                   

Net Income

  $ 158,299   $ 111,085   $ 474,176   $ 300,836  
                   

Third-party investors' share of net income

  $ 85,211   $ 66,308   $ 263,926   $ 163,108  
                   

Our share of net income

    73,088     44,777     210,250     137,728  

Amortization of excess investment

    (25,733)     (21,726)     (75,415)     (55,059)  

Our share of loss on sale or disposal of assets and interests in unconsolidated entities, net

        9,245         9,245  
                   

Income from unconsolidated entities

  $ 47,355   $ 32,296   $ 134,835   $ 91,914  
                   

            Our share of income from unconsolidated entities in the above table, aggregated with our share of the results of Klépierre, is presented in income from unconsolidated entities in the accompanying consolidated statements of operations and comprehensive income.

6.    Debt

    Unsecured Debt

            At September 30, 2013, our unsecured debt consisted of $12.9 billion of senior unsecured notes of the Operating Partnership, $1.2 billion outstanding under our $4.0 billion unsecured revolving credit facility, or Credit Facility, $227.6 million outstanding under our $2.0 billion supplemental unsecured revolving credit facility, or Supplemental Facility, and $240.0 million outstanding under an unsecured term loan. The entire balance on the Credit Facility at September 30, 2013 consisted of Euro-denominated borrowings and the entire balance on the Supplemental Facility on such date consisted of Yen-denominated borrowings, both of which are designated as net investment hedges of our international investments.

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            On September 30, 2013, we had an aggregate available borrowing capacity of $4.5 billion under the two credit facilities. The maximum outstanding balance of the credit facilities during the nine months ended September 30, 2013 was $1.6 billion and the weighted average outstanding balance was $1.4 billion. Letters of credit of $45.0 million were outstanding under the two credit facilities as of September 30, 2013.

            The Credit Facility's initial borrowing capacity of $4.0 billion can be increased at our sole option to $5.0 billion during its term. The Credit Facility will initially mature on October 30, 2015 and can be extended for an additional year at our sole option. As of September 30, 2013, the base interest rate on the Credit Facility was LIBOR plus 95 basis points (reflects a five basis point reduction effective May 16, 2013) with an additional facility fee of 15 basis points. In addition, the Credit Facility provides for a money market competitive bid option program that allows us to hold auctions to achieve lower pricing for short-term borrowings. The Credit Facility also includes a $2.0 billion multi-currency tranche.

            The Supplemental Facility's borrowing capacity of $2.0 billion can be increased at our sole option to $2.5 billion during its term. The Supplemental Facility will initially mature on June 30, 2016 and can be extended for an additional year at our sole option. As of September 30, 2013, the base interest rate on the Supplemental Facility was LIBOR plus 95 basis points (reflects a five basis point reduction effective May 16, 2013) with an additional facility fee of 15 basis points. Like the Credit Facility, the Supplemental Facility provides for a money market competitive bid option program and allows for multi-currency borrowings.

            During the nine months ended September 30, 2013, we redeemed at par or repaid at maturity $504.5 million of senior unsecured notes with fixed rates ranging from 5.30% to 7.18% with cash on hand. In addition, we repaid a $240.0 million mortgage loan with the proceeds from a $240.0 million unsecured term loan. The term loan has a capacity of up to $300.0 million, bears interest at LIBOR plus 110 basis points and matures on February 28, 2016 with two available one-year extension options.

            On October 2, 2013, the Operating Partnership issued €750.0 million ($1.0 billion USD equivalent) of senior unsecured notes at a fixed interest rate of 2.375% with a maturity date of October 2, 2020. Proceeds from the unsecured notes offering were used to pay down a portion of Euro-denominated borrowings on the Credit Facility and the acquisition of various assets in the McArthurGlen transactions further discussed in Note 5. These notes are designated as a net investment hedge of our Euro-denominated international investments.

    Mortgage Debt

            Total mortgage indebtedness was $8.1 billion and $8.0 billion at September 30, 2013 and December 31, 2012, respectively.

    Covenants

            Our unsecured debt agreements contain financial covenants and other non-financial covenants. If we were to fail to comply with these covenants, after the expiration of the applicable cure periods, the debt maturity could be accelerated or other remedies could be sought by the lender including adjustments to the applicable interest rate. As of September 30, 2013, we were in compliance with all covenants of our unsecured debt.

            At September 30, 2013, we or our subsidiaries are the borrowers under 79 non-recourse mortgage notes secured by mortgages on 79 properties, including seven separate pools of cross-defaulted and cross-collateralized mortgages encumbering a total of 27 properties. Under these cross-default provisions, a default under any mortgage included in the cross-defaulted pool may constitute a default under all mortgages within that pool and may lead to acceleration of the indebtedness due on each property within the pool. Certain of our secured debt instruments contain financial and other non-financial covenants which are specific to the properties which serve as collateral for that debt. If the borrower fails to comply with these covenants, the lender could accelerate the debt and enforce its right against their collateral. At September 30, 2013, the applicable borrowers under these non-recourse mortgage notes were in compliance with all covenants where non-compliance could individually, or giving effect to applicable cross-default provisions in the aggregate, have a material adverse effect on our financial condition, results of operations or cash flows.

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    Fair Value of Debt

            The carrying value of our variable-rate mortgages and other loans approximates their fair values. We estimate the fair values of consolidated fixed-rate mortgages using cash flows discounted at current borrowing rates and other indebtedness using cash flows discounted at current market rates. We estimate the fair values of consolidated fixed-rate unsecured notes using quoted market prices, or, if no quoted market prices are available, we use quoted market prices for securities with similar terms and maturities. The book value of our consolidated fixed-rate mortgages and unsecured indebtedness was $20.7 billion and $21.0 billion as of September 30, 2013 and December 31, 2012, respectively. The fair values of these financial instruments and the related discount rate assumptions as of September 30, 2013 and December 31, 2012 are summarized as follows:

 
  September 30,
2013
  December 31,
2012
 

Fair value of fixed-rate mortgages and unsecured indebtedness

  $ 22,140   $ 23,373  

Weighted average discount rates assumed in calculation of fair value for fixed-rate mortgages

    3.55%     3.24%  

7.    Equity

            During the nine months ended September 30, 2013, we issued 321,354 shares of common stock to 10 limited partners of the Operating Partnership in exchange for an equal number of units pursuant to the partnership agreement of the Operating Partnership.

    Stock Based Compensation

            Awards under our stock based compensation plans primarily take the form of LTIP units and restricted stock grants made under The Simon Property Group, L.P. 1998 Stock Incentive Plan, or the Plan. These awards are all performance based and are based on various corporate and business unit performance measures as further described below. In the aggregate, we recorded compensation expense, net of capitalization, related to these stock based compensation arrangements of approximately $40.0 million and $35.1 million for the nine months ended September 30, 2013 and 2012, respectively, which is included within home and regional office costs and general and administrative costs in the accompanying statements of operations and comprehensive income.

            LTIP Programs.    On March 16, 2010, the Compensation Committee of our Board of Directors, or the Compensation Committee, approved three long-term, performance based incentive compensation programs, or the 2010 LTIP programs, for certain senior executive officers. Awards under the LTIP programs take the form of LTIP units, a form of limited partnership interest issued by the Operating Partnership, and will be considered earned if, and only to the extent to which, applicable total shareholder return, or TSR, performance measures are achieved during the performance period. Once earned, LTIP units will become the equivalent of units only after a two year service-based vesting period, beginning after the end of the performance period. Awarded LTIP units not earned are forfeited. During the performance period, participants are entitled to receive on the LTIP units awarded to them distributions equal to 10% of the regular quarterly distributions paid on a unit of the Operating Partnership. As a result, we account for these LTIP units as participating securities under the two-class method of computing earnings per share. The 2010 LTIP programs had one, two and three year performance periods, which ended on December 31, 2010, 2011 and 2012, respectively.

            In the first quarter of 2011, the Compensation Committee determined the extent to which the performance measures had been achieved and 133,673 LTIP units were earned under the one-year 2010 LTIP program and, pursuant to the award agreements, vested in two equal installments in 2012 and 2013. In the first quarter of 2012, the Compensation Committee determined the extent to which the performance measures had been achieved and 337,006 LTIP units were earned under the two-year 2010 LTIP program and, pursuant to the award agreements, will vest in two equal installments in 2013 and 2014. In the first quarter of 2013, the Compensation Committee determined the extent to which the performance measures had been achieved and 489,654 LTIP units were earned under the three-year 2010 LTIP program and, pursuant to the award agreements entered into with program participants, the earned LTIP units will vest in two equal installments in 2014 and 2015, subject to the conditions described in those agreements.

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            During July 2011, the Compensation Committee approved a new three-year long-term performance based incentive compensation program, or the 2011-2013 LTIP program, and awarded LTIP units to certain senior executive officers. The 2011-2013 LTIP program has a three year performance period ending on December 31, 2013.

            During March 2012, the Compensation Committee approved a three-year long-term performance based incentive compensation program, or the 2012-2014 LTIP program, and awarded LTIP units to certain senior executive officers. The 2012-2014 LTIP program has a three year performance period ending December 31, 2014 and units awarded under that program will be considered earned if, and only to the extent to which, applicable TSR performance measures are achieved during the performance period. One-half of the earned LTIP units will vest on January 1 of each of the second and third years following the end of the applicable performance period, subject to the participant maintaining employment with us through those dates.

            During February 2013, the Compensation Committee approved a three-year long-term performance based incentive compensation program, or the 2013-2015 LTIP program, and awarded LTIP units to certain senior executive officers. The 2013-2015 LTIP program has a three year performance period ending December 31, 2015 and units awarded under that program will be considered earned if, and only to the extent to which, applicable TSR performance measures are achieved during the performance period. One-half of the earned LTIP units will vest on January 1 of each of the second and third years following the end of the applicable performance period, subject to the participant maintaining employment with us through those dates.

            The 2010 LTIP program awards have an aggregate grant date fair value, adjusted for estimated forfeitures, of $7.2 million for the one-year program, $14.8 million for the two-year program and $23.0 million for the three-year program. Both the 2011-2013 LTIP program and 2012-2014 LTIP program have aggregate grant date fair values of $35.0 million, adjusted for estimated forfeitures. The 2013-2015 LTIP program has an aggregate grant date fair value of $33.5 million, adjusted for estimated forfeitures. Grant date fair values were estimated based upon the results of a Monte Carlo model, and the resulting expense will be recorded regardless of whether the TSR performance measures are achieved, if the required service is delivered. The grant date fair values are being amortized into expense over the period from the grant date to the date at which the awards, if any, become vested.

            Restricted Stock.    The Compensation Committee awarded an aggregate of 107,528 shares of restricted stock to employees on February 25, 2013, April 1, 2013 and June 6, 2013 under the Plan, at a fair market value of $157.37 per share, $159.32 per share and $166.56 per share, respectively. On May 14, 2013, our non-employee Directors were awarded 3,487 shares of restricted stock under the Plan at a fair market value of $179.23 per. The fair market value of the restricted stock awarded on February 25, 2013, April 1, 2013 and June 6, 2013 is being recognized as expense over the three-year vesting service period. The fair market value of the restricted stock awarded on May 14, 2013 to our non-employee Directors is being recognized as expense over the one-year vesting service period.

            Other Compensation Arrangements.    On July 6, 2011, in connection with the execution of an employment agreement, the Compensation Committee granted David Simon, our Chairman and CEO, a retention award in the form of 1,000,000 LTIP units. The award vests in one-third increments on July 5th of 2017, 2018 and 2019, subject to continued employment. The grant date fair value of the retention award was $120.3 million which is being recognized as expense over the eight-year term of his employment agreement on a straight-line basis.

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    Changes in Equity

            The following table provides a reconciliation of the beginning and ending carrying amounts of total equity, equity attributable to common stockholders and equity attributable to noncontrolling interests:

 
  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
Equity
 

January 1, 2013

  $ 44,719   $ 31   $ (90,900)   $ 9,175,724   $ (3,083,190)   $ (135,781)   $ 982,486   $ 6,893,089  

Exchange of limited partner units for common shares

                      6,041                 (6,041)      

Issuance of limited partner units

                                               

Contributions from noncontrolling interest partners and other

    (247)                 (3,248)     (170)     17,750     39,299     53,384  

Adjustment to limited partners' interest from change in ownership in the Operating Partnership

                      19,422                 (19,422)      

Distributions to common stockholders and limited partners, excluding Operating Partnership preferred interests

                            (1,072,782)           (179,855)     (1,252,637)  

Distributions to other noncontrolling interest partners

                                        (249)     (249)  

Comprehensive income, excluding $1,436 attributable to preferred interests in the Operating Partnership and $6,499 attributable to noncontrolling redeemable interests in properties in temporary equity

                14,198           937,252           159,456     1,110,906  
                                   

September 30, 2013

  $ 44,472   $ 31   $ (76,702)   $ 9,197,939   $ (3,218,890)   $ (118,031)   $ 975,674   $ 6,804,493  
                                   

8.    Commitments and Contingencies

    Litigation

            We are involved from time-to-time in various legal proceedings that arise in the ordinary course of our business, including, but not limited to commercial disputes, environmental matters, and litigation in connection with transactions including acquisitions and divestitures. We believe that such litigation, claims and administrative proceedings will not have a material adverse impact on our financial position or our results of operations. We record a liability when a loss is considered probable and the amount can be reasonably estimated.

            In May 2010, Opry Mills sustained significant flood damage. Insurance proceeds of $50 million have been funded by the insurers, remediation work has been completed and the property was re-opened March 29, 2012. The excess insurance carriers (those providing coverage above $50 million) have denied the claim under the policy for additional proceeds (of up to $150 million) to pay further amounts for restoration costs and business interruption losses. We and our lenders are continuing our efforts through pending litigation to recover our losses under the excess insurance policies for Opry Mills and we believe recovery is probable, but no assurances can be made that our efforts to recover these funds will be successful.

    Guarantees of Indebtedness

            Joint venture debt is the liability of the joint venture and is typically secured by the joint venture property, which is non-recourse to us. As of September 30, 2013 and December 31, 2012, the Operating Partnership guaranteed joint venture related mortgage indebtedness of $179.2 million and $84.9 million, respectively (of which we have a right of recovery from our venture partners of $81.1 million and $38.6 million, respectively). Mortgages guaranteed by us are

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secured by the property of the joint venture which could be sold in order to satisfy the outstanding obligation and which has an estimated fair value in excess of the guaranteed amount.

    Concentration of Credit Risk

            Our malls, Premium Outlets, The Mills, and community/lifestyle centers rely heavily upon anchor tenants to attract customers; however anchor retailers do not contribute materially to our financial results as many anchor retailers own their spaces. All material operations are within the United States and no customer or tenant accounts for 5% or more of our consolidated revenues.

9.    Real Estate Acquisitions and Dispositions

            During the first nine months of 2013, we increased our economic interest in three unconsolidated community centers and subsequently disposed of our interests in those properties. Additionally, we disposed of our interests in four consolidated retail properties and two unconsolidated retail properties. The aggregate gain recognized on these transactions was approximately $72.6 million. Also, during the third quarter of 2013, we disposed of our interest in an office property located in the Boston, Massachusetts area. The gain on the sale was $7.9 million which is included in other income in the accompanying consolidated statements of operations and comprehensive income.

            On May 30, 2013 we acquired a 100% interest in a 390,000 square foot outlet center located near Portland, Oregon for cash consideration of $146.7 million. The fair value of the acquisition was recorded primarily as investment property and lease related intangibles. As a result of the excess of fair value over amounts paid, we recognized a gain of approximately $27.3 million.

            During 2012, we disposed of our interests in nine consolidated retail properties and four unconsolidated retail properties. Our share of the net gain on these disposals was $15.5 million. On May 3, 2012, we sold our interests in two residential apartment buildings located at The Domain in Austin, Texas. Our share of the gain from the sale was $12.4 million which is included in other income in the accompanying 2012 consolidated statement of operations and comprehensive income.

            On December 31, 2012, as discussed in Note 5, we contributed a wholly-owned property to a newly formed joint venture in exchange for an interest in a property contributed to the same joint venture by our joint venture partner.

            On December 4, 2012, we acquired the remaining 50% noncontrolling equity interests in two previously consolidated outlet properties located in Grand Prairie, Texas and Livermore, California and accordingly, we now own 100% of these properties. We paid consideration of $260.9 million for the additional interest in the properties, 90% of which was paid in cash and 10% of which was satisfied through the issuance of units of the Operating Partnership. In addition, the construction loans we had provided to the properties totaling $162.5 million were extinguished on a non-cash basis. The transaction was accounted for as an equity transaction, as the properties had been previously consolidated.

            On June 4, 2012, we acquired a 50% interest in a 465,000 square foot outlet center located in Destin, Florida for $70.5 million.

            On March 22, 2012, as discussed in Note 5, we acquired additional interests in 26 of our joint venture properties in a transaction valued at approximately $1.5 billion.

            On March 14, 2012, as discussed in Note 5, we acquired a 28.7% equity stake in Klépierre for approximately $2.0 billion, including the capitalization of acquisition costs.

            On January 9, 2012, as discussed in Note 5, we sold our entire ownership interest in GCI.

            On January 6, 2012, we paid $50.0 million to acquire an additional interest in Del Amo Fashion Center, thereby increasing our interest to 50%.

            Unless otherwise noted, gains and losses on the above transactions are included in gain (loss) upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net in the accompanying consolidated statements of operations and comprehensive income. We expense acquisition and potential acquisition costs related to business combinations and disposition related costs as they are incurred. We incurred a minimal amount of transaction expenses during the nine months ended September 30, 2013 and 2012.

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Item 2.    Management's Discussion and Analysis of Financial Condition and Results of Operations

            The following discussion should be read in conjunction with the consolidated financial statements and notes thereto included in this report.

Overview

            Simon Property Group, Inc., or Simon Property, is a Delaware corporation that operates as a self-administered and self-managed real estate investment trust, or REIT, under the Internal Revenue Code of 1986, as amended. REITs will generally not be liable for federal corporate income taxes as long as they continue to distribute not less than 100% of their taxable income. Simon Property Group, L.P., or the Operating Partnership, is our majority-owned partnership subsidiary that owns all of our real estate properties and other assets. In this discussion, the terms "we", "us" and "our" refer to Simon Property, the Operating Partnership, and its subsidiaries.

            We own, develop and manage retail real estate properties, which consist primarily of malls, Premium Outlets®, The Mills®, and community/lifestyle centers. As of September 30, 2013, we owned or held an interest in 312 income-producing properties in the United States, which consisted of 158 malls, 66 Premium Outlets, 64 community/lifestyle centers, 13 Mills, and 11 other shopping centers or outlet centers in 38 states and Puerto Rico. We have several Premium Outlets under development and have redevelopment and expansion projects, including the addition of anchors and big box tenants, underway at more than 35 properties in the U.S. and Asia. Internationally, as of September 30, 2013, we had ownership interests in nine Premium Outlets in Japan, three Premium Outlets in South Korea, one Premium Outlet in Canada, one Premium Outlet in Mexico, and one Premium Outlet in Malaysia. Additionally, as of September 30, 2013, we owned a 28.9% equity stake in Klépierre SA, or Klépierre, a publicly traded, Paris-based real estate company, which owns, or has an interest in, more than 260 shopping centers located in 13 countries in Europe.

            We generate the majority of our revenues from leases with retail tenants including:

    base minimum rents,

    overage and percentage rents based on tenants' sales volume, and

    recoverable expenditures such as property operating, real estate taxes, repair and maintenance, and advertising and promotional expenditures.

            Revenues of our management company, after intercompany eliminations, consist primarily of management fees that are typically based upon the revenues of the property being managed.

            We invest in real estate properties to maximize total financial return which includes both operating cash flows and capital appreciation. We seek growth in earnings, funds from operations, or FFO, and cash flows by enhancing the profitability and operation of our properties and investments. We seek to accomplish this growth through the following:

    attracting and retaining high quality tenants and utilizing economies of scale to reduce operating expenses,

    expanding and re-tenanting existing highly productive locations at competitive rental rates,

    selectively acquiring or increasing our interests in high quality real estate assets or portfolios of assets,

    generating consumer traffic in our retail properties through marketing initiatives and strategic corporate alliances, and

    selling selective non-core assets.

            We also grow by generating supplemental revenues from the following activities:

    establishing our malls as leading market resource providers for retailers and other businesses and consumer-focused corporate alliances, including payment systems (such as handling fees relating to the sales of bank-issued prepaid cards), national marketing alliances, static and digital media initiatives, business development, sponsorship, and events,

    offering property operating services to our tenants and others, including waste handling and facility services, and the provision of energy services,

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    selling or leasing land adjacent to our properties, commonly referred to as "outlots" or "outparcels," and

    generating interest income on cash deposits and investments in loans, including those made to related entities.

            We focus on high quality real estate across the retail real estate spectrum. We expand or redevelop properties to enhance profitability and market share of existing assets when we believe the investment of our capital meets our risk-reward criteria. We selectively develop new properties in markets we believe are not adequately served by existing retail outlets.

            We routinely review and evaluate acquisition opportunities based on their ability to enhance our portfolio. Our international strategy includes partnering with established real estate companies and financing international investments with local currency to minimize foreign exchange risk.

            To support our growth, we employ a three-fold capital strategy:

    provide the capital necessary to fund growth,

    maintain sufficient flexibility to access capital in many forms, both public and private, and

    manage our overall financial structure in a fashion that preserves our investment grade credit ratings.

            We consider FFO, net operating income, or NOI, and comparable property NOI (NOI for properties owned and operating in both periods under comparison) to be key measures of operating performance that are not specifically defined by accounting principles generally accepted in the United States, or GAAP. We use these measures internally to evaluate the operating performance of our portfolio and provide a basis for comparison with other real estate companies. Reconciliations of these measures to the most comparable GAAP measure are included below in this discussion.

    Results Overview

            Diluted earnings per common share decreased $0.70 during the first nine months of 2013 to $3.01 from $3.71 for the same period last year. The decrease in diluted earnings per share was primarily attributable to:

    a 2012 gain due to the acquisition of a controlling interest, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net of $491.9 million, or $1.36 per diluted share, primarily driven by a non-cash gain of $488.7 million resulting from the remeasurement of our previously held interest to fair value for those properties in which we now have a controlling interest,

    increased interest expense in 2013 as discussed below,

    partially offset by a 2013 gain due to the sale or disposal of our interests in nine properties and the acquisition of a controlling interest in an outlet center of $99.9 million, or $0.28 per diluted share, and

    improved operating performance and core business fundamentals in 2013 and the impact of our acquisition and expansion activity.

            Core business fundamentals during the first nine months of 2013 improved compared to the first nine months of 2012, primarily driven by higher tenant sales and strong leasing activity. Our share of portfolio NOI grew by 10.3% for the nine month period in 2013 over the prior year period. Comparable property NOI also grew 5.2% for our portfolio of U.S. malls and Premium Outlets. Total sales per square foot, or psf, increased 3.0% from $562 psf at September 30, 2012 to $579 psf at September 30, 2013 for the U.S. malls and Premium Outlets. Average base minimum rent for U.S. malls and Premium Outlets increased 3.5% to $41.73 psf as of September 30, 2013, from $40.33 psf as of September 30, 2012. Releasing spreads remained positive in the U.S. malls and Premium Outlets as we were able to lease available square feet at higher rents than the expiring rental rates on the same space, resulting in a releasing spread (based on total tenant payments — base minimum rent plus common area maintenance) of $8.05 psf ($61.07 openings compared to $53.02 closings) as of September 30, 2013, representing a 15.2% increase over expiring payments. Ending occupancy for the U.S. malls and Premium Outlets was 95.5% as of September 30, 2013, as compared to 94.6% as of September 30, 2012, an increase of 90 basis points.

            Our effective overall borrowing rate at September 30, 2013 decreased 24 basis points to 4.91% as compared to 5.15% at September 30, 2012. This decrease was primarily due to a decrease in the effective overall borrowing rate on

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fixed rate debt of 28 basis points (5.28% at September 30, 2013 as compared to 5.56% at September 30, 2012) combined with a decrease in the effective overall borrowing rate on variable rate debt of 39 basis points (1.15% at September 30, 2013 as compared to 1.54% at September 30, 2012), offset in part by a shift in our debt portfolio to a greater percentage of fixed rate debt from variable rate debt. At September 30, 2013, the weighted average years to maturity of our consolidated indebtedness was 5.6 years as compared to 5.9 years at December 31, 2012. Our financing activities for the nine months ended September 30, 2013, included the redemption at par or repayment at maturity of $504.5 million of senior unsecured notes with fixed rates ranging from 5.30% to 7.18%, a repayment of $145.0 million on our $4.0 billion unsecured revolving credit facility, or Credit Facility, and $250.0 million in new mortgage loan borrowings.

    United States Portfolio Data

            The portfolio data discussed in this overview includes the following key operating statistics: ending occupancy, average base minimum rent per square foot, and total sales per square foot for our domestic assets. We include acquired properties in this data beginning in the year of acquisition and remove disposed properties in the year of disposition. For comparative purposes, we separate the information related to community/lifestyle centers and The Mills from our other U.S. operations. We also do not include any properties located outside of the United States.

            The following table sets forth these key operating statistics for:

    properties that are consolidated in our consolidated financial statements,

    properties we account for under the equity method of accounting as joint ventures, and

    the foregoing two categories of properties on a total portfolio basis.

 
  September 30,
2013
  September 30,
2012
  %/Basis Points
Change(1)
 

U.S. Malls and Premium Outlets:

                   

Ending Occupancy

                   

Consolidated

    95.6%     94.8%     +80 bps  

Unconsolidated

    94.9%     93.9%     +100 bps  

Total Portfolio

    95.5%     94.6%     +90 bps  

Average Base Minimum Rent per Square Foot

                   

Consolidated

  $ 39.56   $ 38.23     3.5%  

Unconsolidated

  $ 49.40   $ 48.70     1.4%  

Total Portfolio

  $ 41.73   $ 40.33     3.5%  

Total Sales per Square Foot

                   

Consolidated

  $ 559   $ 543     2.9%  

Unconsolidated

  $ 663   $ 648     2.3%  

Total Portfolio

  $ 579   $ 562     3.0%  

The Mills:

                   

Ending Occupancy

    98.3%     97.2%     +110 bps  

Average Base Minimum Rent per Square Foot

  $ 23.46   $ 22.20     5.7%  

Total Sales per Square Foot

  $ 521   $ 505     3.2%  

Community/Lifestyle Centers:

                   

Ending Occupancy

    94.3%     94.3%      

Average Base Minimum Rent per Square Foot

  $ 14.43   $ 13.97     3.3%  

(1)
Percentages may not recalculate due to rounding. Percentage and basis point changes are representative of the change from the comparable prior period.

            Ending Occupancy Levels and Average Base Minimum Rent per Square Foot.    Ending occupancy is the percentage of gross leasable area, or GLA, which is leased as of the last day of the reporting period. We include all company owned space except for mall anchors and mall majors in the calculation. Base minimum rent per square foot is the

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average base minimum rent charge in effect for the reporting period for all tenants that would qualify to be included in ending occupancy.

            Total Sales per Square Foot.    Total sales include total reported retail tenant sales on a trailing 12-month basis at owned GLA (for mall stores with less than 10,000 square feet) in the malls and all reporting tenants at the Premium Outlets and The Mills. Retail sales at owned GLA affect revenue and profitability levels because sales determine the amount of minimum rent that can be charged, the percentage rent realized, and the recoverable expenses (common area maintenance, real estate taxes, etc.) that tenants can afford to pay.

    Current Leasing Activities

            During the nine months ended September 30, 2013, we signed 896 new leases and 1,345 renewal leases with a fixed minimum rent (excluding mall anchors and majors, new development, redevelopment, expansion, downsizing and relocation) across our U.S. malls and Premium Outlets portfolio, comprising approximately 6.6 million square feet of which 5.2 million square feet related to consolidated properties. During the comparable period in 2012, we signed 912 new leases and 1,582 renewal leases, comprising approximately 8.0 million square feet of which 6.0 million square feet related to consolidated properties. The average annual initial base minimum rent for new leases was $44.43 per square foot in 2013 and $39.03 per square foot in 2012 with an average tenant allowance on new leases of $31.29 per square foot and $35.65 per square foot, respectively.

    International Property Data

            The following are selected key operating statistics for our Premium Outlets in Japan. The information used to prepare these statistics has been supplied by the managing venture partner.

 
  September 30,
2013
  September 30,
2012
  %/Basis point
Change
 

Ending Occupancy

    99.6%     99.8%     -20 bps  

Total Sales per Square Foot

  ¥ 90,013   ¥ 87,779     2.55%  

Average Base Minimum Rent per Square Foot

  ¥ 4,842   ¥ 4,793     1.02%  

Results of Operations

            In addition to the activity discussed above in the "Results Overview" section, the following acquisitions, openings, and dispositions of consolidated properties affected our consolidated results from continuing operations in the comparative periods:

    During the nine months ended September 30, 2013, we disposed of our interest in two malls and two community centers.

    On May 30, 2013, we acquired a 390,000 square foot outlet center located near Portland, Oregon.

    On April 4, 2013, we opened Phoenix Premium Outlets in Chandler, Arizona, a 360,000 square foot upscale outlet center.

    During 2012, we disposed of one mall, two community centers and six other retail properties.

    On December 4, 2012, we acquired the remaining 50% noncontrolling interest in two previously consolidated outlet properties located in Livermore, California, and Grand Prairie, Texas, which opened on November 8, 2012 and August 16, 2012, respectively.

    On June 14, 2012, we opened Merrimack Premium Outlets, a 410,000 square foot outlet center located in Hillsborough County, serving the Greater Boston and Nashua markets.

    On March 29, 2012, Opry Mills re-opened after completion of the restoration of the property following the significant flood damage which occurred in May 2010.

    On March 22, 2012, we acquired, through an acquisition of substantially all of the assets of The Mills Limited Partnership, or TMLP, additional interests in 26 joint venture properties in a transaction we refer to as the Mills transaction. Nine of these properties became consolidated properties at the acquisition date.

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            In addition to the activities discussed above and in "Results Overview," the following acquisitions, dispositions and openings of joint venture properties affected our income from unconsolidated entities in the comparative periods:

    During the nine months ended September 30, 2013, we increased our economic interest in three community centers and subsequently disposed of our interests in those properties. We also disposed of our interest in two retail properties.

    On August 29, 2013, we and our partner, Shinsegae Group, opened Busan Premium Outlets, a 360,000 square foot outlet located in Busan, South Korea.

    On August 22, 2013, we and our partner opened St. Louis Premium Outlets, a 350,000 square foot outlet center. This new center is a joint venture with Woodmont Outlets, in which we have a 60% noncontrolling interest.

    On August 1, 2013, we and our partner, Calloway Real Estate Investment Trust, opened Toronto Premium Outlets in Canada, a 360,000 square foot outlet center.

    On April 19, 2013, we and our partner, Mitsubishi Estate Co., LTD., opened Shisui Premium Outlets, a 235,000 square foot outlet center located in Shisui (Chiba), Japan.

    During 2012, we disposed of our interests in three retail properties and one mall.

    On December 31, 2012, we contributed The Shops at Mission Viejo, a wholly-owned property, to a newly formed joint venture in exchange for an interest in Woodfield Mall, a property contributed to the same joint venture by our joint venture partner.

    On October 19, 2012, we opened Tanger Outlets in Galveston/Houston, a 350,000 square foot upscale outlet center located in Texas City, Texas. This new center is a joint venture with Tanger Factory Outlet Centers, Inc. in which we have a 50% noncontrolling interest.

    On June 4, 2012, we acquired a 50% interest in a 465,000 square foot outlet center located in Destin, Florida.

    As discussed above, on March 22, 2012, we acquired additional interests in 26 joint venture properties in the Mills transaction. Of these 26 properties, 16 remain unconsolidated.

    On March 14, 2012, we acquired a 28.7% equity stake in Klépierre. On May 21, 2012, Klépierre paid a dividend, which we elected to receive in additional shares, increasing our ownership to approximately 28.9%.

    On January 9, 2012, we sold our entire ownership interest in Gallerie Commerciali Italia, S.p.A, or GCI, a joint venture which at the time owned 45 properties located in Italy to our venture partner, Auchan S.A.

    On January 6, 2012, we acquired an additional 25% interest in Del Amo Fashion Center.

            For the purposes of the following comparison between the three month and nine month periods ended September 30, 2013 and 2012, the above transactions are referred to as the property transactions. In the following discussions of our results of operations, "comparable" refers to properties we owned and operated in both of the periods under comparison.

    Three Months Ended September 30, 2013 vs. Three Months Ended September 30, 2012

            Minimum rents increased $36.8 million during 2013, of which the property transactions accounted for $15.3 million of the increase. Comparable rents increased $21.5 million, or 3.2%, primarily attributable to a $21.3 million increase in base minimum rents. Overage rents increased $5.3 million, or 10.4%, as a result of the property transactions and an increase in tenant sales in 2013 at the comparable properties compared to 2012 of $3.6 million.

            Tenant reimbursements increased $25.3 million, due to a $6.2 million increase attributable to the property transactions and a $19.1 million, or 6.5%, increase in the comparable properties primarily due to real estate tax reimbursements and annual increases related to common area maintenance.

            Total other income increased $5.0 million, principally as a result of the following:

    a $7.9 million gain on the sale of a non-retail office building,

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    a $2.3 million increase in land sale activity, and

    a $2.0 million increase of net other activity,

    partially offset by a $7.2 million decrease in interest income primarily related to the repayment of related party loans and loans held for investment.

            Depreciation and amortization expense increased $15.8 million primarily due to the additional depreciable assets related to the property transactions.

            Home and regional office costs increased $7.1 million primarily related to higher personnel costs.

            Other expenses increased $5.2 million of which $1.8 million of the increase is attributable to the property transactions and $3.4 million related primarily to increased legal and professional fees.

            Interest expense decreased $4.4 million primarily as a result of the repayment of debt. We repaid $108.4 million of mortgages at 12 properties in the third and fourth quarters of 2012, $504.5 million of unsecured notes in 2013 and $106.1 million of unsecured notes in the third quarter of 2012, and $145.0 million on the US dollar tranche of the Credit Facility in the first quarter of 2013 and $520.0 million on such tranche in the fourth quarter of 2012. These decreases were partially offset by the issuance of unsecured notes in the fourth quarter of 2012, $250.0 million in new mortgage loan borrowings during 2013 and the net impact of 2013 refinancing activity.

            Income and other taxes increased $3.9 million primarily due to taxes related to certain of our international investments and an increase in state income taxes.

            Income from unconsolidated entities increased $10.8 million primarily due to favorable results of operations from joint venture properties and our acquisition and expansion activity.

            During the quarter ended September 30, 2013, we disposed of our interest in one mall, one community center and one retail property resulting in an aggregate gain of $11.1 million. During the quarter ended September 30, 2012, we disposed of our interest in four unconsolidated properties and two community centers resulting in an aggregate loss of $2.9 million.

            Net income attributable to noncontrolling interests increased $4.2 million due to an increase in the net income of the Operating Partnership.

    Nine Months Ended September 30, 2013 vs. Nine Months Ended September 30, 2012

            Minimum rents increased $144.5 million during the 2013 period, of which the property transactions accounted for $86.4 million of the increase. Comparable rents increased $58.1 million, or 2.9%, primarily attributable to a $58.7 million increase in base minimum rents. Overage rents increased $24.2 million, or 21.9%, as a result of the property transactions and an increase in tenant sales at the comparable properties in 2013 compared to 2012 of $17.4 million.

            Tenant reimbursements increased $80.5 million, due to a $35.5 million increase attributable to the property transactions and a $45.0 million, or 5.2%, increase in the comparable properties primarily due to real estate tax reimbursements and annual increases related to common area maintenance.

            Total other income decreased $33.3 million, principally as a result of the following:

    a $16.6 million decrease in interest income primarily related to the repayment of related party loans and loans held for investment,

    a $12.1 million gain on the sale of our investments in two multi-family residential facilities in the second quarter of 2012, and

    an $8.6 million decrease in lease settlement income due to a higher number of terminated leases in 2012,

    partially offset by a $7.9 million gain on the sale of a non-retail office building in 2013.

            Property operating expense increased $1.0 million primarily due to a $8.3 million increase related to the property transactions, offset by a $7.3 million decrease related to the comparable properties as a result of our ongoing cost savings efforts.

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            Depreciation and amortization expense increased $54.1 million primarily due to the additional depreciable assets related to the property transactions.

            Real estate tax expense increased $21.1 million primarily due to an $11.4 million increase related to the property transactions.

            Repairs and maintenance expense increased $5.7 million primarily as a result of increased snow removal costs compared to the prior year period.

            Home and regional office costs increased $11.0 million primarily related to higher personnel costs.

            Other expenses increased $4.0 million primarily due to increased legal and professional fees.

            Interest expense increased $14.0 million primarily due to an increase of $22.1 million related to the property transactions, borrowings on the Euro tranche of the Credit Facility in the first quarter of 2012, the issuance of unsecured notes in the first and fourth quarters of 2012 and $250.0 million in new mortgage loan borrowings during 2013. These increases were partially offset by the net impact of 2013 refinancing activity and the following repayments: $536.2 million of mortgages at 19 properties in 2012, $504.5 million of unsecured notes in 2013 and $231.0 million of unsecured notes in 2012 and the repayment of $145.0 million on the US dollar tranche of the Credit Facility in the first quarter of 2013 and $520.0 million on such tranche in the fourth quarter of 2012.

            Income and other taxes increased $20.1 million due to taxes related to certain of our international investments and an increase in state income taxes.

            Income from unconsolidated entities increased $62.1 million primarily due to the increase in ownership in the joint venture properties acquired as part of the Mills transaction, the 2012 acquisition of an equity stake in Klépierre, our acquisition and expansion activity and favorable results of operations from joint venture properties.

            During the nine months ended September 30, 2013, we increased our economic interest in three unconsolidated community centers and subsequently disposed of our interests in those properties. Additionally, we disposed of our interest in two community centers, two malls, two retail properties and recorded a gain on the acquisition of an outlet center. The aggregate gain recognized on these transactions was approximately $99.9 million. During 2012, we disposed of our interest in GCI, four unconsolidated properties and two community centers for a net gain of $25.6 million and acquired a controlling interest in nine properties previously accounted for under the equity method in the Mills transaction which resulted in the recognition of a non-cash gain of $488.7 million. In addition, we recorded an other-than-temporary impairment charge of $22.4 million on our remaining investment in SPG-FCM Ventures, LLC, or SPG-FCM, which holds our investment in TMLP, representing the excess of carrying value over the estimated fair value.

            Net income attributable to noncontrolling interests decreased $65.8 million due to a decrease in the net income of the Operating Partnership.

Liquidity and Capital Resources

            Because we own long-lived income-producing assets, our financing strategy relies primarily on long-term fixed rate debt. We minimize the use of floating rate debt and may enter into floating rate to fixed rate interest rate swaps. Floating rate debt currently comprises only 8.9% of our total consolidated debt at September 30, 2013. We also enter into interest rate protection agreements to manage our interest rate risk. We derive most of our liquidity from positive net cash flow from operations and distributions of capital from unconsolidated entities that totaled $2.4 billion during the nine months ended September 30, 2013. In addition, the Credit Facility and the $2.0 billion supplemental unsecured revolving credit facility, or Supplemental Facility, provide alternative sources of liquidity as our cash needs vary from time to time. Borrowing capacity under each of these facilities can be increased at our sole option as discussed further below.

            Our balance of cash and cash equivalents decreased $85.2 million during the first nine months of 2013 to $1.1 billion as of September 30, 2013 as further discussed under "Cash Flows" below.

            On September 30, 2013, we had an aggregate available borrowing capacity of $4.5 billion under the two credit facilities, net of outstanding borrowings of $1.4 billion and letters of credit of $45.0 million. For the nine months ended September 30, 2013, the maximum amount outstanding under the two credit facilities was $1.6 billion and the weighted

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average amount outstanding was $1.4 billion. The weighted average interest rate was 1.05% for the nine months ended September 30, 2013.

            We and the Operating Partnership have historically had access to public equity and long term unsecured debt markets and access to secured debt and private equity from institutional investors at the property level.

            Our business model and status as a REIT requires us to regularly access the debt markets to raise funds for acquisition, development and redevelopment activity, and to refinance maturing debt. We may also, from time to time, access the equity capital markets to accomplish our business objectives. We believe we have sufficient cash on hand and availability under the Credit Facility and the Supplemental Facility to address our debt maturities and capital needs through 2013.

Cash Flows

            Our net cash flow from operating activities and distributions of capital from unconsolidated entities for the nine months ended September 30, 2013 totaled $2.4 billion. In addition, we had net repayments from our debt financing and repayment activities of $361.3 million in 2013. These activities are further discussed below under "Financing and Debt." During the first nine months of 2013, we or the Operating Partnership also:

    funded the acquisition of an outlet center, an additional ownership interest in three community/lifestyle centers, deposits for the acquisition of an undeveloped land parcel and a long-term ground lease buyout, and an ownership interest in a European property management and development company and a related operating property for $308.6 million,

    received proceeds of $248.5 million from the disposition of two malls and five community/lifestyle centers,

    paid stockholder dividends and unitholder distributions totaling $1.3 billion,

    funded consolidated capital expenditures of $628.6 million (includes development and other costs of $43.5 million, redevelopment and expansion costs of $397.7 million, and tenant costs and other operational capital expenditures of $187.4 million), and

    funded investments in unconsolidated entities of $113.4 million and construction loans to joint ventures of $62.7 million.

            In general, we anticipate that cash generated from operations will be sufficient to meet operating expenses, monthly debt service, recurring capital expenditures, and dividends to stockholders necessary to maintain our REIT qualification on a long-term basis. In addition, we expect to be able to generate or obtain capital for nonrecurring capital expenditures, such as acquisitions, major building redevelopments and expansions, as well as for scheduled principal maturities on outstanding indebtedness, from:

    excess cash generated from operating performance and working capital reserves,

    borrowings on our credit facilities,

    additional secured or unsecured debt financing, or

    additional equity raised in the public or private markets.

            We expect to generate positive cash flow from operations in 2013, and we consider these projected cash flows in our sources and uses of cash. These cash flows are principally derived from rents paid by our retail tenants. A significant deterioration in projected cash flows from operations could cause us to increase our reliance on available funds from our credit facilities, curtail planned capital expenditures, or seek other additional sources of financing as discussed above.

Financing and Debt

    Unsecured Debt

            At September 30, 2013, our unsecured debt consisted of $12.9 billion of senior unsecured notes of the Operating Partnership, $1.2 billion outstanding under our $4.0 billion unsecured revolving credit facility, or Credit Facility, $227.6 million outstanding under our $2.0 billion supplemental unsecured revolving credit facility, or Supplemental Facility, and $240.0 million outstanding under an unsecured term loan. The entire balance on the Credit

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Facility at September 30, 2013 consisted of Euro-denominated borrowings and the entire balance on the Supplemental Facility on such date consisted of Yen-denominated borrowings, both of which are designated as net investment hedges of our international investments.

            On September 30, 2013, we had an aggregate available borrowing capacity of $4.5 billion under the two credit facilities. The maximum outstanding balance of the credit facilities during the nine months ended September 30, 2013 was $1.6 billion and the weighted average outstanding balance was $1.4 billion. Letters of credit of $45.0 million were outstanding under the two credit facilities as of September 30, 2013.

            The Credit Facility's initial borrowing capacity of $4.0 billion can be increased at our sole option to $5.0 billion during its term. The Credit Facility will initially mature on October 30, 2015 and can be extended for an additional year at our sole option. As of September 30, 2013, the base interest rate on the Credit Facility was LIBOR plus 95 basis points (reflects a five basis point reduction effective May 16, 2013) with an additional facility fee of 15 basis points. In addition, the Credit Facility provides for a money market competitive bid option program that allows us to hold auctions to achieve lower pricing for short-term borrowings. The Credit Facility also includes a $2.0 billion multi-currency tranche.

            The Supplemental Facility's borrowing capacity of $2.0 billion can be increased at our sole option to $2.5 billion during its term. The Supplemental Facility will initially mature on June 30, 2016 and can be extended for an additional year at our sole option. As of September 30, 2013, the base interest rate on the Supplemental Facility was LIBOR plus 95 basis points (reflects a five basis point reduction effective May 16, 2013) with an additional facility fee of 15 basis points. Like the Credit Facility, the Supplemental Facility provides for a money market competitive bid option program and allows for multi-currency borrowings.

            During the nine months ended September 30, 2013, we redeemed at par or repaid at maturity $504.5 million of senior unsecured notes with fixed rates ranging from 5.30% to 7.18% with cash on hand. In addition, we repaid a $240.0 million mortgage loan with the proceeds from a $240.0 million unsecured term loan. The term loan has a capacity of up to $300.0 million, bears interest at LIBOR plus 110 basis points and matures on February 28, 2016 with two available one-year extension options.

            On October 2, 2013, the Operating Partnership issued €750.0 million ($1.0 billion USD equivalent) of senior unsecured notes at a fixed interest rate of 2.375% with a maturity date of October 2, 2020. Proceeds from the unsecured notes offering were used to pay down a portion of Euro-denominated borrowings on the Credit Facility and the acquisition of various assets in the McArthurGlen transactions further discussed elsewhere in this report. These notes were designated as a net investment hedge of our Euro-denominated international investments.

    Mortgage Debt

            Total mortgage indebtedness was $8.1 billion and $8.0 billion at September 30, 2013 and December 31, 2012, respectively.

    Covenants

            Our unsecured debt agreements contain financial covenants and other non-financial covenants. If we were to fail to comply with these covenants, after the expiration of the applicable cure periods, the debt maturity could be accelerated or other remedies could be sought by the lender including adjustments to the applicable interest rate. As of September 30, 2013, we were in compliance with all covenants of our unsecured debt.

            At September 30, 2013, we or our subsidiaries are the borrowers under 79 non-recourse mortgage notes secured by mortgages on 79 properties, including seven separate pools of cross-defaulted and cross-collateralized mortgages encumbering a total of 27 properties. Under these cross-default provisions, a default under any mortgage included in the cross-defaulted pool may constitute a default under all mortgages within that pool and may lead to acceleration of the indebtedness due on each property within the pool. Certain of our secured debt instruments contain financial and other non-financial covenants which are specific to the properties which serve as collateral for that debt. If the borrower fails to comply with these covenants, the lender could accelerate the debt and enforce its right against their collateral. At September 30, 2013, the applicable borrowers under these non-recourse mortgage notes were in compliance with all covenants where non-compliance could individually, or giving effect to applicable cross-default provisions in the aggregate, have a material adverse effect on our financial condition, results of operations or cash flows.

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    Summary of Financing

            Our consolidated debt, adjusted to reflect outstanding derivative instruments, and the effective weighted average interest rates as of September 30, 2013 and December 31, 2012, consisted of the following (dollars in thousands):

Debt Subject to
  Adjusted Balance
as of
September 30, 2013
  Effective
Weighted Average
Interest Rate
  Adjusted Balance
as of
December 31, 2012
  Effective
Weighted Average
Interest Rate
 

Fixed Rate

  $ 20,697,484     5.28 % $ 21,077,358     5.33 %

Variable Rate

    2,032,170     1.15 %   2,035,649     1.40 %
                   

  $ 22,729,654     4.91 % $ 23,113,007     4.99 %
                       

    Contractual Obligations

            There have been no material changes to our outstanding capital expenditure and lease commitments previously disclosed in our 2012 Annual Report on Form 10-K.

            In regards to long-term debt arrangements, the following table summarizes the material aspects of these future obligations on our consolidated indebtedness as of September 30, 2013, for the remainder of 2013 and subsequent years thereafter (dollars in thousands) assuming the obligations remain outstanding through initial maturities:

 
  2013   2014-2015   2016-2017   After 2017   Total  

Long Term Debt(1)

  $ 18,838   $ 4,057,573   $ 8,870,457   $ 9,746,151   $ 22,693,019  

Interest Payments(2)

  $ 278,741   $ 1,958,691   $ 1,282,333   $ 2,577,542   $ 6,097,307  

(1)
Represents principal maturities only and therefore, excludes net premiums of $36,635.

(2)
Variable rate interest payments are estimated based on the LIBOR rate at September 30, 2013.

    Off-Balance Sheet Arrangements

            Our off-balance sheet arrangements consist primarily of our investments in joint ventures which are common in the real estate industry and are described in Note 5 of the condensed notes to consolidated financial statements. Our joint ventures typically fund their cash needs through secured debt financings obtained by and in the name of the joint venture entity. The joint venture debt is secured by a first mortgage, is without recourse to the joint venture partners, and does not represent a liability of the partners, except to the extent the partners or their affiliates expressly guarantee the joint venture debt. As of September 30, 2013, the Operating Partnership had guaranteed $179.2 million of joint venture related mortgage indebtedness (of which we have a right of recovery from our venture partners of $81.1 million). Mortgages guaranteed by us are secured by the property of the joint venture which could be sold in order to satisfy the outstanding obligation and which has an estimated fair value in excess of the guaranteed amount. We may elect to fund cash needs of a joint venture through equity contributions (generally on a basis proportionate to our ownership interests), advances or partner loans, although such fundings are not typically required contractually or otherwise.

Acquisitions and Dispositions

            Buy-sell, marketing rights, and other exit mechanisms are common in real estate partnership agreements. Most of our partners are institutional investors who have a history of direct investment in retail real estate. We and our partners in our joint venture properties may initiate these provisions (subject to any applicable lock up or similar restrictions). If we determine it is in our stockholders' best interests for us to purchase the joint venture interest and we have adequate liquidity to execute the purchase without hindering our cash flows, then we may initiate these provisions or elect to buy our partner's interest. If we decide to sell any of our joint venture interests, we expect to use the net proceeds to reduce outstanding indebtedness or to reinvest in development, redevelopment, or expansion opportunities.

            Acquisitions.    During the second quarter of 2013, we signed a definitive agreement to form one or more joint ventures to invest in certain existing designer outlets, development projects, and the property management and

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development companies of McArthurGlen, an owner, developer and manager of designer outlets in Europe. As of September 30, 2013, we had made equity investments and advances and funded our share of development costs of approximately $73.9 million, which included the acquisition of a noncontrolling 50% ownership interest in the property management and development companies, a 45% ownership interest in a development project, and a 22.5% interest in Ashford Designer Outlets in Kent, UK. On October 16, 2013, we completed the transactions contemplated by our previously announced definitive agreement by acquiring interests in four existing McArthurGlen outlets — Parndorf (Vienna, Austria), La Reggia (Naples, Italy), Noventa di Piave (Venice, Italy) and Roermond (Roermond, the Netherlands) for cash consideration of €327.5 million ($444.1 million USD equivalent). Our noncontrolling ownership interests in these four centers range from 60% to 90%.

            On May 30, 2013 we acquired a 100% interest in a 390,000 square foot outlet center located near Portland, Oregon for cash consideration of $146.7 million.

            On December 31, 2012, we formed a joint venture with Institutional Mall Investors, or IMI, to own and operate The Shops at Mission Viejo in the Los Angeles suburb of Mission Viejo, California, and Woodfield Mall in the Chicago suburb of Schaumburg, Illinois. As of December 31, 2012, we and IMI each own a noncontrolling 50% interest in Woodfield Mall and we own a noncontrolling 51% interest in The Shops at Mission Viejo and IMI owns the remaining 49%. Prior to the formation of the joint venture, we owned 100% of The Shops at Mission Viejo and IMI owned 100% of Woodfield Mall. No gain was recorded as the transaction was recorded based on the carryover basis of our previous investment. Woodfield Mall is encumbered by a $425 million mortgage loan which matures in March of 2024 and bears interest at 4.5%. In January 2013, the joint venture closed a $295 million mortgage on the Shops at Mission Viejo which bears interest at 3.61% and matures in February of 2023. The proceeds from the financing were distributed to the venture partners and, as a result, we received a distribution of $149.7 million.

            On December 4, 2012, we acquired the remaining 50% noncontrolling equity interests in two previously consolidated outlet properties located in Grand Prairie, Texas, and Livermore, California, and, accordingly, we now own 100% of these properties. We paid consideration of $260.9 million for the additional interest in the properties, 90% of which was paid in cash and 10% of which was satisfied through the issuance of units of the Operating Partnership. In addition, the construction loans we had provided to the properties totaling $162.5 million were extinguished on a non-cash basis. The transaction was accounted for as an equity transaction, as the properties had been previously consolidated.

            On June 4, 2012, we acquired a 50% interest in a 465,000 square foot outlet center located in Destin, Florida for $70.5 million.

            On March 22, 2012, we acquired, through an acquisition of substantially all of the assets of TMLP, additional interests in 26 properties. The transaction resulted in additional interests in 16 of the properties which remain unconsolidated, the consolidation of nine previously unconsolidated properties and the purchase of the remaining noncontrolling interest in a previously consolidated property. The transaction was valued at $1.5 billion, which included repayment of the remaining $562.1 million balance on TMLP's senior loan facility and retirement of $100.0 million of TMLP's trust preferred securities. In connection with the transaction, our $558.4 million loan to SPG-FCM was extinguished on a non-cash basis. We consolidated $2.6 billion in additional property-level mortgage debt in connection with this transaction. The transaction resulted in a remeasurement of our previously held interest in each of these nine newly consolidated properties to fair value and the recognition of a corresponding non-cash gain of approximately $488.7 million.

            On March 14, 2012, we acquired a 28.7% equity stake in Klépierre for approximately $2.0 billion. On May 21, 2012, Klépierre paid a dividend, which we elected to receive in additional shares, increasing our ownership to approximately 28.9%.

            On January 6, 2012, we paid $50.0 million to acquire an additional interest in Del Amo Fashion Center, thereby increasing our interest to 50%.

            Dispositions.    We continue to pursue the disposition of properties that no longer meet our strategic criteria or that are not a primary retail venue within their trade area.

            During the first nine months of 2013, we increased our economic interest in three unconsolidated community centers and subsequently disposed of our interests in those properties. Additionally, we disposed of our interests in four consolidated retail properties and two unconsolidated retail properties. The aggregate gain recognized on these transactions was approximately $72.6 million. Also, during the third quarter of 2013, we disposed of our interest in an

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office property located in the Boston, Massachusetts area. The gain on the sale was $7.9 million which is included in other income in the consolidated statements of operations and comprehensive income.

Development Activity

            New Domestic Development.    During the third quarter of 2013, we began construction on Charlotte Premium Outlets, a 400,000 square foot project located in Charlotte, North Carolina. We own a 50% noncontrolling interest in this project, which is a joint venture with Tanger Factory Outlet Centers, Inc. The center is expected to open in July of 2014. Our estimated share of the cost of this project is $46.0 million.

            In addition, during the third quarter we began construction on Twin Cities Premium Outlets, a 410,000 square foot project located in Eagan, Minnesota. We own a 35% noncontrolling interest in this project. The center is expected to open in August of 2014. Our estimated share of the cost of this project is $38.0 million.

            On August 22, 2013, we opened St. Louis Premium Outlets, a 350,000 square foot upscale outlet center located in Chesterfield, Missouri. We own a 60% noncontrolling interest in this project, which is a joint venture with Woodmont Outlets. Our share of the cost of this new center was approximately $50.0 million. The center was 100% leased at opening.

            On April 4, 2013, we opened Phoenix Premium Outlets in Chandler, Arizona, a 360,000 square foot upscale outlet center. The cost of this new center, in which we have a 100% interest, was approximately $70.0 million. The center was 100% leased at opening.

            Domestic Expansions and Redevelopments.    We routinely incur costs related to construction for significant redevelopment and expansion projects at our properties. We also have reinstituted redevelopment and expansion initiatives which we had previously reduced given the downturn in the economy. Redevelopment and expansion projects, including the addition of anchors and big box tenants, are underway at more than 35 properties in the U.S.

            We expect our share of development costs for 2013 related to new development, redevelopment or expansion initiatives to be approximately $1.1 billion. We expect to fund these capital projects with cash flows from operations. Our estimated stabilized return on invested capital typically ranges between 10-12% for all of our new development, expansion and redevelopment projects.

            International Development Activity.    We typically reinvest net cash flow from our international joint ventures to fund future international development activity. We believe this strategy mitigates some of the risk of our initial investment and our exposure to changes in foreign currencies. We have also funded most of our foreign investments with local currency-denominated borrowings that act as a natural hedge against fluctuations in exchange rates. Our consolidated net income exposure to changes in the volatility of the Euro, Yen, Won, and other foreign currencies is not material. We expect our share of international development costs for 2013 will be approximately $114.0 million, primarily funded through reinvested joint venture cash flow and construction loans.

            The following table describes these new development and expansion projects as well as our share of the estimated total cost as of September 30, 2013 (in millions):

Property
  Location   Gross
Leasable
Area
(sqft)
  Our
Ownership
Percentage
  Our Share
of Projected Net
Cost (in
Local Currency)
  Our Share
of Projected
Net Cost
(in USD)
  Projected Opening
Date

New Development Projects:

                                   

Shisui Premium Outlets

  Shisui (Chiba), Japan     235,000     40 % JPY     3,753   $ 38.1   Opened Apr. - 2013

Toronto Premium Outlets

  Halton Hills (Ontario), Canada     360,000     50 % CAD     79.8   $ 77.4   Opened Aug. - 2013

Busan Premium Outlets

  Busan, South Korea     360,000     50 % KRW     83,919   $ 78.0   Opened Aug. - 2013

Montreal Premium Outlets

  Montreal (Quebec), Canada     360,000     50 % CAD     73.9   $ 71.6   Oct. - 2014

Vancouver Designer Outlets

  Vancouver (British Columbia), Canada     215,000     45 % CAD     68.7   $ 66.7   Mar. - 2015

Expansions:

                                   

Paju Premium Outlets Phase 2

  Gyeonggi Province, South Korea     100,000     50 % KRW     19,631   $ 17.1   Opened May - 2013

Johor Premium Outlets Phase 2

  Johor, Malaysia     90,000     50 % MYR     24.1   $ 7.4   Nov. - 2013

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Dividends

            We paid a common stock dividend of $1.15 per share in the third quarter of 2013. In October, our Board of Directors declared a cash dividend of $1.20 per share of common stock payable on November 29, 2013 to stockholders of record on November 15, 2013. We must pay a minimum amount of dividends to maintain our status as a REIT. Our dividends typically exceed our net income generated in any given year primarily because of depreciation, which is a non-cash expense. Our future dividends and future distributions of the Operating Partnership will be determined by the Board of Directors based on actual results of operations, cash available for dividends and limited partner distributions, cash reserves as deemed necessary for capital and operating expenditures, and the amount required to maintain our status as a REIT.

Forward-Looking Statements

            Certain statements made in this section or elsewhere in this report may be deemed "forward-looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995. Although we believe the expectations reflected in any forward-looking statements are based on reasonable assumptions, we can give no assurance that our expectations will be attained, and it is possible that our actual results may differ materially from those indicated by these forward-looking statements due to a variety of risks and uncertainties. Such factors include, but are not limited to: our ability to meet debt service requirements, the availability of financing, changes in our credit rating, changes in market rates of interest and foreign exchange rates for foreign currencies, the ability to hedge interest rate risk, risks associated with the acquisition, development and expansion of properties, general risks related to retail real estate, the liquidity of real estate investments, environmental liabilities, international, national, regional and local economic climates, changes in market rental rates, trends in the retail industry, relationships with anchor tenants, the inability to collect rent due to the bankruptcy or insolvency of tenants or otherwise, risks relating to joint venture properties, intensely competitive market environment in the retail industry, costs of common area maintenance, risks related to international activities, insurance costs and coverage, terrorist activities, changes in economic and market conditions and maintenance of our status as a real estate investment trust. We discussed these and other risks and uncertainties under the heading "Risk Factors" in our most recent Annual Report on Form 10-K. We may update that discussion in subsequent Quarterly Reports on Form 10-Q, but otherwise we undertake no duty or obligation to update or revise these forward-looking statements, whether as a result of new information, future developments, or otherwise.

Non-GAAP Financial Measures

            Industry practice is to evaluate real estate properties in part based on performance measures such as FFO, diluted FFO per share, NOI and comparable property NOI. We believe that these non-GAAP measures are helpful to investors because they are widely recognized measures of the performance of REITs and provide a relevant basis for comparison among REITs. We also use these measures internally to measure the operating performance of our portfolio.

            We determine FFO based on the definition set forth by the National Association of Real Estate Investment Trusts, or NAREIT, as consolidated net income computed in accordance with GAAP:

    excluding real estate related depreciation and amortization,

    excluding gains and losses from extraordinary items and cumulative effects of accounting changes,

    excluding gains and losses from the sales or disposals of previously depreciated retail operating properties,

    excluding impairment charges of depreciable real estate,

    plus the allocable portion of FFO of unconsolidated entities accounted for under the equity method of accounting based upon economic ownership interest, and

    all determined on a consistent basis in accordance with GAAP.

            We have adopted NAREIT's clarification of the definition of FFO that requires us to include the effects of nonrecurring items not classified as extraordinary, cumulative effect of accounting changes, or a gain or loss resulting from the sale of, or any impairment charges related to, previously depreciated retail operating properties.

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            We include in FFO gains and losses realized from the sale of land, outlot buildings, marketable and non-marketable securities, and investment holdings of non-retail real estate.

            You should understand that our computations of these non-GAAP measures might not be comparable to similar measures reported by other REITs and that these non-GAAP measures:

    do not represent cash flow from operations as defined by GAAP,

    should not be considered as alternatives to consolidated net income determined in accordance with GAAP as a measure of operating performance, and

    are not alternatives to cash flows as a measure of liquidity.

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            The following schedule reconciles total FFO to consolidated net income and diluted net income per share to diluted FFO per share.

 
  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

(in thousands)

                         

Funds from Operations

  $ 802,750   $ 720,052   $ 2,310,931   $ 2,057,474  
                   

Increase in FFO from prior period

    11.5%     18.8%     12.3%     16.9%  
                   

Consolidated Net Income

  $ 367,293   $ 306,371   $ 1,102,287   $ 1,349,136  

Adjustments to Arrive at FFO:

                         

Depreciation and amortization from consolidated properties

    321,962     306,612     949,169     896,147  

Our share of depreciation and amortization from unconsolidated entities, including Klépierre

    130,055     110,188     376,432     321,318  

(Gain) loss upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net

    (11,071)     2,911     (99,906)     (491,926)  

Net income attributable to noncontrolling interest holders in properties

    (1,958)     (2,464)     (6,517)     (6,427)  

Noncontrolling interests portion of depreciation and amortization

    (2,218)     (2,253)     (6,595)     (6,835)  

Preferred distributions and dividends

    (1,313)     (1,313)     (3,939)     (3,939)  
                   

FFO of the Operating Partnership

  $ 802,750   $ 720,052   $ 2,310,931   $ 2,057,474  

FFO allocable to limited partners

    115,440     116,207     332,474     342,704  
                   

Dilutive FFO Allocable to Simon Property

  $ 687,310   $ 603,845   $ 1,978,457   $ 1,714,770  
                   

Diluted net income per share to diluted FFO per share reconciliation:

                         

Diluted net income per share

  $ 1.00   $ 0.84   $ 3.01   $ 3.71  

Depreciation and amortization from consolidated properties and our share of depreciation and amortization from unconsolidated entities, including Klépierre, net of noncontrolling interests portion of depreciation and amortization

    1.24     1.14     3.65     3.35  

(Gain) loss upon acquisition of controlling interest, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net          

    (0.03)     0.01     (0.28)     (1.36)  
                   

Diluted FFO per share

  $ 2.21   $ 1.99   $ 6.38   $ 5.70  
                   

Basic weighted average shares outstanding

    310,333     304,108     310,195     301,029  

Adjustments for diluation calculation:

                         

Effect of stock options

        1         1  
                   

Diluted weighted average shares outstanding

    310,333     304,109     310,195     301,030  

Weighted average limited partnership units outstanding

    52,122     58,524     52,127     60,162  
                   

Diluted weighted average shares and units outstanding

    362,455     362,633     362,322     361,192  
                   

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            The following schedule reconciles consolidated net income to NOI and sets forth the computations of comparable property NOI.

 
  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

(in thousands)

                         

Reconciliation of NOI of consolidated properties:

                         

Consolidated Net Income

  $ 367,293   $ 306,371   $ 1,102,287   $ 1,349,136  

Income and other taxes

    7,768     3,904     29,943     9,872  

Interest expense

    284,491     288,896     849,482     835,532  

Income from unconsolidated entities

    (47,916)     (37,129)     (158,663)     (96,613)  

(Gain) loss upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net

    (11,071)     2,911     (99,906)     (491,926)  
                   

Operating Income

    600,565     564,953     1,723,143     1,606,001  

Depreciation and amortization

    326,073     310,244     961,344     907,217  
                   

NOI of consolidated properties

  $ 926,638   $ 875,197   $ 2,684,487   $ 2,513,218  
                   

Reconciliation of NOI of unconsolidated entities:

                         

Net Income

  $ 158,299   $ 111,085   $ 474,176   $ 300,836  

Interest expense

    151,579     148,891     453,573     451,581  

(Gain) loss from operations of discontinued joint venture interests

    (7)     1,978     339     20,769  

(Gain) loss on disposal of discontinued operations, net

    (6,580)     4,904     (24,936)     4,904  
                   

Operating Income

    303,291     266,858     903,152     778,090  

Depreciation and amortization

    135,457     125,828     389,843     375,280  
                   

NOI of unconsolidated entities

  $ 438,748   $ 392,686   $ 1,292,995   $ 1,153,370  
                   

Total consolidated and unconsolidated NOI from continuing operations

  $ 1,365,386   $ 1,267,883   $ 3,977,482   $ 3,666,588  
                   

Adjustments to NOI:

                         

NOI of discontinued unconsolidated properties

    7     5,711     (339)     63,801  
                   

Total NOI of our portfolio

  $ 1,365,393   $ 1,273,594   $ 3,977,143   $ 3,730,389  
                   

Change in NOI from prior period

    7.2%     2.6%     6.6%     2.0%  

Add: Our share of NOI from Klépierre

    66,939     49,784     208,820     114,340  

Less: Joint venture partners' share of NOI

    237,045     221,930     702,241     685,114  
                   

Our share of NOI

  $ 1,195,287   $ 1,101,448   $ 3,483,722   $ 3,159,615  
                   

Increase in our share of NOI from prior period

    8.5%     16.7%     10.3%     14.1%  

Total NOI of our portfolio

  $ 1,365,393   $ 1,273,594   $ 3,977,143   $ 3,730,389  

NOI from non comparable properties(1)

    332,750     289,060     937,025     840,578  
                   

Total NOI of comparable properties(2)

  $ 1,032,643   $ 984,534   $ 3,040,118   $ 2,889,811  
                   

Increase in NOI of U.S. Malls and Premium Outlets that are comparable properties

    4.9%           5.2%        
                       

(1)
NOI from non comparable properties includes the Mills, community/lifestyle centers, international properties, other retail properties, The Mills Limited Partnership properties, any of our non-retail holdings and results of our corporate and management company operations, NOI of U.S. Malls and Premium Outlets not owned and operated in both periods under comparison and excluded income noted in footnote 2 below.

(2)
Comparable properties are U.S. malls and Premium Outlets that were owned in both of the periods under comparison. Excludes lease termination income, interest income, land sale gains and the impact of significant redevelopment activities.

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Table of Contents

Item 3.    Quantitative and Qualitative Disclosures About Market Risk

            Sensitivity Analysis.    We disclosed a quantitative and qualitative analysis regarding market risk in the Management's Discussion and Analysis of Financial Condition and Results of Operations included in our 2012 Annual Report on Form 10-K. There have been no material changes in the assumptions used or results obtained regarding market risk since December 31, 2012.

Item 4.    Controls and Procedures

            Evaluation of Disclosure Controls and Procedures.    We maintain disclosure controls and procedures (as defined in Rules 13a-15(e) under the Securities Exchange Act of 1934 (the "Exchange Act")) that are designed to provide reasonable assurance that information required to be disclosed in the reports that we file or submit under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the SEC's rules and forms, and that such information is accumulated and communicated to our management, including our Chief Executive Officer and Chief Financial Officer, as appropriate to allow timely decisions regarding required disclosures. Because of inherent limitations, disclosure controls and procedures, no matter how well designed and operated, can provide only reasonable, and not absolute, assurance that the objectives of disclosure controls and procedures are met.

            Our management, with the participation of our Chief Executive Officer and Chief Financial Officer, evaluated the effectiveness of the design and operation of our disclosure controls and procedures. Based on that evaluation, our Chief Executive Officer and Chief Financial Officer concluded that, as of the end of the period covered by this report, our disclosure controls and procedures are effective at a reasonable assurance level.

            Changes in Internal Control Over Financial Reporting.    There have not been any changes in our internal control over financial reporting (as defined in Rule 13a-15(f)) that occurred during the quarter ended September 30, 2013 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

37


Table of Contents

Part II — Other Information

Item 1.    Legal Proceedings

            We are involved from time-to-time in various legal proceedings that arise in the ordinary course of our business, including, but not limited to commercial disputes, environmental matters, and litigation in connection with transactions including acquisitions and divestitures. We believe that such litigation, claims, and administrative proceedings will not have a material adverse impact on our financial position or our results of operations. We record a liability when a loss is considered probable, and the amount can be reasonably estimated.

Item 1A.    Risk Factors

            Through the period covered by this report, there were no material changes to the Risk Factors disclosed under Item 1A: Risk Factors in Part I of our 2012 Annual Report on Form 10-K.

Item 2.    Unregistered Sales of Equity Securities and Use of Proceeds

            During the quarter ended September 30, 2013, we issued 3,192 shares of common stock to a limited partner of the Operating Partnership in exchange for an equal number of units. The issuance of the shares of common stock was made pursuant to the partnership agreement of the Operating Partnership and was exempt from registration pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.

            There were no reportable purchases of equity securities during the quarter ended September 30, 2013.

Item 3.    Defaults Upon Senior Securities

            Not applicable.

Item 4.    Mine Safety Disclosures

            Not applicable.

Item 5.    Other Information

            During the quarter covered by this report, the Audit Committee of Simon Property Group, Inc.'s Board of Directors approved certain audit, audit-related, tax compliance and tax consulting services to be provided by Ernst & Young LLP, our independent registered public accounting firm. This disclosure is made pursuant to Section 10A(i)(2) of the Securities Exchange Act of 1934, as added by Section 202 of the Sarbanes-Oxley Act of 2002.

38


Table of Contents

Item 6.    Exhibits

Exhibit
Number
  Exhibit Descriptions
  31.1   Certification by the Chief Executive Officer pursuant to rule 13a-14(a)/15d-14(a) of the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

 

31.2

 

Certification by the Chief Financial Officer pursuant to rule 13a-14(a)/15d-14(a) of the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.

 

32

 

Certification by the Chief Executive Officer and Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.

 

101.INS

 

XBRL Instance Document

 

101.SCH

 

XBRL Taxonomy Extension Schema Document

 

101.CAL

 

XBRL Taxonomy Extension Calculation Linkbase Document

 

101.LAB

 

XBRL Taxonomy Extension Label Linkbase Document

 

101.PRE

 

XBRL Taxonomy Extension Presentation Linkbase Document

 

101.DEF

 

XBRL Taxonomy Extension Definition Linkbase Document

39


Table of Contents


SIGNATURES

            Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

    SIMON PROPERTY GROUP, INC.

 

 

/s/ STEPHEN E. STERRETT

Stephen E. Sterrett
Senior Executive Vice President and
Chief Financial Officer

 

 

Date: November 6, 2013

40



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EXHIBIT 31.1

CERTIFICATION PURSUANT TO
RULE 13a-14(a)/15d-14(a)
OF THE SECURITIES EXCHANGE ACT OF 1934,
AS ADOPTED PURSUANT TO
SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, David Simon, certify that:

1.
I have reviewed this quarterly report on Form 10-Q of Simon Property Group, Inc.;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act rules 13a-15(f) and 15d-15(f)) for the registrant and have:

    (a)
    Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

    (b)
    Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

    (c)
    Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

    (d)
    Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5.
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of registrant's board of directors (or persons performing the equivalent functions):

    (a)
    All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

    (b)
    Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: November 6, 2013

    /s/ DAVID SIMON

David Simon
Chairman of the Board of Directors and
Chief Executive Officer



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CERTIFICATION PURSUANT TO RULE 13a-14(a)/15d-14(a) OF THE SECURITIES EXCHANGE ACT OF 1934, AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
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EXHIBIT 31.2

CERTIFICATION PURSUANT TO
RULE 13a-14(a)/15d-14(a)
OF THE SECURITIES EXCHANGE ACT OF 1934,
AS ADOPTED PURSUANT TO
SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, Stephen E. Sterrett, certify that:

1.
I have reviewed this quarterly report on Form 10-Q of Simon Property Group, Inc.;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act rules 13a-15(f) and 15d-15(f)) for the registrant and have:

    (a)
    Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

    (b)
    Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

    (c)
    Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

    (d)
    Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5.
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of registrant's board of directors (or persons performing the equivalent functions):

    (a)
    All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

    (b)
    Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: November 6, 2013

    /s/ STEPHEN E. STERRETT

Stephen E. Sterrett
Senior Executive Vice President and
Chief Financial Officer



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CERTIFICATION PURSUANT TO RULE 13a-14(a)/15d-14(a) OF THE SECURITIES EXCHANGE ACT OF 1934, AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
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EXHIBIT 32

CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

            In connection with the Quarterly Report of Simon Property Group, Inc. (the "Company") on Form 10-Q for the period ended September 30, 2013 as filed with the Securities and Exchange Commission on the date hereof (the "Report"), each of the undersigned certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

(1)
The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

/s/ DAVID SIMON

David Simon
Chairman of the Board of Directors and
Chief Executive Officer
   

Date: November 6, 2013

 

 

/s/ STEPHEN E. STERRETT

Stephen E. Sterrett
Senior Executive Vice President and
Chief Financial Officer

 

 

Date: November 6, 2013

 

 



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CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350, AS ADOPTED PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
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We estimate the fair values of consolidated fixed-rate unsecured notes using quoted market prices, or, if no quoted market prices are available, we use quoted market prices for securities with similar terms and maturities. The book value of our consolidated fixed-rate mortgages and unsecured indebtedness was $20.7&#160;billion and $21.0&#160;billion as of September&#160;30, 2013 and December&#160;31, 2012, respectively. 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These awards are all performance based and are based on various corporate and business unit performance measures as further described below. 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Awards under the LTIP programs take the form of LTIP units, a form of limited partnership interest issued by the Operating Partnership, and will be considered earned if, and only to the extent to which, applicable total shareholder return, or TSR, performance measures are achieved during the performance period. Once earned, LTIP units will become the equivalent of units only after a two year service-based vesting period, beginning after the end of the performance period. Awarded LTIP units not earned are forfeited. During the performance period, participants are entitled to receive on the LTIP units awarded to them distributions equal to 10% of the regular quarterly distributions paid on a unit of the Operating Partnership. As a result, we account for these LTIP units as participating securities under the two-class method of computing earnings per share. 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In the first quarter of 2013, the Compensation Committee determined the extent to which the performance measures had been achieved and 489,654 LTIP units were earned under the three-year 2010 LTIP program and, pursuant to the award agreements entered into with program participants, the earned LTIP units will vest in two equal installments in 2014 and 2015, subject to the conditions described in those agreements.</font></p> <p style="TEXT-ALIGN: justify; FONT-FAMILY: times;"><font size="2">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;During July 2011, the Compensation Committee approved a new three-year long-term performance based incentive compensation program, or the 2011-2013 LTIP program, and awarded LTIP units to certain senior executive officers. 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Carrying value of fixed-rate mortgages and unsecured indebtedness The carrying value of the amount of fixed rate debt outstanding at the balance sheet date. Fixed Rate Debt Number of Voting Trusts Number of voting trusts Represents the number of voting trusts as to which Herbert Simon and David Simon are the trustees. Minimum Number of Classes or Series of Stock Authorized to be Reclassified by Board Minimum number of additional classes or series of common stock that the Board is authorized to reclassify from excess common stock Represents the minimum number of additional classes and series of excess capital stock that the Board of Directors is authorized to reclassify. Other Marketable Securities and Cost Method Investments Other marketable and non-marketable securities Represents the aggregate carrying amount of all cost-method investments as reported on or included in the balance sheet and other marketable securities which are not separately disclosed or provided for elsewhere in the taxonomy. Euro Euro Member Countries, Euro Represents the purchase of noncontrolling interests, noncontrolling interests in newly consolidated properties and other movements included in the statement of changes in stockholders' equity, which are not separately disclosed or provided for elsewhere in the taxonomy. Purchase of Noncontrolling Interests and Noncontrolling Interests in Newly Consolidated Properties and Other Purchase of noncontrolling interests, noncontrolling interests in newly consolidated properties and other Notional Amount Derivative, Notional Amount Number of Votes Per Common Share Held Number of votes entitled to holders of common stock for each share held Represents the number of votes to which the holders of common stock are entitled for each share held. Limited partners units, exchange ratio Represents the number of shares into which each unit held by the limited partner in the operating partnership may be exchanged upon exercise of right. Partners Capital Account Units Exchange Ratio Entity [Domain] Structure Represents the period of time over which the entity allocates the initial cost of its land and building to structure. Structure [Member] Landscaping and Parking Lot [Member] Landscaping and parking lot Represents the period of time over which the entity allocates the initial cost of its land and building to landscaping and parking. HVAC Equipment [Member] HVAC equipment Represents the period of time over which the entity allocates the initial cost of its land and building to HAVC equipment. The period, from the date of acquisition, that the purchase price allocation is subject to revision within the measurement period. Maximum Purchase Price Allocation Revision Period from Acquisition Date Maximum purchase price revision period from acquisition date Anderson Mall, Anderson, SC [Member] Anderson Mall, Anderson, SC Represents information pertaining to Anderson Mall located at Anderson, SC. Malls Previous unconsolidated mall Malls [Member] Represents Malls. Dissolved Joint Venture Partnership Dissolved Joint Venture Partnership [Member] Represents the dissolution of the joint venture partnership. Premium Outlet Centers [Member] Premium Outlet centers. Premium Outlets Premium Outlet operations Grand Prairie Texas and Livermore California Outlets [Member] Represents the acquisition of previously consolidated outlet properties located in Grand Prairie, Texas and Livermore, California. Grand Prairie, Texas and Livermore California outlets Houston Galleria Texas [Member] Represents the acquisition of Houston Galleria, located in Houston, Texas. Houston Galleria Bangor Mall, Bangor, ME [Member] Bangor Mall, Bangor, ME Represents information pertaining to Bangor Mall located at Bangor, ME. Community/Lifestyle Centers Community Lifestyle Centers [Member] Community Centers Community lifestyle centers. Barton Creek Square, Austin, TX [Member] Barton Creek Square, Austin, TX Represents information pertaining to Barton Creek Square located at Austin, TX. Other Properties Other Properties [Member] Other properties. Battlefield Mall, Springfield, MO [Member] Battlefield Mall, Springfield, MO Represents information pertaining to Battlefield Mall located at Springfield, MO. Development Projects [Member] Development Projects Development projects. Bay Park Square, Green Bay, WI [Member] Bay Park Square, Green Bay, WI Represents information pertaining to Bay Park Square located at Green Bay, WI. Bowie Town Center, Bowie, MD [Member] Bowie Town Center, Bowie (Washington, D.C.), MD Represents information pertaining to Bowie Town Center located at Bowie (Washington, D.C.), MD. Boynton Beach Mall, Boynton Beach, FL [Member] Boynton Beach Mall, Boynton Beach (Miami), FL Represents information pertaining to Boynton Beach Mall located at Boynton Beach (Miami), FL. Brea Mall, Brea, CA [Member] Brea Mall, Brea (Los Angeles), CA Represents information pertaining to Brea Mall located at Brea (Los Angeles), CA. Broadway Square, Tyler, TX [Member] Broadway Square, Tyler, TX Represents information pertaining to Broadway Square located at Tyler, TX. Brunswick Square, East Brunswick, NJ [Member] Brunswick Square, East Brunswick (New York), NJ Represents information pertaining to Brunswick Square located at East Brunswick (New York), NJ. Burlington Mall, Burlington, MA [Member] Burlington Mall, Burlington (Boston), MA Represents information pertaining to Burlington Mall located at Burlington (Boston), MA. Castleton Square, Indianapolis, IN [Member] Castleton Square, Indianapolis, IN Represents information pertaining to Castleton Square located at Indianapolis, IN. Yen Japan, Yen Charlottesville Fashion Square, Charlottesville, VA [Member] Charlottesville Fashion Square, Charlottesville, VA Represents information pertaining to Charlottesville Fashion Square located at Charlottesville, VA. Chautauqua Mall, Lakewood, NY [Member] Chautauqua Mall, Lakewood, NY Represents information pertaining to Chautauqua Mall located at Lakewood, NY. Chesapeake Square, Chesapeake, VA [Member] Chesapeake Square, Chesapeake (Virginia Beach), VA Represents information pertaining to Chesapeake Square located at Chesapeake (Virginia Beach), VA. Cielo Vista Mall, El Paso, TX [Member] Cielo Vista Mall, El Paso, TX Represents information pertaining to Cielo Vista Mall located at El Paso, TX. College Mall, Bloomington, IN [Member] College Mall, Bloomington, IN Represents information pertaining to College Mall located at Bloomington, IN. Columbia Center, Kennewick, WA [Member] Columbia Center, Kennewick, WA Represents information pertaining to Columbia Center located at Kennewick, WA. Copley Place, Boston, MA [Member] Copley Place, Boston, MA Represents information pertaining to Copley Place located at Boston, MA. Coral Square, Coral Springs, FL [Member] Coral Square, Coral Springs (Miami), FL Represents information pertaining to Coral Square located at Coral Springs (Miami), FL. Cordova Mall, Pensacola, FL [Member] Cordova Mall, Pensacola, FL Represents information pertaining to Cordova Mall located at Pensacola, FL. Cottonwood Mall, Albuquerque, NM [Member] Cottonwood Mall, Albuquerque, NM Represents information pertaining to Cottonwood Mall located at Albuquerque, NM. Domain, The Austin, TX [Member] Domain, The, Austin, TX The Domain, Austin, TX Represents information pertaining to The Domain located at Austin, TX. Destin, Florida [Member] Represents the information pertaining to Destin, Florida as a location. Destin, Florida Edison Mall, Fort Myers, FL [Member] Edison Mall, Fort Myers, FL Represents information pertaining to Edison Mall located at Fort Myers, FL. Fashion Mallat Keystone, The Indianapolis, IN [Member] Fashion Mall at Keystone, The, Indianapolis, IN Represents information pertaining to Fashion Mall at Keystone, The located at Indianapolis, IN. Available for sale securities Available-for-sale Securities [Member] Firewheel Town Center, Garland, TX [Member] Firewheel Town Center, Garland (Dallas), TX Represents information pertaining to Firewheel Town Center located at Garland (Dallas), TX. Represents information pertaining to Forest Mall located at Fond Du Lac, WI. Forest Mall, Fond DuLac, WI [Member] Forest Mall, Fond Du Lac, WI Forum Shops at Caesars, The Las Vegas, NV [Member] Forum Shops at Caesars, The, Las Vegas, NV Represents information pertaining to Forum Shops at Caesars, The located at Las Vegas, NV. Great Lakes Mall, Mentor (Cleveland), OH Represents information pertaining to Great Lakes Mall located at Mentor (Cleveland), OH. Great Lakes Mall, Mentor, OH [Member] Greenwood Park Mall, Greenwood, IN [Member] Greenwood Park Mall, Greenwood (Indianapolis), IN Represents information pertaining to Greenwood Park Mall located at Greenwood (Indianapolis), IN. Gulf View Square, Port Richey, FL [Member] Gulf View Square, Port Richey (Tampa), FL Represents information pertaining to Gulf View Square located at Port Richey (Tampa), FL. Entity Well-known Seasoned Issuer Gwinnett Place, Duluth, GA [Member] Gwinnett Place, Duluth, GA Represents information pertaining to Gwinnett Place located at Duluth (Atlanta), GA. Entity Voluntary Filers Haywood Mall, Greenville, SC [Member] Haywood Mall, Greenville, SC Represents information pertaining to Haywood Mall located at Greenville, SC. Entity Current Reporting Status Independence Center, Independence, MO [Member] Independence Center, Independence (Kansas City), MO Represents information pertaining to Independence Center located at Independence (Kansas City), MO. Entity Filer Category Ingram Park Mall, San Antonio, TX [Member] Ingram Park Mall, San Antonio, TX Represents information pertaining to Ingram Park Mall located at San Antonio, TX. Entity Public Float Irving Mall, Irving, TX [Member] Irving Mall, Irving (Dallas), TX Represents information pertaining to Irving Mall located at Irving (Dallas), TX. Entity Registrant Name Jefferson Valley Mall, Yorktown Heights, NY [Member] Jefferson Valley Mall, Yorktown Heights (New York), NY Represents information pertaining to Jefferson Valley Mall located at Yorktown Heights (New York), NY. Entity Central Index Key Knoxville Center, Knoxville, TN [Member] Knoxville Center, Knoxville, TN Represents information pertaining to Knoxville Center located at Knoxville, TN. La Plaza Mall, McAllen, TX [Member] La Plaza Mall, McAllen, TX Represents information pertaining to La Plaza Mall located at McAllen, TX. Laguna Hills Mall, Laguna Hills, CA [Member] Laguna Hills Mall, Laguna Hills (Los Angeles), CA Represents information pertaining to Laguna Hills Mall located at Laguna Hills (Los Angeles), CA. Lakeline Mall, Austin, TX [Member] Lakeline Mall, Cedar Park (Austin), TX Represents information pertaining to Lakeline Mall located at Cedar Park (Austin), TX. Entity Common Stock, Shares Outstanding Lenox Square, Atlanta, GA [Member] Lenox Square, Atlanta, GA Represents information pertaining to Lenox Square located at Atlanta, GA. Lima Mall, Lima, OH [Member] Lima Mall, Lima, OH Represents information pertaining to Lima Mall located at Lima, OH. Lincolnwood Town Center, Lincolnwood, IL [Member] Lincolnwood Town Center, Lincolnwood (Chicago), IL Represents information pertaining to Lincolnwood Town Center located at Lincolnwood (Chicago), IL. Livingston Mall, Livingston, NJ [Member] Livingston Mall, Livingston (New York), NJ Represents information pertaining to Livingston Mall located at Livingston (New York), NJ. Longview Mall, Longview, TX [Member] Longview Mall, Longview, TX Represents information pertaining to Longview Mall located at Longview, TX. Mall at Chestnut Hill, The Chestnut Hill, MA [Member] Mall at Chestnut Hill, The, Chestnut Hill (Boston), MA Represents information pertaining to Mall at Chestnut Hill, The located at Chestnut Hill (Boston), MA. Mall of Georgia, Mill Creek, GA [Member] Mall of Georgia, Buford (Atlanta), GA Represents information pertaining to Mall of Georgia located at Buford (Atlanta), GA. Maplewood Mall, Minneapolis, MN [Member] Maplewood Mall, St. Paul (Minneapolis), MN Represents information pertaining to Maplewood Mall located at St. Paul (Minneapolis), MN. Markland Mall, Kokomo, IN [Member] Markland Mall, Kokomo, IN Represents information pertaining to Markland Mall located at Kokomo, IN. McCain Mall, N Little Rock, AR [Member] McCain Mall, N. Little Rock, AR Represents information pertaining to McCain Mall located at N. Little Rock, AR. Melbourne Square, Melbourne, FL [Member] Melbourne Square, Melbourne, FL Represents information pertaining to Melbourne Square located at Melbourne, FL. Entity Listing, Par Value Per Share Menlo Park Mall, Edison, NJ [Member] Menlo Park Mall, Edison (New York), NJ Represents information pertaining to Menlo Park Mall located at Edison (New York), NJ. Midland Park Mall, Midland, TX [Member] Midland Park Mall, Midland, TX Represents information pertaining to Midland Park Mall located at Midland, TX. Italy ITALY Miller Hill Mall, Duluth, MN [Member] Miller Hill Mall, Duluth, MN Represents information pertaining to Miller Hill Mall located at Duluth, MN. Montgomery Mall, Montgomeryville, PA [Member] Montgomery Mall, North Wales (Philadelphia), PA Represents information pertaining to Montgomery Mall located at North Wales (Philadelphia), PA. Muncie Mall, Muncie, IN [Member] Muncie Mall, Muncie, IN Represents information pertaining to Muncie Mall located at Muncie, IN. North East Mall, Hurst, TX [Member] North East Mall, Hurst (Dallas), TX Represents information pertaining to North East Mall located at Hurst (Dallas), TX. Document Fiscal Year Focus Northfield Square Mall, Bourbonnais, IL [Member] Northfield Square, Bourbonnais, IL Represents information pertaining to Northfield Square located at Bourbonnais, IL. Document Fiscal Period Focus Northgate Mall, Seattle, WA [Member] Northgate Mall, Seattle, WA Represents information pertaining to Northgate Mall located at Seattle, WA. Northlake Mall, Atlanta, GA [Member] Northlake Mall, Atlanta, GA Represents information pertaining to Northlake Mall located at Atlanta, GA. Japan Japan joint ventures JAPAN Northwoods Mall, Peoria, IL [Member] Northwoods Mall, Peoria, IL Represents information pertaining to Northwoods Mall located at Peoria, IL. Oak Court Mall, Memphis, TN [Member] Oak Court Mall, Memphis, TN Represents information pertaining to Oak Court Mall located at Memphis, TN. Ocean County Mall, Toms River, NJ [Member] Ocean County Mall, Toms River (New York), NJ Represents information pertaining to Ocean County Mall located at Toms River (New York), NJ. Orange Park Mall, Orange Park, FL [Member] Orange Park Mall, Orange Park (Jacksonville), FL Represents information pertaining to Orange Park Mall located at Orange Park (Jacksonville), FL. Orland Square, Orland Park, IL [Member] Orland Square, Orland Park (Chicago), IL Represents information pertaining to Orland Square located at Orland Park (Chicago), IL. Oxford Valley Mall, Langhorne, PA [Member] Oxford Valley Mall, Langhorne (Philadelphia), PA Represents information pertaining to Oxford Valley Mall located at Langhorne (Philadelphia), PA. Paddock Mall, Ocala, FL [Member] Paddock Mall, Ocala, FL Represents information pertaining to Paddock Mall located at Ocala, FL. Penn Square Mall, Oklahoma City, OK [Member] Penn Square Mall, Oklahoma City, OK Represents information pertaining to Penn Square Mall located at Oklahoma City, OK. Pheasant Lane Mall, Nashua, NH [Member] Pheasant Lane Mall, Nashua, NH Represents information pertaining to Pheasant Lane Mall located at Nashua, NH. Legal Entity [Axis] South Korea South Korea joint ventures KOREA, REPUBLIC OF Phipps Plaza, Atlanta, GA [Member] Phipps Plaza, Atlanta, GA Represents information pertaining to Phipps Plaza located at Atlanta, GA. Document Type Plaza Carolina, Carolina, PR [Member] Plaza Carolina, Carolina (San Juan), PR Represents information pertaining to Plaza Carolina located at Carolina (San Juan), PR. Significant Accounting Policies Port Charlotte Town Center, Port Charlotte, FL [Member] Port Charlotte Town Center, Port Charlotte, FL Represents information pertaining to Port Charlotte Town Center located at Port Charlotte, FL. Prien Lake Mall, Lake Charles, LA [Member] Prien Lake Mall, Lake Charles, LA Represents information pertaining to Prien Lake Mall located at Lake Charles, LA. Richmond Town Square, Richmond Heights, OH [Member] Richmond Town Square, Richmond Heights (Cleveland), OH Represents information pertaining to Richmond Town Square located at Richmond Heights (Cleveland), OH. River Oaks Center, Calumet City, IL [Member] River Oaks Center, Calumet City (Chicago), IL Represents information pertaining to River Oaks Center located at Calumet City (Chicago), IL. Rockaway Townsquare, Rockaway, NJ [Member] Rockaway Townsquare, Rockaway (New York), NJ Represents information pertaining to Rockaway Townsquare located at Rockaway (New York), NJ. Rolling Oaks Mall, San Antonio, TX [Member] Rolling Oaks Mall, San Antonio, TX Represents information pertaining to Rolling Oaks Mall located at San Antonio, TX. Roosevelt Field, Garden City, NY [Member] Roosevelt Field, Garden City (New York), NY Represents information pertaining to Roosevelt Field located at Garden City (New York), NY. Ross Park Mall, Pittsburgh, PA [Member] Ross Park Mall, Pittsburgh, PA Represents information pertaining to Ross Park Mall located at Pittsburgh, PA. Santa Rosa Plaza, Santa Rosa, CA [Member] Santa Rosa Plaza, Santa Rosa, CA Represents information pertaining to Santa Rosa Plaza located at Santa Rosa, CA. Shopsat Mission Viejo, The Mission Viejo, CA [Member] Shops at Mission Viejo, The, Mission Viejo, CA Represents information pertaining to Shops at Riverside, The located at Hackensack (New York), NJ. South Hills Village, Pittsburgh PA [Member] South Hills Village, Pittsburgh, PA Represents information pertaining to South Hills Village located at Pittsburgh, PA. South Shore Plaza, Braintree, MA [Member] South Shore Plaza, Braintree (Boston), MA Represents information pertaining to South Shore Plaza located at Braintree (Boston), MA. South Park, Charlotte, NC [Member] SouthPark, Charlotte, NC Represents information pertaining to SouthPark located at Charlotte, NC. St Charles Towne Center, Waldorf, MD [Member] St. Charles Towne Center, Waldorf (Washington, D.C.), MD Represents information pertaining to St. Charles Towne Center located at Waldorf (Washington, D.C.), MD. Receivable Type [Axis] Stanford Shopping Center, Palo Alto, CA [Member] Stanford Shopping Center, Palo Alto (San Francisco), CA Represents information pertaining to Stanford Shopping Center located at Palo Alto (San Francisco), CA. Summit Mall, Akron, OH [Member] Summit Mall, Akron, OH Represents information pertaining to Summit Mall located at Akron, OH. Sunland Park Mall, El Paso, TX [Member] Sunland Park Mall, El Paso, TX Represents information pertaining to Sunland Park Mall located at El Paso, TX. Tacoma Mall, Tacoma, WA [Member] Tacoma Mall, Tacoma (Seattle), WA Represents information pertaining to Tacoma Mall located at Tacoma (Seattle), WA. Tippecanoe Mall, Lafayette, IN [Member] Tippecanoe Mall, Lafayette, IN Represents information pertaining to Tippecanoe Mall located at Lafayette, IN. Town Center at Aurora, Aurora, CO [Member] Town Center at Aurora, Aurora (Denver), CO Represents information pertaining to Town Center at Aurora located at Aurora (Denver), CO. Town Center at Boca Raton, Boca Raton, FL [Member] Town Center at Boca Raton, Boca Raton (Miami), FL Represents information pertaining to Town Center at Boca Raton located at Boca Raton (Miami), FL. Town Center at Cobb, Kennesaw, GA [Member] Town Center at Cobb, Kennesaw (Atlanta), GA Represents information pertaining to Town Center at Cobb located at Kennesaw (Atlanta), GA. Towne East Square, Wichita, KS [Member] Towne East Square, Wichita, KS Represents information pertaining to Towne East Square located at Wichita, KS. Towne West Square, Wichita, KS Represents information pertaining to Towne West Square located at Wichita, KS. Towne West Square, Wichita KS [Member] Treasure Coast Square, Jensen Beach, FL [Member] Treasure Coast Square, Jensen Beach, FL Represents information pertaining to Treasure Coast Square located at Jensen Beach, FL. Tyrone Square, St Petersburg, FL [Member] Tyrone Square, St. Petersburg (Tampa), FL Represents information pertaining to Tyrone Square located at St. Petersburg (Tampa), FL. University Park Mall, Mishawaka, IN [Member] University Park Mall, Mishawaka, IN Represents information pertaining to University Park Mall located at Mishawaka, IN. Upper Valley Mall, Springfield, OH [Member] Upper Valley Mall, Springfield, OH Represents information pertaining to Upper Valley Mall located at Springfield, OH. Valle Vista Mall, Harlingen, TX [Member] Valle Vista Mall, Harlingen, TX Represents information pertaining to Valle Vista Mall located at Harlingen, TX. Virginia Center Commons, Glen Allen, VA [Member] Virginia Center Commons, Glen Allen, VA Represents information pertaining to Virginia Center Commons located at Glen Allen, VA. Walt Whitman Mall, Huntington Station, NY [Member] Walt Whitman Shops, Huntington Station (New York), NY Represents information pertaining to Walt Whitman Shops located at Huntington Station (New York), NY. Washington Square, Indianapolis, IN [Member] Washington Square, Indianapolis, IN Represents information pertaining to Washington Square located at Indianapolis, IN. West Ridge Mall, Topeka, KS [Member] West Ridge Mall, Topeka, KS Represents information pertaining to West Ridge Mall located at Topeka, KS. Mexico Mexico joint venture MEXICO Westminster Mall, Westminster, CA [Member] Westminster Mall, Westminster (Los Angeles), CA Represents information pertaining to Westminster Mall located at Westminster (Los Angeles), CA. Malaysia Malaysia joint venture MALAYSIA White Oaks Mall, Springfield, IL [Member] White Oaks Mall, Springfield, IL Represents information pertaining to White Oaks Mall located at Springfield, IL. Wolfchase Galleria, Memphis, TN [Member] Wolfchase Galleria, Memphis, TN Represents information pertaining to Wolfchase Galleria located at Memphis, TN. Woodland Hills Mall, Tulsa, OK [Member] Woodland Hills Mall, Tulsa, OK Represents information pertaining to Woodland Hills Mall located at Tulsa, OK. Albertville Premium Outlets, Albertville, MN [Member] Albertville Premium Outlets, Albertville (Minneapolis), MN Represents information pertaining to Albertville Premium Outlets located at Albertville (Minneapolis), MN. Allen Premium Outlets, Allen, TX [Member] Allen Premium Outlets, Allen (Dallas), TX Represents information pertaining to Allen Premium Outlets located at Allen (Dallas), TX. All Currencies [Domain] Aurora Farms Premium Outlets, Aurora, OH [Member] Aurora Farms Premium Outlets, Aurora (Cleveland), OH Represents information pertaining to Aurora Farms Premium Outlets located at Aurora (Cleveland), OH. Birch Run Premium Outlets, Birch Run, MI [Member] Birch Run Premium Outlets, Birch Run (Detroit), MI Represents information pertaining to Birch Run Premium Outlets located at Birch Run (Detroit), MI. Calhoun Premium Outlets, Calhoun, GA [Member] Calhoun Premium Outlets, Calhoun, GA Represents information pertaining to Calhoun Premium Outlets located at Calhoun, GA. Camarillo Premium Outlets, Camarillo (Los Angeles), CA Represents information pertaining to Camarillo Premium Outlets located at Camarillo (Los Angeles), CA. Camarillo Premium Outlets, Camarillo, CA [Member] Carlsbad Premium Outlets, Carlsbad, CA [Member] Carlsbad Premium Outlets, Carlsbad (San Diego), CA Represents information pertaining to Carlsbad Premium Outlets located at Carlsbad (San Diego), CA. Carolina Premium Outlets, Smithfield, NC [Member] Carolina Premium Outlets, Smithfield (Raleigh), NC Represents information pertaining to Carolina Premium Outlets located at Smithfield (Raleigh), NC. Chicago Premium Outlets, Aurora, IL [Member] Chicago Premium Outlets, Aurora (Chicago), IL Represents information pertaining to Chicago Premium Outlets located at Aurora (Chicago), IL. Tenant receivables and accrued revenue, net Accounts and Notes Receivable, Net Cincinnati, Premium Outlets, Monroe, OH [Member] Cincinnati Premium Outlets, Monroe (Cincinnati), OH Represents information pertaining to Cincinnati Premium Outlets located at Monroe (Cincinnati), OH. Clinton Crossing Premium Outlets, Clinton, CT [Member] Clinton Crossing Premium Outlets, Clinton, CT Represents information pertaining to Clinton Crossing Premium Outlets located at Clinton, CT. Columbia Gorge Premium Outlets, Troutdale, OR [Member] Columbia Gorge Premium Outlets, Troutdale (Portland), OR Represents information pertaining to Columbia Gorge Premium Outlets located at Troutdale (Portland), OR. Desert Hills Premium Outlets, Cabazon, CA [Member] Desert Hills Premium Outlets, Cabazon (Palm Springs), CA Represents information pertaining to Desert Hills Premium Outlets located at Cabazon (Palm Springs), CA. Edinburgh Premium Outlets, Edinburgh, IN [Member] Edinburgh Premium Outlets, Edinburgh (Indianapolis), IN Represents information pertaining to Edinburgh Premium Outlets located at Edinburgh (Indianapolis), IN. Ellenton Premium Outlets, Ellenton, FL [Member] Ellenton Premium Outlets, Ellenton (Tampa), FL Represents information pertaining to Ellenton Premium Outlets located at Ellenton (Tampa), FL. Folsom Premium Outlets, Folsom, CA [Member] Folsom Premium Outlets, Folsom (Sacramento), CA Represents information pertaining to Folsom Premium Outlets located at Folsom (Sacramento), CA. Florida City Outlet Center, Florida City, FL [Member] Florida Keys Outlet Center, Florida City, FL Represents information pertaining to Florida Keys Outlet Center located at Florida City, FL. Gaffney Premium Outlets, Gaffney, SC [Member] Gaffney Premium Outlets, Gaffney (Greenville/Charlotte), SC Represents information pertaining to Gaffney Premium Outlets located at Gaffney (Greenville/Charlotte), SC. Gilroy Premium Outlets, Gilroy, CA [Member] Gilroy Premium Outlets, Gilroy (San Jose), CA Represents information pertaining to Gilroy Premium Outlets located at Gilroy (San Jose), CA. Grove City Premium Outlets, Grove City, PA [Member] Grove City Premium Outlets, Grove City (Pittsburgh), PA Represents information pertaining to Grove City Premium Outlets located at Grove City (Pittsburgh), PA. Gulfport Premium Outlets, Gulfport, MS [Member] Gulfport Premium Outlets, Gulfport, MS Represents information pertaining to Gulfport Premium Outlets located at Gulfport, MS. Hagerstown Premium Outlets, Hagerstown, MD [Member] Hagerstown Premium Outlets, Hagerstown (Baltimore/Washington DC), MD Represents information pertaining to Hagerstown Premium Outlets located at Hagerstown (Baltimore/Washington DC), MD. Houston Premium Outlets, Cypress, TX [Member] Houston Premium Outlets, Cypress (Houston), TX Represents information pertaining to Houston Premium Outlets located at Cypress (Houston), TX. Huntley Outlet Center, Huntley, IL [Member] Huntley Outlet Center, Huntley, IL Represents information pertaining to Huntley Outlet Center located at Huntley, IL. Jackson Premium Outlets, Jackson, NJ [Member] Jackson Premium Outlets, Jackson (New York), NJ Represents information pertaining to Jackson Premium Outlets located at Jackson (New York), NJ. Jersey Shore Premium Outlets, Tinton Falls, NJ [Member] Jersey Shore Premium Outlets, Tinton Falls (New York), NJ Represents information pertaining to Jersey Shore Premium Outlets located at Tinton Falls (New York), NJ. Johnson Creek Premium Outlets, Johnson Creek, WI [Member] Johnson Creek Premium Outlets, Johnson Creek, WI Represents information pertaining to Johnson Creek Premium Outlets located at Johnson Creek, WI. Kittery Premium Outlets, Kittery, ME [Member] Kittery Premium Outlets, Kittery , ME Represents information pertaining to Kittery Premium Outlets located at Kittery, ME. Las Americas Premium Outlets, San Diego, CA [Member] Las Americas Premium Outlets, San Diego, CA Represents information pertaining to Las Americas Premium Outlets located at San Diego, CA. Las Vegas Outlet Center, Las Vegas, NV [Member] Las Vegas Premium Outlets - North, Las Vegas, NV Represents information pertaining to Las Vegas Premium Outlets - North located at Las Vegas, NV. Las Vegas Premium Outlets, Las Vegas, NV [Member] Las Vegas Premium Outlets - South, Las Vegas, NV Represents information pertaining to Las Vegas Premium Outlets - South located at Las Vegas, NV. Lebanon Premium Outlets, Lebanon, TN [Member] Lebanon Premium Outlets, Lebanon (Nashville), TN Represents information pertaining to Lebanon Premium Outlets located at Lebanon (Nashville), TN. Lee Premium Outlets, Lee, MA [Member] Lee Premium Outlets, Lee, MA Represents information pertaining to Lee Premium Outlets located at Lee, MA. Leesburg Corner Premium Outlets, Leesburg, VA [Member] Leesburg Corner Premium Outlets, Leesburg (Washington D.C.), VA Represents information pertaining to Leesburg Corner Premium Outlets located at Leesburg (Washington D.C.), VA. Liberty Village Premium Outlets, Flemington, NJ [Member] Liberty Village Premium Outlets, Flemington (New York), NJ Represents information pertaining to Liberty Village Premium Outlets located at Flemington (New York), NJ. Lighthouse Place Premium Outlets, Michigan City, IN [Member] Lighthouse Place Premium Outlets, Michigan City, IN Represents information pertaining to Lighthouse Place Premium Outlets located at Michigan City, IN. Napa Premium Outlets, Napa, CA [Member] Napa Premium Outlets, Napa, CA Represents information pertaining to Napa Premium Outlets located at Napa, CA. Naples Outlet Center, Naples, FL [Member] Naples Outlet Center, Naples, FL Represents information pertaining to Naples Outlet Center located at Naples, FL. North Georgia Premium Outlets, Dawsonville, GA [Member] North Georgia Premium Outlets, Dawsonville (Atlanta), GA Represents information pertaining to North Georgia Premium Outlets located at Dawsonville (Atlanta), GA. Orlando Premium Outlets, Vineland Ave Orlando, FL [Member] Orlando Premium Outlets - Vineland Ave, Orlando, FL Represents information pertaining to Orlando Premium Outlets - Vineland Ave located at Orlando, FL. Orlando Premium Outlets, International Dr Orlando, FL [Member] Orlando Premium Outlets - International Dr, Orlando, FL Represents information pertaining to Orlando Premium Outlets - International Dr located at Orlando, FL. Osage Beach Premium Outlets, Osage Beach, MO [Member] Osage Beach Premium Outlets, Osage Beach, MO Represents information pertaining to Osage Beach Premium Outlets located at Osage Beach, MO. Petaluma Village Premium Outlets, Petaluma, CA [Member] Petaluma Village Premium Outlets, Petaluma (San Francisco), CA Represents information pertaining to Petaluma Village Premium Outlets located at Petaluma (San Francisco), CA. Philadelphia Premium Outlets, Limerick, PA [Member] Philadelphia Premium Outlets, Limerick (Philadelphia), PA Represents information pertaining to Philadelphia Premium Outlets located at Limerick (Philadelphia), PA. Pismo Beach Premium Outlets, Pismo Beach, CA [Member] Pismo Beach Premium Outlets, Pismo Beach, CA Represents information pertaining to Pismo Beach Premium Outlets located at Pismo Beach, CA. Pleasant Prairie Premium Outlets, Pleasant Prairie, WI [Member] Pleasant Prairie Premium Outlets, Pleasant Prairie (Chicago, IL - Milwaukee), WI Represents information pertaining to Pleasant Prairie Premium Outlets located at Pleasant Prairie (Chicago, IL - Milwaukee), WI. Prime Outlets, Jeffersonville, Jeffersonville, OH [Member] Represents information pertaining to Prime Outlets - Jeffersonville located at Jeffersonville, OH. Prime Outlets - Jeffersonville Represents the Long-Term Incentive Performance Program ending 2013, which has a three-year performance period. Long-term Incentive Performance Program, Three Year Ending 2013 [Member] Three-year Ending 2013 LTIP Program Puerto Rico Premium Outlets, Barceloneta, PR [Member] Puerto Rico Premium Outlets, Barceloneta, PR Represents information pertaining to Puerto Rico Premium Outlets located at Barceloneta, PR. Queenstown Premium Outlets, Queenstown, MD [Member] Queenstown Premium Outlets, Queenstown (Baltimore), MD Represents information pertaining to Queenstown Premium Outlets located at Queenstown (Baltimore), MD. Rio Grande Valley Premium Outlets, Mercedes, TX [Member] Rio Grande Valley Premium Outlets, Mercedes (McAllen), TX Represents information pertaining to Rio Grande Valley Premium Outlets located at Mercedes (McAllen), TX. Round Rock Premium Outlets, Round Rock, TX [Member] Round Rock Premium Outlets, Round Rock (Austin), TX Represents information pertaining to Round Rock Premium Outlets located at Round Rock (Austin), TX. San Marcos Premium Outlets, San Marcos, TX [Member] San Marcos Premium Outlets, San Marcos (Austin - San Antonio), TX Represents information pertaining to San Marcos Premium Outlets located at San Marcos (Austin - San Antonio), TX. Seattle Premium Outlets, Seattle, WA [Member] Seattle Premium Outlets, Tulalip (Seattle), WA Represents information pertaining to Seattle Premium Outlets located at Tulalip (Seattle), WA. St Augustine Premium Outlets, St Augustine, FL [Member] St. Augustine Premium Outlets, St. Augustine (Jacksonville), FL Represents information pertaining to St. Augustine Premium Outlets located at St. Augustine (Jacksonville), FL. The Crossings Premium Outlets, Tannersville, PA [Member] The Crossings Premium Outlets, Tannersville , PA Represents information pertaining to The Crossings Premium Outlets located at Tannersville, PA. Vacaville Premium Outlets, Vacaville, CA [Member] Vacaville Premium Outlets, Vacaville , CA Represents information pertaining to Vacaville Premium Outlets located at Vacaville, CA. Waikele Premium Outlets, Waipahu, HI [Member] Waikele Premium Outlets, Waipahu (Honolulu), HI Represents information pertaining to Waikele Premium Outlets located at Waipahu (Honolulu), HI. Waterloo Premium Outlets, Waterloo, NY [Member] Waterloo Premium Outlets, Waterloo , NY Represents information pertaining to Waterloo Premium Outlets located at Waterloo, NY. Williamsburg Premium Outlets, Williamsburg, VA [Member] Williamsburg Premium Outlets, Williamsburg, VA Represents information pertaining to Williamsburg Premium Outlets located at Williamsburg, VA. Woodbury Common Premium Outlets, Central Valley, NY [Member] Woodbury Common Premium Outlets, Central Valley (New York), NY Represents information pertaining to Woodbury Common Premium Outlets located at Central Valley (New York), NY. Wrentham Village Premium Outlets, Wrentham, MA [Member] Wrentham Village Premium Outlets, Wrentham (Boston), MA Represents information pertaining to Wrentham Village Premium Outlets located at Wrentham (Boston), MA. Arboretumat Great Hills, Austin, TX [Member] Arboretum, Austin, TX Represents information pertaining to Arboretum located at Austin, TX. Bloomingdale Court, Bloomingdale IL [Member] Bloomingdale Court, Bloomingdale (Chicago), IL Represents information pertaining to Bloomingdale Court located at Bloomingdale (Chicago), IL. Charles Towne Square, Charleston, SC [Member] Charles Towne Square, Charleston, SC Represents information pertaining to Charles Towne Square located at Charleston, SC. Chesapeake Center, Chesapeake, VA [Member] Chesapeake Center, Chesapeake (Virginia Beach), VA Represents information pertaining to Chesapeake Center located at Chesapeake (Virginia Beach), VA. Countryside Plaza, Countryside, IL [Member] Countryside Plaza, Countryside (Chicago), IL Represents information pertaining to Countryside Plaza located at Countryside (Chicago), IL. Dare Centre, Kill Devil Hills, NC [Member] Dare Centre, Kill Devil Hills, NC Represents information pertaining to Dare Centre located at Kill Devil Hills, NC. DeKalb Plaza, King of Prussia, PA [Member] DeKalb Plaza, King of Prussia (Philadelphia), PA Represents information pertaining to DeKalb Plaza located at King of Prussia (Philadelphia), PA. Forest Plaza, Rockford, IL [Member] Forest Plaza, Rockford, IL Represents information pertaining to Forest Plaza located at Rockford, IL. Represents information pertaining to Gateway Centers located at Austin, TX. Gateway Shopping Center, Austin, TX [Member] Gateway Centers, Austin, TX Great Lakes Plaza, Mentor, OH [Member] Great Lakes Plaza, Mentor (Cleveland), OH Represents information pertaining to Great Lakes Plaza located at Mentor (Cleveland), OH. Greenwood Plus, Greenwood, IN [Member] Greenwood Plus, Greenwood (Indianapolis), IN Represents information pertaining to Greenwood Plus located at Greenwood (Indianapolis), IN. Henderson Square, King of Prussia, PA [Member] Henderson Square, King of Prussia (Philadelphia), PA Represents information pertaining to Henderson Square located at King of Prussia (Philadelphia), PA. Highland Lakes Center, Orlando, FL [Member] Highland Lakes Center, Orlando, FL Represents information pertaining to Highland Lakes Center located at Orlando, FL. Ingram Plaza, San Antonio, TX [Member] Ingram Plaza, San Antonio, TX Represents information pertaining to Ingram Plaza located at San Antonio, TX. Keystone Shoppes, Indianapolis, IN [Member] Keystone Shoppes, Indianapolis, IN Represents information pertaining to Keystone Shoppes located at Indianapolis, IN. United States UNITED STATES Lake Plaza, Waukegan, IL [Member] Lake Plaza, Waukegan (Chicago), IL Represents information pertaining to Lake Plaza located at Waukegan (Chicago), IL. Lake View Plaza, Orland Park, IL [Member] Lake View Plaza, Orland Park (Chicago), IL Represents information pertaining to Lake View Plaza located at Orland Park (Chicago), IL. Lakeline Plaza, Austin, TX [Member] Lakeline Plaza, Cedar Park (Austin), TX Represents information pertaining to Lakeline Plaza located at Cedar Park (Austin), TX. Lima Center, Lima, OH [Member] Lima Center, Lima, OH Represents information pertaining to Lima Center located at Lima, OH. Lincoln Crossing O Fallon, IL [Member] Lincoln Crossing, O'Fallon (St. Louis), IL Represents information pertaining to Lincoln Crossing located at O'Fallon (St. Louis), IL. Lincoln Plaza, King of Prussia, PA [Member] Lincoln Plaza, King of Prussia (Philadelphia), PA Represents information pertaining to Lincoln Plaza located at King of Prussia (Philadelphia), PA. MacGregor Village, Cary, NC [Member] MacGregor Village, Cary, NC Represents information pertaining to MacGregor Village located at Cary, NC. Mall of Georgia Crossing, Mill Creek, GA [Member] Mall of Georgia Crossing, Buford (Atlanta), GA Represents information pertaining to Mall of Georgia Crossing located at Buford (Atlanta), GA. Markland Plaza, Kokomo, IN [Member] Markland Plaza, Kokomo, IN Represents information pertaining to Markland Plaza located at Kokomo, IN. Martinsville Plaza, Martinsville, VA [Member] Martinsville Plaza, Martinsville, VA Represents information pertaining to Martinsville Plaza located at Martinsville, VA. Matteson Plaza, Matteson, IL [Member] Matteson Plaza, Matteson (Chicago), IL Represents information pertaining to Matteson Plaza located at Matteson (Chicago), IL. Muncie Plaza, Muncie, IN [Member] Muncie Towne Plaza, Muncie, IN Represents information pertaining to Muncie Towne Plaza located at Muncie, IN. New Castle Plaza, New Castle, IN [Member] New Castle Plaza, New Castle, IN Represents information pertaining to New Castle Plaza located at New Castle, IN. North Ridge Plaza, Joliet, IL [Member] North Ridge Plaza, Joliet (Chicago), IL Represents information pertaining to North Ridge Plaza located at Joliet (Chicago), IL. North Ridge Shopping Center, Raleigh, NC [Member] North Ridge Shopping Center, Raleigh, NC Represents information pertaining to North Ridge Shopping Center located at Raleigh, NC. Northwood Plaza, Fort Wayne, IN [Member] Northwood Plaza, Fort Wayne, IN Represents information pertaining to Northwood Plaza located at Fort Wayne, IN. Palms Crossing, McAllen, TX [Member] Palms Crossing, McAllen, TX Represents information pertaining to Palms Crossing located at McAllen, TX. Pier Park, Panama City Beach, FL [Member] Pier Park, Panama City Beach, FL Represents information pertaining to Pier Park located at Panama City Beach, FL. Regency Plaza, St Charles, MO [Member] Regency Plaza, St. Charles (St. Louis), MO Represents information pertaining to Richardson Square located at Richardson (Dallas), TX. Richardson Square, Richardson, TX [Member] Richardson Square, Richardson (Dallas), TX Represents information pertaining to Richardson Square located at Richardson (Dallas), TX. Rockaway Commons, Rockaway, NJ [Member] Rockaway Commons, Rockaway (New York), NJ Represents information pertaining to Rockaway Commons located at Rockaway (New York), NJ. Rockaway Town Plaza, Rockaway, NJ [Member] Rockaway Town Plaza, Rockaway (New York), NJ Represents information pertaining to Rockaway Town Plaza located at Rockaway (New York), NJ. Shopsat Arbor Walk, The Austin, TX [Member] Shops at Arbor Walk, The, Austin, TX Represents information pertaining to The Shops at Arbor Walk, The located at Austin, TX. Shops at North East Mall, The Hurst, TX [Member] Shops at North East Mall, The, Hurst (Dallas), TX Represents information pertaining to The Shops at North East Mall located at Hurst (Dallas), TX. St Charles Towne Plaza, Waldorf, MD [Member] St. Charles Towne Plaza, Waldorf (Washington, D.C.), MD Represents information pertaining to St. Charles Towne Plaza located at Waldorf (Washington, D.C.), MD. Teal Plaza, Lafayette, IN [Member] Teal Plaza, Lafayette, IN Represents information pertaining to Teal Plaza located at Lafayette, IN. Terrace at the Florida Mall, Orlando, FL [Member] Terrace at the Florida Mall, Orlando, FL Represents information pertaining to Terrace at the Florida Mall located at Orlando, FL. Tippecanoe Plaza, Lafayette, IN [Member] Tippecanoe Plaza, Lafayette, IN Represents information pertaining to Tippecanoe Plaza located at Lafayette, IN. University Center, Mishawaka, IN [Member] University Center, Mishawaka, IN Represents information pertaining to University Center located at Mishawaka, IN. Washington Plaza, Indianapolis, IN [Member] Washington Plaza, Indianapolis, IN Represents information pertaining to Washington Plaza located at Indianapolis, IN. Waterford Lakes Town Center, Orlando, FL [Member] Waterford Lakes Town Center, Orlando, FL Represents information pertaining to Waterford Lakes Town Center located at Orlando, FL. West Ridge Plaza, Topeka, KS [Member] West Ridge Plaza, Topeka, KS Represents information pertaining to West Ridge Plaza located at Topeka, KS. White Oaks Plaza, Springfield, IL [Member] White Oaks Plaza, Springfield, IL Represents information pertaining to White Oaks Plaza located at Springfield, IL. Wolf Ranch Town Center, Georgetown, TX [Member] Wolf Ranch Town Center, Georgetown (Austin), TX Represents information pertaining to Wolf Ranch Town Center located at Georgetown (Austin), TX. Crossville Outlet Center, Crossville, TN [Member] Crossville Outlet Center, Crossville, TN Represents information pertaining to Crossville Outlet Center located at Crossville, TN. Factory Merchants Branson, Branson, MO [Member] Factory Merchants Branson, Branson, MO Represents information pertaining to Factory Merchants Branson located at Branson, MO. The Shoppes at Branson Meadows, Branson, MO [Member] The Shoppes at Branson Meadows, Branson, MO Represents information pertaining to The Shoppes at Branson Meadows located at Branson, MO. Factory Stores of America, Boaz, AL [Member] Factory Stores of America - Boaz, AL Represents information pertaining to Factory Stores of America - Boaz located at Boaz, AL. Factory Stores of America, Georgetown, KY [Member] Factory Stores of America - Georgetown, KY Represents information pertaining to Factory Stores of America - Georgetown located at Georgetown, KY. Factory Stores of America, Graceville, FL [Member] Factory Stores of America - Graceville, FL Represents information pertaining to Factory Stores of America - Graceville located at Graceville, FL. Factory Stores of America, Lebanon, MO [Member] Factory Stores of America - Lebanon, Lebanon, MO Represents information pertaining to Factory Stores of America - Lebanon located at Lebanon, MO. Factory Stores of America, Nebraska City, NE [Member] Factory Stores of America - Nebraska City, NE Represents information pertaining to Factory Stores of America - Nebraska City located at Nebraska City, NE. Factory Stores of America, Story City, IA [Member] Factory Stores of America - Story City, IA Represents information pertaining to Factory Stores of America - Story City located at Story City, IA. North Bend Premium Outlets, North Bend, WA [Member] North Bend Premium Outlets, North Bend (Seattle), WA Represents information pertaining to North Bend Premium Outlets located at North Bend (Seattle), WA. Nanuet Mall, Nanuet, NY [Member] Nanuet Mall, Nanuet, NY Represents information pertaining to Nanuet Mall located at Nanuet, NY. University Mall, Pensacola, FL [Member] University Mall, Pensacola, FL Represents information pertaining to University Mall located at Pensacola, FL. Merrimack Premium Outlets [Member] Merrimack Premium Outlets, Merrimack, NH Represents information pertaining to Merrimack Premium Outlets located at Merrimack, NH. Other Predevelopmentcosts [Member] Other pre-development costs Represents information pertaining to Other pre-development costs. Outlet Marketplace, Orlando, FL [Member] Outlet Marketplace, Orlando , FL Represents information pertaining to Outlet Marketplace located at Orlando, FL. Accounts Payable, Accrued Expenses, Intangibles, and Deferred Revenues Accounts payable, accrued expenses, intangibles, and deferred revenue The summation of accounts payable, accrued expenses, intangibles, and deferred revenues. Accounts payable, accrued expenses, intangibles, and deferred revenues Acquisition, Cost of Outlet Acquisition cost of outlet Loans to SPG-FCM Item List [Abstract] Loan To SPG-FCM Amortization of stock incentive Adjustment to additional paid-in-capital resulting from the periodic adjustments of stock incentives. Adjustments to Additional Paid in Capital, Share-based Compensation Amortization Melvin Simon and Associates Inc [Member] Unconsolidated joint ventures Represents information pertaining to transactions with Melvin Simon & Associates, Inc. Cash Tender Offer Debt Instruments Principal Amount Principal amount of cash tender offer The stated principal amount of the debt instruments involved in the cash tender offer. Business Acquisition, Percentage of Ownership Acquired This element represents additional percentage of ownership interests acquired in the business combination. Additional business acquisition percentage of ownership acquired Capital and Counties Properties PLC [Member] CAPC Capital Shopping Centres Group PLC [Member] CSCG Capital stock All types, classes, and series of stock. Capital stock (850,000,000 total shares authorized, $ 0.0001 par value, 238,000,000 shares of excess common stock, 100,000,000 authorized shares of preferred stock): Capital stock Capital Stock, Authorized Shares of Preferred Stock The number of shares of preferred stock authorized as part of the total number of shares of capital stock. Capital stock, authorized shares of preferred stock Capital Stock, Par Value Per Share Face amount or stated value of all types and classes of stock per share. Capital stock, par value (in dollars per share) Capital Stock, Shares Authorized The number of shares of capital stock authorized. Capital stock, total shares authorized Capital stock, shares of excess common stock Capital Stock, Shares of Excess Common Stock The number of shares of capital stock authorized less the number of shares of capital stock issued. Cash Distributions and Losses in Partnerships and Joint Ventures, at Equity Cash Distributions and Losses in Partnerships and Joint Ventures, at Equity. Cash distributions and losses in partnerships and joint ventures, at equity Adjustment to limited partners' interest from change in ownership in the Operating Partnership Change in Partners' Capital Change in capital as a result of a reallocation of a subsidiary's stockholders' equity to noncontrolling interest due to the subsidiary issuing stock, issuing units, redemptions, or distributions. Changes in Available-for-sale Securities and Other Gross appreciation or the gross loss in value of the total unsold securities at the end of an accounting period, after tax, plus other increases (decreases) in other comprehensive income not otherwise identified. Changes in available-for-sale securities and other Changes in Equity [Line Items] Schedule of changes in equity attributable to common stockholders and to noncontrolling interests: Offering price per share (in dollars per share) The public offering price per share of common stock issued and offered for public offering. Common Stock, Issued for Public Offering, Price Per Share Comprehensive Income Net of Tax, Including Portion Attributable to Noncontrolling Interest, Excluding Preferred Distributions The amount of comprehensive income or loss, excluding preferred distributions of the Operating Partnership that are related to units included in temporary equity. Comprehensive income, excluding $1,436 attributable to preferred interests in the Operating Partnership and $6,499 attributable to noncontrolling redeemable interests in properties in temporary equity Properties owned by related parties Represents information pertaining to transactions with related parties other than unconsolidated joint ventures. Other Related Parties [Member] Limited Partners Preferred Interest in Operating Partnership Limited partners' preferred interest in the Operating Partnership Represents the limited partners' preferred interest in an operating partnership. Term Loan [Member] Term loan Represents the term loan borrowed by the entity. Senior unsecured notes 2.15% Debt securities having interest rate of 2.15% issued by the entity. Corporate Debt Securities 2.15 Percent [Member] Senior unsecured notes 3.375% Debt securities having interest rate of 3.375% issued by the entity. Corporate Debt Securities 3.375 Percent [Member] Net unrealized gains on marketable securities Accumulated Net Unrealized Investment Gain (Loss) [Member] Corporate Debt Securities 4.75 Percent [Member] Senior unsecured notes 4.75% Debt securities having interest rate of 4.75% issued by the entity. Noncontrolling Redeemable Interests in Properties Other noncontrolling redeemable interests in properties Represents the limited partners' interests in other noncontrolling redeemable properties. Gross accumulated other comprehensive income or loss related to derivative activities Accumulated derivative losses, net Accumulated Other Comprehensive Income (Loss), Cumulative Changes in Net Gain (Loss) from Cash Flow Hedges, Effect Net of Tax Senior unsecured notes 1.50% due February 2018 Corporate Debt Securities 1.50 Percent due February 2018 [Member] Represents the debt securities having an interest rate of 1.50 percent, due on February 1, 2018 issued by the entity. Net unrealized gains (losses) recorded in accumulated other comprehensive income (loss) Net unrealized gains on marketable securities, net Accumulated Other Comprehensive Income (Loss), Available-for-sale Securities Adjustment, Net of Tax Corporate Debt Securities 2.75 Percent due February 2023 [Member] Senior unsecured notes 2.75% due February 2023 Represents the debt securities having an interest rate of 2.75 percent, due on February 1, 2023 issued by the entity. Ending balance Accumulated other comprehensive loss Total accumulated other comprehensive loss net of noncontrolling interests Accumulated Other Comprehensive Income (Loss), Net of Tax Accumulated losses recorded in AOCI Beginning balance Corporate Debt Securities 5.75 Percent To 6.88 Percent [Member] Senior unsecured notes 5.75% to 6.88% Represents the debt securities having interest rates ranging from 5.75 percent to 6.88 percent, issued by the entity. Corporate Debt Securities, 5.30 Percent to 6.00 Percent [Member] Senior unsecured notes 5.30% to 6.00% Represents the debt securities having interest rates ranging from 5.30 percent to 6.00 percent, issued by the entity. Accumulated Other Comprehensive Income (Loss) Accumulated Other Comprehensive Income (Loss) [Member] Cumulative Redeemable Preferred Units 7.50 Percent [Member] 7.5% Cumulative Redeemable Preferred Units. 7.5% Cumulative Redeemable Preferred Units Debt and Derivative Instruments Disclosure [Text Block] Indebtedness and Derivative Financial Instruments The complete disclosure of indebtedness and derivative financial instruments. The disclosure on indebtedness includes information about short-term and long-term debt arrangements, which includes amounts of borrowings under each line of credit, note payable, commercial paper issue, bonds indenture, debenture issue, and any other contractual agreement to repay funds, and about the underlying arrangements, rationale for a classification as long-term, including repayment terms, interest rates, collateral provided, restrictions on use of assets and activities, whether or not in compliance with debt covenants, and other matters important to users of the financial statements, such as the effects of refinancing and noncompliance with debt covenants. The disclosure of derivative financial instruments includes a description of risk management strategies, derivatives in hedging activities and nonhedging derivative instruments, the assets, obligations, liabilities, revenues and expenses arising there from, and the amounts of and methodologies and assumptions. Debt Instrument, Extension Period Credit facility extension period The length of time for which a debt instrument may be extended. Debt instrument extension period Depreciation and Amortization, Cash Flows The cash flow add back for the noncash expense of depreciation and amortization. Depreciation and amortization Deferred costs and other assets Deferred Costs and Other Assets [Abstract] The percentage of distributions paid on a unit of the Operating Partnership that participants of the stock-based compensation plan are entitled to receive during the performance period. Distributions Percentage to Operating Partnership Unit Percent of distributions of Operating Partnership that participants are entitled to receive during performance period Share-based Compensation Arrangement by Share-based Payment Award, Performance Period The number of years in the performance period for the purpose of setting performance goals for a share-based compensation plan. Performance period Cumulative translation adjustments Accumulated Other Comprehensive Income (Loss), Foreign Currency Translation Adjustment, Net of Tax Share-Based Compensation Arrangement by Share-Based Payment Award, Number of Vesting Installments Vesting period (in installments) Pursuant to the award agreements, the number of equal installments over which the award vests. Distributions to noncontrolling interest holders Decrease in noncontrolling interest balance from distributions to noncontrolling interest holders. Distributions to Noncontrolling Interest Holders Accumulated derivative losses, net Accumulated Net Gain (Loss) from Designated or Qualifying Cash Flow Hedges [Member] Preferred distributions of the Operating Partnership Distributions from earnings to preferred unit holders. Distributions to Preferred Unit Holders, Financing Activities Document and Entity Information Accumulated Other Comprehensive Income (Loss) Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract] Equity Method Investment, Amortization of Difference Between Carrying Amount and Underlying Equity Amortization of excess investment This item represents the amortization of the difference between the amount at which an investment accounted for under the equity method of accounting is carried on the balance sheet and the amount of underlying equity in net assets the reporting entity has in the investee. Equity Method Investment, Entity Ownership, Assets Total assets This item represents the disclosure of the entity's share of the total assets of the investment accounted for using the equity method investment. Significant Accounting Policies Accumulated Other Comprehensive Income (Loss) [Line Items] Equity Method Investment, Entity Ownership, Mortgages and Other Indebtedness Mortgages and other indebtedness This item represents the disclosure of the entity's share of the mortgages and other indebtedness of the equity method investment. Accumulated Other Comprehensive Income (Loss) [Table] This item represents the amount of the entity's share of net income loss reported by the joint ventures in which the entity has an ownership interest. Equity Method Investment, Entity Ownership, Net Income Our share of net income Equity Method Investment, Excess Investment Life Life of joint ventures with excess investment The life, in years, over which the excess investment in equity method investments is amortized. Investment property, amortization period BALANCE SHEETS Equity Method Investment, Summarized Financial Information, Balance Sheet [Abstract] Operating Expenses: Equity Method Investment, Summarized Financial Information, Costs and Expenses [Abstract] Equity Method Investment, Summarized Financial Information, Ownership Interest [Abstract] Our Share of: Revenue: Equity Method Investment, Summarized Financial Information Revenue [Abstract] Third-party investors' share of net income This item represents the amount of third parties' share of net income loss reported by the joint ventures in which the entity has an ownership interest. Equity Method Investment, Third Party Investors Share of Net Income Currency translation adjustments Currency translation and net investment hedges Accumulated Translation Adjustment [Member] Equity Method Investments, Summarized Financial Information, Balance Sheet [Table Text Block] Disclosure of summarized balance sheet financial information for investments accounted for using the equity method of accounting. Summary of equity method investments and share of income from such investments, balance sheet The conversion of Preferred Units to Limited Partner Units. Conversion of Preferred Units to Limited Partner Units Series I preferred unit conversion to limited partner units Equity Method Investments, Summarized Financial Information, Statement of Operations [Table Text Block] Summary of equity method investments and share of income from such investments, statement of operations Disclosure of summarized statement of operations information for investments accounted for using the equity method of accounting. Institutional Mall Investors [Member] IMI Represents activity related to Institutional Mall Investors (IMI). Represents information pertaining to McArthurGlen Group, Europe's leading owner, developer and manager of designer outlets. Mc Arthur Glen Group [Member] McArthurGlen Group Weighted average useful life, in-place leases Investment property, estimated useful life Acquired Finite-lived Intangible Assets, Weighted Average Useful Life Shops at Mission Viejo [Member] The Shops at Mission Viejo Represents the information regarding joint venture pertaining to The Shops at Mission Viejo in the Los Angeles suburb of Mission Viejo, California. Represents the information pertaining to the Woodfield Mall joint venture in the Chicago suburb of Schaumburg, Illinois. Woodfield Mall [Member] Woodfield Mall Fixed Rate Debt, Fair Value The fair value of the amount of fixed rate debt outstanding at the balance sheet date. Fair value of fixed-rate mortgages and unsecured indebtedness GCI Gallerie Commerciali Italia [Member] Gallerie Commerciali Italia (GCI) joint venture in Europe in which the entity owns an interest. Represents information pertaining to Value Retail PLC, in which the entity has a minority interest. Value Retail PLC [Member] Value Retail PLC Home and Regional Office Costs Home and Regional Office Costs. Home and regional office costs Impairment Charge The charge against earnings resulting from the aggregate write down of all assets, except investment in unconsolidated entities, from their carrying value to their fair value. Impairment charge Impairment Expense Impairment charge Impairment related to consolidated investment properties, investments in unconsolidated entities, and available for sale investment securities. Impairment Expense, Net of Tax Non-cash impairment charges, net of tax After tax impairment related to consolidated investment properties, investments in unconsolidated entities, and available for sale investment securities. Non-cash impairment charges, tax effect Tax effect on impairment related to consolidated investment properties, investments in unconsolidated entities, and available for sale investment securities. Impairment Expense, Tax Effect Share of noncontrolling interest holders in non-cash impairment charges Represents the share of noncontrolling interest holders in impairment related to consolidated investment properties, investments in unconsolidated entities, and available for sale investment securities. Impairment Expense, Share of Noncontrolling Interest Holders Increase (Decrease) in Accounts Payable, Accrued Expenses, Intangibles, Deferred Revenues, and Other Liabilities The net change during the reporting period in accounts payable, accrued expenses, intangibles, deferred revenues and other liabilities. Accounts payable, accrued expenses, intangibles, deferred revenues and other liabilities Indebtedness and Derivative Financial Instruments International Joint Venture Properties Number of International joint venture properties The number of properties owned via an International joint venture. Represents the maturity periods of the investments held by the entity. Investment Maturity Period Investment maturity period Joint Venture Properties, Managed by Others Number of joint venture properties managed by others The number of properties owned via a joint venture in which daily operations are managed by groups other than the entity. Joint Venture Properties, Managed, Number Number of joint venture properties managed by the entity The number of properties owned via a joint venture in which daily operations are managed by the entity. Joint Venture Properties, Number Total number of joint venture properties The number of properties owned via a joint venture and accounted for using the equity method of accounting. Limited Partners Number Exchanging Units Number of limited partners exchanging units The number of limited partners that exchanged units for shares of common stock. Premium received on preferred stock issued Additional Paid in Capital, Preferred Stock Limited partners' preferred interest in the Operating Partnership and noncontrolling redeemable interests in properties Limited Partners' Preferred Interest in Operating Partnership and Noncontrolling Redeemable Interests in Properties Represents the Limited Partners' Preferred Interest in Operating Partnership and Noncontrolling Redeemable Interests in Properties. Limited partners' preferred interest in the Operating Partnership and other noncontrolling redeemable interests in properties Capital in excess of par value Additional Paid in Capital The Long-Term Incentive Performance Program which has a one-year performance period. One-year 2010 LTIP Program Long-term Incentive Performance Program One Year [Member] Long-term Incentive Performance Program Three Year [Member] The Long-Term Incentive Performance Program which has a three-year performance period. Three-year 2010 LTIP Program Long-term Incentive Performance Program Two Year [Member] The Long-Term Incentive Performance Program which has a two-year performance period. Two-year 2010 LTIP Program Long-term Incentive Performance Programs [Line Items] Long Term Incentive Performance Programs Capital in Excess of Par Value Additional Paid-in Capital [Member] Management Fees and Other Revenues Revenue, comprised of base and incentive revenue, from operating and managing another entity's business during the reporting period; plus revenues not otherwise specified. Management fees and other revenues Schedule of rollforward of noncontrolling interests A schedule disclosing a roll forward of noncontrolling interests. Movement in Minority Interest Roll Forward [Text Block] Net Income (Loss), Attributable to Preferred Interest in Operating Partnership Net income attributable to preferred interests in the Operating Partnership (in dollars) Net income attributable to preferred interests in the Operating Partnership. Net income, excluding $1,915, $1,915, and $2,315 attributable to preferred interests in the Operating Partnership during 2012, 2011, and 2010, respectively and $8,520 and $8,946 attributable to noncontrolling redeemable interests in properties in temporary equity during 2012 and 2011, respectively The net income (loss), excluding the amount attributable to Preferred Interests in Operating Partnership. Net Income (Loss), Excluding Amount Attributable to Preferred Interests in Operating Partnership Noncontrolling Interest, Increase Investment Units Issued to Limited Partners Units issued to limited partners Increase in noncontrolling interests resulting from the issuance of investment units to limited partners. Noncontrolling Interest Decrease Investment Units Redeemed to Limited Partners Units Redeemed Decrease in noncontrolling interests resulting from the redemption of investment units to limited partners. Noncontrolling interests, carrying amounts, reclassified to permanent equity: Noncontrolling Interests Carrying Amount Reclassified to Equity Item List [Abstract] Noncontrolling interests: A roll forward is a reconciliation of a concept from the beginning of a period to the end of a period. Noncontrolling Interests [Roll Forward] Notional Amount, Foreign Currency Contract Entered into During Period The notional amount of foreign currency contracts entered into during the period. Foreign currency contract, notional amount entered into during period Number of Mortgaged Properties Released on Repayment of Debt Represents the number of mortgaged properties, which were released on subsequent repayment of debt. Number of unencumbered properties on repayment of debt Number of Consolidated Properties Encumbered by Assumption of Debt Represents the number of properties encumbered by assumption of debt in an acquisition. Number of properties encumbered by assumption of debt in acquisition Debt Covenants [Abstract] Debt covenants Fair Value of Debt [Abstract] Fair value of debt Number of Unconsolidated Properties Sold Number of unconsolidated properties sold The number of unconsolidated properties which were sold. Number of Properties Disposed Number of properties disposed This element represents the number of properties that are disposed during the period by the entity. Number of consolidated properties sold Number of Consolidated Properties Received in Distribution Number of consolidated properties received in distribution Represents the consolidated number of properties received due to dissolution of joint venture. Operating Partnership issued units in connection with the acquisition This element represents number of units issued by operating partnership in connection with the acquisition. Number of Units Issued in Connection with Acquisitions Organization Other Comprehensive Income (Loss), Prior Years Other comprehensive income (loss) Other comprehensive income (loss) of prior years. Other Shopping Centers or Outlet Centers [Member] Other shopping centers or outlet centers. Other shopping centers or outlet centers Ownership interest: Ownership Interest Item List [Abstract] Payments for Purchase of Limited Partner Units and Treasury Stock Purchase of limited partner units and treasury stock Cash outflows to purchase limited partner units and treasury stock. Pending Acquisition Expected Consideration to be Paid Pending acquisition, consideration expected to be paid The amount of expected consideration to be paid for a pending acquisition as of the balance sheet date. Pending Acquisition Number of Properties Expected to be Acquired Pending acquisition, number of outlet centers to be acquired The number of properties expected to be acquired due to an acquisition pending as of the balance sheet date. Amortization, included in statements of operations and comprehensive income Amortization [Abstract] Preferred Stock Conversion to Common Stock Series I preferred stock conversion to common stock, common shares The number of common shares issued upon the conversion of preferred stock. Schedule of Taxable Nature of Dividends Declared or Paid [Table Text Block] Schedule of the taxable nature of dividends declared or paid during the reporting period. Schedule of taxable nature of dividend declared The sum of the periodic adjustments of the differences between Preferred Stock's face value and purchase prices that are charged against earnings. This is called amortization if the Preferred Stock was purchased at premium. Series J preferred stock premium amortization Preferred Stock, Premium Amortization Mortgage Loans on Real Estate Interest Income Represents the interest income on the mortgage loan receivable. Interest income on loans held for investment Amount of Reduction in Carrying Amount of Properties Represents the amount of reduction in the carrying value of a property to its estimated net realizable value. Reduction in the carrying value to estimated net realizable value The Prime Outlets Acquisition Company and certain of its affiliated entities. Prime Outlets Acquisition Company and Affiliated Entities Prime Outlets Acquisition Company and Affiliated Entities [Member] Cash inflows from the sale of partnership interests, other assets, and discontinued operations. Net proceeds from sale of assets Net proceeds from disposal of retail properties Proceeds from Sale of Partnership Interests, Other Assets, and Discontinued Operations, Net Proceeds to Joint Venture Partners from Sale of Properties Consideration received by joint venture partners from sale of Simon Ivanhoe (in euros) This element represents proceeds to joint venture partners from sale of properties. Profit (Loss) Excluding Preferred Distributions and Income Attributable to Redeemable Noncontrolling Interests in Consolidated Properties Net income attributable to noncontrolling interests after preferred distributions and income attributable to redeemable noncontrolling interests in consolidated properties The consolidated profit or loss for the period, net of income taxes, including the portion attributable to the noncontrolling interest and excluding preferred distributions and income attributable to redeemable noncontrolling interests in consolidated properties. Properties Acquired, Origin [Axis] Properties segregated by acquisition transaction of the properties. Properties Acquired, Origin [Domain] Acquisition transactions of the properties. Real Estate Acquisitions and Dispositions Real Estate Acquisitions and Dispositions [Line Items] Real Estate Acquisitions and Dispositions Real Estate Acquisitions and Dispositions [Table] Schedule reflecting each real estate acquisitions and dispositions completed during the period. The entire disclosure of real estate acquisitions, disposals, and impairments. Real Estate Acquisitions and Dispositions Real Estate Acquisitions, Disposals and Impairment Disclosure [Text Block] Real Estate Acquisitions, Disposals and Impairment Schedule of Future Minimum Rental Receivable under Operating Leases [Table Text Block] Tabular disclosure of the future minimum lease receivables as of the date of the latest balance sheet presented, in the aggregate and for each of the five succeeding fiscal years, under noncancelable tenant operating leases. Schedule of future minimum rentals to be received under noncancelable tenant operating leases for each of the next five years and thereafter Related Party Interest Income, Net Interest income from SPG-FCM and TMLP loans, net of inter-entity eliminations Interest income earned on notes receivable from related parties during the reporting period, net of inter-entity eliminations. Interest income from SPG-FCM and Mills loans, net of inter-entity eliminations Adjustments to reconcile consolidated net income to net cash provided by operating activities - Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Schedule of Limited Partners Preferred Interest in Operating Partnership and Other Interest in Properties [Table Text Block] Schedule of Limited Partners' Preferred Interests in the Operating Partnership and Other Noncontrolling Redeemable Interests in Properties Disclosure of limited partners preferred interest in operating partnership; preferred interest represents preference in liquidation, redemption, conversion, tax status of distribution or sharing in distributions and also includes other noncontrolling redeemable interests in properties. Schedule of Fair Value of Fixed Rate Mortgages [Text Block] This element represents the schedule disclosing the fair values of fixed rate mortgages and other related disclosures relevant for arriving at its fair value. Schedule of fair value of fixed rate mortgages and the related discount rate assumptions Outstanding nonredeemable series J preferred stock or outstanding series J preferred stock. Classified within stockholders' equity if nonredeemable or redeemable solely at the option of the issuer. Classified within temporary equity if redemption is outside the control of the issuer. Series J Preferred stock Series J Preferred Stock [Member] Series J 8 3/8% Cumulative Redeemable Preferred Stock The aggregate grant date fair value of the awards made under the stock-based compensation plan. Aggregate grant date fair value Share-based Compensation Arrangement by Share-based Payment Award, Aggregate Grant Date, Fair Value Share of Reporting Entity on Disposal of Interest in Joint Venture The Company's share of gain on sale or disposal of assets and interests in unconsolidated entities. Our share of loss on sale or disposal of assets and interests in unconsolidated entities, net Deferred Financing and Leasing Costs, Net Represents the sum of capitalized costs associated with the issuance of debt instruments and costs incurred by a lessor that are (a) costs to originate a lease incurred in transactions with independent third parties that (i) result directly from and are essential to acquire that lease and (ii) would not have been incurred had that leasing transaction not occurred and (b) certain costs directly related to specified activities performed by the lessor for that lease. This element is net of accumulated amortization. Deferred financing and lease costs, net Deferred financing and lease costs, net Finite-Lived Intangible Asset Off-Market Lease Favorable, Net This element represents the identifiable intangible asset based on a favorable difference between the terms of an acquired lease and the current market terms for that lease at the acquisition date, net of accumulated amortization. Acquired above market lease intangibles, net Loans Held-for-investment [Abstract] Loans Held for Investment 1998 Stock Incentive Plan Stock Incentive Plan, 1998 [Member] The Simon Property Group, L.P. 1998 Stock Incentive Plan. TMLP and SPG-FCM The Mills Limited Partnership and SPG-FCM Joint Venture [Member] Represents information pertaining to transactions with Mills Limited Partnership and SPG-FCM joint venture. Related Party Transaction Fees for Services Provided [Member] Amounts for services provided Represents information pertaining to the amounts for services provided to related party. The Mills Acquisition [Member] Properties acquired in the 2007 acquisition of The Mills Corporation. The Mills acquisition Number of Properties in which Additional Interest Acquired Number of properties in which additional interest is acquired Represents the number of properties in which additional interest is acquired. Number of joint ventures in which additional interest is acquired Number of real estate assets Number of Properties Held by Joint Venture The number of unconsolidated entities held by a joint venture which holds some of real estate interests. Number of unconsolidated properties held by our joint venture The Mills [Member] Properties operated as The Mills. The Mills Transaction Expenses Transaction expenses This item represents amount of transaction expenses incurred by the entity during the period. US Treasury or Government and Corporate Debt Securities [Member] Securities in captive insurance subsidiary portfolio U.S. Treasury or other U.S. government securities and corporate debt securities. United States and Puerto Rico [Member] United States and Puerto Rico locations. U.S. and Puerto Rico Usd Euro Forward Contract [Member] A currency forward contract related to fixing the USD-Euro exchange rate for delivery of a specified amount of foreign currency on a specified date. USD-Euro currency forward contract Usd Yen Forward Contract [Member] A currency forward contract related to fixing the USD-Yen exchange rate for delivery of a specified amount of foreign currency on a specified date. USD-Yen currency forward contract Gain (loss) upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net In a business combination achieved in stages, this element represents the amount of gain or loss recognized by the entity as a result of re-measuring to fair value the equity interest in the acquiree it held before the business combination. Also includes the difference between the carrying value and the sales price for consolidated investment property and equity method investments. Gain on sale or disposal of assets and interests in unconsolidated entities, net Gain upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net Gain (loss) upon acquisition of controlling interests, and on sale or disposal of assets and interests in unconsolidated entities, net Acquisition of Controlling Interest Sale or Disposal of Assets and Interests in Unconsolidated Entities Gain or Loss Transaction Expenses Transaction Expenses [Abstract] Corporate and Transaction Related Expenses Corporate and Transaction Related Expenses [Abstract] Acquisition Number of Properties, Acquired Acquisition, number of outlet centers acquired The number of properties acquired under an acquisition, as of the balance sheet date. The number of land parcels written down Following an acquisition, the number of land parcels written down. Number of Land Parcels Written-down Mortgage indebtedness repaid This element represents the repaid debts. Debt Repayments Percentage of Consideration Paid in Cash Percentage of consideration paid in cash This element represents the percentage of consideration paid in cash. Percentage of Consideration Paid in Units Percentage of consideration paid in units This element represents the percentage of consideration paid in units. Operating Partnership Capital Account Units, Issued Operating partnership capital account units, issued (in shares) This element represents the number of units issued by the Operating Partnership. Common Stock Dividends Percent Non Taxable as Return of Capital Represents the percentage of the dividends declared or paid during the period that are nontaxable as a return of capital. Percent nontaxable as return of capital Operating Partnership Capital Account Amount Operating partnership capital account, amount This element represents the amount of units issued by the Operating Partnership. Additional facility fee (as a percent) Line of Credit Additional Basis Spread on Variable Rate The number of additional percentage points added to the reference rate as a facility fee on the line of credit. Debt Instrument Reduction in Basis Spread on Variable Rate Reduction in interest added to reference rate (as a percent) Represents the reduction in percentage points added to the reference rate to compute the variable rate on the debt instrument. Deferred Costs and Other Assets [Policy Text Block] Description of an entity's accounting policy related to deferred costs and other assets. Deferred Costs and Other Assets Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed Current Assets Investment Properties Investment properties The amount of purchase price allocated to investment properties. Loans Held for Investment Loans Held for Investment [Policy Text Block] Describes an entity's accounting policies for investments in mortgage loans or mezzanine loans. Common Stock Dividends Percent Taxable as Long-term Capital Gains Represents the percentage of the dividends declared or paid during the period that are taxable as long-term capital gains. Percent taxable as long-term capital gains Noncontrolling Interests and Temporary Equity Noncontrolling Interests and Temporary Equity [Policy Text Block] Describes the accounting policy for noncontrolling interests and temporary equity. Represents the sum of the percentages of dividends paid by taxable nature. Total percentage of dividends paid Common Stock Dividends Paid Transaction Expenses [Policy Text Block] Describes an entity's accounting policies for expense related to acquisition, potential acquisition and disposition related costs. Transaction Expenses Related Party Transaction, Development Royalty and Other Fees [Member] Development, royalty and other fees Represents information pertaining to the development, royalty and other fees charged to related party. Represents the percentage of the future minimum rental payments receivable under an operating lease, which are attributable to leases with an affiliate of a limited partner in the operating partnership. Percentage of future minimum rentals receivable attributable to leases with an affiliate of a limited partner in the Operating Partnership Future Minimum Payments Receivable Attributable to Leases with Affiliate of Limited Partner in Operating Partnership Represents the percentage of the dividends declared or paid during the period that are taxable as ordinary income. Percent taxable as ordinary income Common Stock Dividends Percent Taxable as Ordinary Income Marketable Securities Others For an unclassified balance sheet, the total of marketable securities other than those categorized as available-for-sale debt securities. Other marketable securities Deferred Financing and Lease Costs Deferred Financing and Leasing Costs [Abstract] Represents the sum of capitalized costs associated with the issuance of debt instruments and costs incurred by a lessor that are (a) costs to originate a lease incurred in transactions with independent third parties that (i) result directly from and are essential to acquire that lease and (ii) would not have been incurred had that leasing transaction not occurred and (b) certain costs directly related to specified activities performed by the lessor for that lease. Such amount is before the consideration of accumulated amortization. Deferred financing and lease costs, gross Deferred Financing and Leasing Costs, Gross Accumulated Amortization Deferred Financing and Lease Costs The accumulated amortization, as of the reporting date, representing the sum of the periodic charge to earnings of deferred costs which are associated with debt obligations existing as of the end of the period and the periodic charge to earnings of initial direct costs which have been deferred and are being allocated over the lease term in proportion to the recognition of rental income. Accumulated amortization Equipment and Fixture [Member] Equipment and fixtures Represents the tangible personal property used to produce goods and services and equipment commonly used in offices and stores that have no permanent connection to the structure of a building or utilities. Accumulated Other Comprehensive Income (Loss) Including, Portion Attributable to Noncontrolling Interest Net of Tax Represents the accumulated other comprehensive income (loss) including portion attributable to noncontrolling interest. Total accumulated other comprehensive loss Accumulated Other Comprehensive Income (Loss) Attributable to Noncontrolling Interest Net of Tax Represents the accumulated other comprehensive income (loss), which is attributable to noncontrolling interest. Less: Accumulated other comprehensive loss attributable to noncontrolling interests Represents the percentage of the entity's leases for which a fixed payment is received from the tenant for the common area maintenance. Common Area Maintenance Fixed Payment Received from Tenant Leases for which fixed payment is received for CAM component (as a percent) Management Fees and Other Revenues [Abstract] Management Fees and Other Revenues Reflects additions to the allowance for loan and lease losses arising due to consolidation of previously unconsolidated entities. Allowance for Loan and Lease Losses Consolidation of Previously Unconsolidated Entities Consolidation of previously unconsolidated properties The number of properties pledged as collateral to secure related mortgage notes. Number of Properties Pledged as Collateral to Secured Mortgage Notes Number of properties pledged as collateral Number of pools of cross-defaulted and cross-collateralized mortgages encumbering the entity's properties. Number of cross-defaulted and cross-collateralized mortgage pools Number of Cross Defaulted and Cross Collateralized Mortgage Pools with Collateral Properties Total number of properties pledged as collateral for cross defaulted and cross collateralized mortgages Number of Properties Cross Defaulted and Cross Collateralized Mortgages, Total The total number of properties pledged as collateral for cross defaulted and cross collateralized mortgages. Line of Credit Facility, Number Number of credit facilities Represents the number of credit facilities available to the entity. The entity's share in the accumulated derivative losses of joint ventures, included in accumulated other comprehensive income (loss). Unrealized Gain (Loss) on Interest Rate, Derivative Accumulated Other Comprehensive Income (Loss) Joint Ventures Accumulated derivative losses from joint venture Right to Elect Number of Board of Directors Right to elect number of board of directors Represents the number of board of directors' members that can be elected by a person or a group. Melvin Simon Family Enterprises Trust [Member] This element represents details pertaining to Melvin Simon Family Enterprises Trust, a related party of the entity. Melvin Simon Family Enterprises Trust The cumulative amount of quarterly distributions per share or per unit. Distribution Made to Member or Limited Partner Per Unit Cumulative quarterly distributions on preferred units (in dollars per share) Preferred Stock Unamortized Premium Preferred stock unamortized premium The amount of preferred stock premium that was originally recognized at the issuance of stock that has yet to be amortized and included in carrying value of preferred stock. Reflects the value of restricted stock awarded to non-employee directors upon initial election. Share-based Compensation Arrangement by Share-based Payment Award, Restricted Stock Award, Value to Director on Initial Election Value of restricted shares awarded to directors on initial election Value of restricted shares awarded to director on re-election Reflects the value of restricted stock awarded to non-employee directors upon re-election. Share-based Compensation Arrangement by Share-based Payment Award, Restricted Stock Award, Value to Director on Reelection Share-based Compensation Arrangement by Share-based Payment Award, Additional Restricted Stock Award, Value to Director Serving as Chairperson of Audit Committee Value of additional restricted shares awarded to director serving as the chairperson of the Audit and Compensation Committees Reflects the value of additional restricted stock awarded to a director serving as a chairperson of audit committee. Reflects the value of additional restricted stock awarded to a director serving as a chairperson of a standing committee other than the Audit Committee. Share-based Compensation Arrangement by Share-based Payment Award, Additional Restricted Stock Award, Value to Director Serving as Chairperson of Other Standing Committees Value of additional restricted shares awarded to a director serving as chairperson of a Governance and Nominating Committees Share-based Compensation Arrangement by Share-based Payment Award, Additional Restricted Units Award to Lead Director Value Value of additional restricted shares awarded to the Lead Director Reflects the value of additional restricted stock awarded to the Lead Director. Range of Exercise Prices from $23.41-$30.38 Range of Exercise Prices from Dollars 23.41 to Dollars 30.38 [Member] This element represents the range of exercise prices from $23.41-$30.38. Range of Exercise Prices from $30.39-$46.97 Range of Exercise Prices from Dollars 30.39 to Dollars 46.97 [Member] This element represents the range of exercise prices from $30.39-$46.97. Range of Exercise Prices from $46.98-$50.17 Range of Exercise Prices from Dollars 46.98 to Dollars 50.17 [Member] This element represents the range of exercise prices from $46.98-$50.17. This item represents the share of reporting entity to an other than temporary decline in value that has been recognized against an investment accounted for under the equity method of accounting. Our Share of Impairment Charge from Investments in Unconsolidated Entities Equity Method Investment, Other than Temporary Impairment Share of Reporting Entity Equity Method Investment, Other than Temporary Impairment, Net of Tax This item represents an other than temporary decline in value, net of tax that has been recognized against an investment accounted for under the equity method of accounting. Impairment charge from investments in unconsolidated entities, net of tax Equity Method Investment, Other than Temporary Impairment, Number of Malls The number of malls for which the entity recognized impairment charges against an investment accounted for under the equity method of accounting. Malls with impairment charges Equity Method Investment, Other than Temporary Impairment, Number of Non-Retail Real Estate Assets The number of non-retail real estate assets for which the entity recognized impairment charges against an investment accounted for under the equity method of accounting. Non-retail real estate assets with impairment charges Schedule of weighted average ownership interest in the operating partnership Schedule of Ownership Interest in Operating Partnership [Table Text Block] Disclosure of information and data related to ownership interest held by the reporting entity in the operating partnership. Schedule of Interest Cost Capitalized [Table Text Block] Tabular disclosure of the interest costs capitalized during each period presented. Schedule of interest capitalized Schedule of deferred costs and other assets Schedule of Deferred Costs and Other Assets [Table Text Block] Tabular disclosure of deferred costs and the carrying amounts of other assets. Schedule of Deferred Financing and Leasing Costs [Table Text Block] Tabular disclosure of deferred financing and leasing costs, including gross carrying amounts and accumulated amortization. Schedule of deferred financing and leasing costs Schedule of Amortization of Deferred Cost [Table Text Block] Disclosure of the components of amortization expense related to deferred financing and leasing costs. Schedule of amortization, included in statements of operations and comprehensive income Debt Instrument, Fixed Rate Maturity Period Represents the weighted-average maturity period for fixed-rate debt instruments. Weighted average maturity period, fixed-rate debt Debt Instrument, Variable Rate Maturity Period Weighted average maturity period, variable-rate debt Represents the weighted-average maturity period for variable-rate debt instruments. Restricted stock awarded during the year, net of forfeitures Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period, Net of Forfeitures The number of shares (or other type of equity) issuable under an equity-based award plan pertaining to grants made during the period, net of forfeitures on other than stock (or unit) option plans (for example, phantom stock or unit plan, stock or unit appreciation rights plan, performance target plan). Prepaid Expense Notes Receivable and Other Assets Prepaids, notes receivable and other assets, net Represents the sum of prepaid expenses, notes receivables and other assets, not separately disclosed. Fixed Rate Debt [Abstract] Fixed-Rate Debt: Variable Rate Debt [Abstract] Variable-Rate Debt: Total land, buildings and improvements Investment Land Building and Building Improvements Aggregate of the carrying amounts as of the balance sheet date of investments in land, building and building improvements. The amount of coverage per occurrence against acts of terrorism maintained by the entity. Insurance Coverage, All Acts of Terrorism Insurance coverage, acts of terrorism Arsenal Mall, Watertown (Boston), MA Represents information pertaining to Arsenal Mall located at Watertown (Boston), MA. Arsenal Mall, Watertown, MA [Member] Real Estate Investment Properties [Policy Text Block] Describes an entity's accounting policy for investments in real estate held solely for investment purposes (income production and capital appreciation). Investment Properties Sale of Consolidated Properties [Member] This element represents the sale of consolidated properties. Sale of Consolidated Properties Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Cumulative Grants, Net of Forfeitures The number of grants, net of forfeitures of equity instruments that are not stock option plans awarded since inception of the plan. Total number of shares awarded, net of forfeiture Total change in each class of partners' capital accounts during the year due to acquisitions, exchanges and conversions. Partners include general, limited and preferred partners. Partners Capital Account Acquisitions, Exchanges and Conversions Issuance of limited partner units Represents the amount of value allocated by a lessor (acquirer) to lease agreements which existed at the time of acquisition of a leased property, net of accumulated amortization. Such amount may include the value assigned to existing tenant relationships and excludes the market adjustment component of the value assigned for above or below-market leases acquired. In-place lease intangibles, net Finite-Lived Intangible Asset Acquired in Place Leases, Net Share-based Compensation Arrangement by Share-based Payment Award, Portion of Employees Stock Options Vested Per Year Represents the portion of stock options for employees vesting on the day prior to the sixth, seventh and eighth anniversaries of grant, subject to continued employment. Portion of stock options vesting on the day prior to the sixth, seventh and eighth anniversaries of grant Number of One Year Extensions Available Number of one-year extensions Number of one-year extension options available Represents the number of one-year extensions available under the commitment. LTIP Retention Award Chairman and CEO [Member] The one-time retention award issued to the chairman and CEO in the form of LTIP units. LTIP Retention Award to Chairman and CEO 2012-2014 LTIP Program The 2012 Long-Term Incentive Performance Program. Long-term Incentive Performance Program 2012 [Member] Long term Incentive Performance Program 2013 [Member] 2013-2015 LTIP program Represents the 2013 Long-Term Incentive Performance Program. Cash inflow and outflow from acquisitions and from consolidation and deconsolidation of properties. Cash from Acquisitions and Cash Impact of Property Consolidation and Deconsolidation Cash from acquisitions and cash impact from the consolidation and deconsolidation of properties King of Prussia [Member] Represents the acquisition of King of Prussia properties. King of Prussia Line of Credit Facility Multi Currency Tranche Multi-currency tranche Represents the multi-currency tranche included under the credit facility. Joint Venture Unconsolidated Properties Number Joint venture unconsolidated properties, number Represents the number of unconsolidated properties owned via joint venture. Klepierre [Member] Klepierre Represents activity related to Klepierre. Represents acquisition of Del Amo Fashion Center. Del Amo Fashion Center Del Amo Fashion Center [Member] SPGFCM Joint Venture [Member] SPG-FCM Represents the information pertaining to the SPG-FCM joint venture. Disposal Group Including Discontinued Operation Debt Obligation Debt obligation related to consolidated properties disposed of Represents the debt obligation related to the consolidated properties which the entity had agreed to dispose off. Shopping Centers [Member] Represents the shopping centers. Shopping centers Comprehensive Income Net of Tax Attributable to Preferred Interests Represents the change in equity [net assets] of a business enterprise during a period from transactions and other events and circumstances from non-owner sources which are attributable to Preferred Interests, if any. Comprehensive income attributable to preferred interests This element represents purchase of noncontrolling interests and other movements included in the statement of changes in stockholders' equity which are not separately disclosed or provided for elsewhere in the taxonomy. Purchase of noncontrolling interests and other Purchase of Noncontrolling Interest and Other Long-term Incentive, Performance Program 2011 [Member] 2011-2013 LTIP Program The 2011 Long-Term Incentive Performance Program. Amortization expense Allocated Share-based Compensation Expense Represents the amount of minimum insurance coverage provided by single insurance provider. Minimum Insurance, Coverage by Single Insurance Provider Minimum insurance coverage Additional insurance proceeds Additional Proceeds from Insurance Settlement, Operating Activities Maximum Represents the maximum amount of additional insurance proceeds to be received from insurance provider. Maximum borrowing capacity to which the credit facility may be expanded per the terms of the agreement, at the option of the reporting entity. Optional expanded maximum borrowing capacity Line of Credit Facility Maximum Borrowing Capacity Optional Expanded Revolving Credit and Supplemental Revolving Credit Facility [Member] Credit Facility and the Supplemental Facility Represents the revolving credit facility and the supplemental revolving credit facility borrowed by the entity. The information pertaining to net total of both facilities related activities. Supplemental Facility Represents the supplemental revolving credit facility borrowed by the entity. Supplemental Revolving Credit Facility [Member] Represents the number of operating partnership units redeemed during the period. Operating Partnership redeemed units (in shares) Operating Partnership, Units, Redeemed Operating Partnership, Redemption Price Per Unit Operating Partnership, redemption price per unit Represents the redemption price per unit of the operating partnership. Describes an entity's accounting policy regarding (1) the principles it follows in consolidating or combining the separate financial statements, including the principles followed in determining the inclusion or exclusion of subsidiaries or other entities in the consolidated or combined financial statements and (2) its treatment of interests (for example common stock, a partnership interest or other means of exerting influence) in other entities, for example consolidation or use of the equity or cost methods of accounting. An entity also may describe its accounting treatment for intercompany accounts and transactions, minority interest, and the income statement treatment in consolidation for issuances of stock by a subsidiary. Also discloses any material changes in classifications in the current financial statements compared to the classifications in the prior year's financial statements, including an explanation of the reason for the change and the areas impacted. Basis of Presentation and Consolidation Disclosure [Text Block] Basis of Presentation Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Rights Percentage at Second and Third Anniversary Represents the percentage of portion of stock-based compensation award for employees vesting at second and third anniversaries of performance period. Vesting rights (as a percent) Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Rights Percentage Per Year Represents the portion of stock options for employees vesting on the day prior to the sixth, seventh and eighth anniversaries of grant, subject to continued employment. Vesting rights (as a percent) Redemption of Limited Partner Units This element represents the redemption of limited partner's unit during the reporting period. Redemption of limited partner units Redemption of limited partner units Number of partnership units exchanged for common stock Represents the number of partnership units exchanged for common stock. Stock Issued during Period, Shares from Limited Partners Investment properties allocation at fair value Represents the amount of real estate investment property allocation at fair value. Real Estate Investment Property, Allocation at Fair Value Investment properties allocation of lease related intangibles Represents the amount of real estate investment property allocation lease related intangibles at fair value. Real Estate Investment Property Allocation, Leased Intangibles at Fair Value Retail Properties [Member] Retail properties Represents activity related to retail properties. Retail Property LTIP programs Represents the long-term incentive performance programs. Long Term Incentive Performance Programs [Member] Percentage of the earned LTIP units to be vest Represents the percentage of the earned LTIP units to be vested on a specified date during the period. Percentage of Earned LTIP Units to be Vested During Period Redemption of Limited Partner Units During Period Value Redemption of limited partner units This element represents the redemption of limited partner's unit during the reporting period. Acquisition of Controlling Interest Sale or Disposal of Assets and Interests in Unconsolidated Entities Gain or Loss Per Diluted Share Net gain (loss) upon acquisition of controlling interests, and on sale or disposal of assets and interests in unconsolidated entities, per diluted share (in dollars per share) In a business combination achieved in stages, this element represents the amount of gain or loss per diluted share recognized by the entity as a result of re-measuring to fair value the equity interest in the acquiree it held before the business combination. Also includes the difference between the carrying value and the sales price for consolidated investment property and equity method investments. Mortgage Loans on Real Estate Held-for-investment, Number of Loans Number of mortgage and mezzanine loans secured by real estate repaid during the year The number of loans on real estate, both mortgage and mezzanine, that are held for investment. Issuance of unit equivalents and other Issuance of Unit Equivalents and Stockholders Equity Other This element represents issuance of unit equivalents and stockholders equity other during the reporting period. ABQ Uptown [Member] Albuquerque, New Mexico lifestyle center Represents the acquisition ABQ Uptown. Number of shares that were purchased out of treasury stock during the period. Shares Purchased Out of Treasury Stock Issuance of unit equivalents and other, treasury stock, shares Stock Issued During Period, Units, Conversion of Units Exchange of limited partner units, units (in shares) The number of units issued during the period upon the conversion of units. An example of a convertible unit is an umbrella partnership real estate investment trust unit (UPREIT unit). Number of Credit Facilities Number of credit facilities Represents the number of credit facilities. Business Acquisition Purchase Price Allocation Debt Discount Mortgage debt including debt premiums The amount of debt discount allocated in a business combination. Allowance for Credit Losses on Financing Receivables [Table Text Block] Schedule of activity in the allowance for credit losses including the activity related to discontinued operations Estimated life of investment property Represents the estimated useful life of investment property over which it get depreciated. Business Acquisition Estimated Useful Life of Investment Properties Represents information pertaining to Empire Mall located at Sioux Falls, SD. Empire Mall, Sioux Falls, SD [Member] Empire Mall, Sioux Falls, SD King of Prussia the Court & the Plaza, King of Prussia, PA [Member] King of Prussia - The Court & The Plaza, King of Prussia (Philadelphia), PA Represents information pertaining to King of Prussia - The Court & The Plaza located at King of Prussia (Philadelphia), PA. Represents information pertaining to Lindale Mall located at Cedar Rapids, IA. Lindale Mall, Cedar Rapids, IA [Member] Lindale Mall, Cedar Rapids, IA Southdale Center, Edina, MN [Member] Southdale Center, Edina (Minneapolis), MN Represents information pertaining to Southdale Center located at Edina (Minneapolis), MN. Corporate and Transaction Related Expenses [Policy Text Block] Describes an entity's accounting policies for corporate and transaction related expenses. Corporate and Transaction Related Expenses Payments for Purchase of Noncontrolling Interest in Consolidated Properties Purchase of noncontrolling interest in consolidated properties The cash outflow associated with purchase of noncontrolling interest in consolidated properties. Number of Series of Units Classified into Temporary Equity The number of series of preferred units classified in temporary equity. Number of Series of Units Classified Into Temporary Equity Number of Long Term Incentive Programs Approved Number of programs approved Represents the number of long term incentive programs approved. Amount of amortization expense (income) expected to be recognized during the next fiscal year following the latest fiscal year for lease intangibles. 2013 Finite Lived Intangible Assets, Amortization Expense (Income) Next Twelve Months Finite Lived Intangible Assets, Amortization Expense (Income) Year Two Amount of amortization expense (income) expected to be recognized during the second fiscal year following the latest fiscal year for lease intangibles. 2014 Accounts written off, net of recoveries Allowance for Loan and Lease Losses, Adjustments, Net Finite Lived Intangible Assets, Amortization Expense (Income) Year Three Amount of amortization expense (income) expected to be recognized during the third fiscal year following the latest fiscal year for lease intangibles. 2015 Finite Lived Intangible Assets, Amortization Expense (Income) Year Four Amount of amortization expense (income) expected to be recognized during the fourth fiscal year following the latest fiscal year for lease intangibles. 2016 Amount of amortization expense (income) expected to be recognized during the fifth fiscal year following the latest fiscal year for lease intangibles. 2017 Finite Lived Intangible Assets, Amortization Expense (Income) Year Five Finite Lived Intangible Assets, Amortization Expense (Income)Year after Year Five Amount of amortization expense (income) expected to be recognized after the fifth fiscal year following the latest fiscal year for lease intangibles. Thereafter Finite Lived Intangible Assets, Amortization Expense (Income) Amount after amortization expense (income) for lease intangibles. Lease intangibles assets, net Represents the post performance period service based vesting period, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents the reported fact of one year, five months, and thirteen days. Share-based Compensation Arrangement by Share-based Payment Award Award Post Performance Service Vesting Period Post performance period service based vesting period Noncontrolling Interests Redeemable at Amount in Excess of Fair Value Noncontrolling interests redeemable at amounts in excess of fair value Represents the noncontrolling interests that are redeemable at amounts in excess of fair value. Loan guarantees recoverable Represents the amount recoverable by the guarantor from the third parties for any of the amounts paid under the guarantee. Guarantee Obligations Recoverable Amount Employees Represents information pertaining to the employees of the entity. Employees [Member] Non Employee Directors [Member] Non-employee Directors Represents information pertaining to the non-employee Directors of the entity. Portland Oregon [Member] Portland, Oregon Represents information pertaining to Portland, Oregon as a location. Outlet center Represents information pertaining to outlet center. Outlet Center [Member] Residential Apartment Buildings [Member] Residential apartment buildings Represents the information pertaining to residential apartment buildings. Business Combination Gain (Loss) Gain on interest acquired Represents gain (loss) recognized on acquisition of interest during the period. Mitsubishi Estate Co Ltd [Member] Mitsubishi Estate Co., Ltd. Represents information pertaining to the Mitsubishi Estate Co., Ltd. Shinsegae International Co [Member] Shinsegae International Co Represents information pertaining to the Shinsegae International Co. Equity Impact of Contributions from Noncontrolling InterestPartners and Other Contributions from noncontrolling interest partners and other Amount of equity impact of contributions from noncontrolling interest partners and other changes. Corporate Debt Securities 2.375 Percent Due October 2020 [Member] Senior unsecured notes 2.375% due October 2020 Represents the debt securities having an interest rate of 1.50 percent, due on October 2020 issued by the entity. Corporate Debt Securities 5.30 Percent to 7.18 Percent [Member] Senior unsecured notes 5.30% to 7.18% Represents the debt securities having interest rates ranging from 5.30 percent to 7.18 percent, issued by the entity. Property Management and Development Companies [Member] Property management and development companies Represents activity related to consolidated property management and development companies. Development Project [Member] Development project Represents activity related to consolidated development projects. Office Properties Boston, MA [Member] Office property, Boston, Massachusetts Represents information pertaining to office properties in located in Boston, MA. Allowance for Credit Losses Allowance for Loan and Lease Losses [Roll Forward] Institutional MallInvestors Joint Venture [Member] IMI Joint Venture Represents the information of the equity method joint venture investee pertaining to Institutional Mall Investors. Number of Real Estate Properties Sold Number of properties sold The number of real estate properties sold. Ashford Designer Outlets [Member] Ashford Designer Outlets Represents information pertaining to the Ashford Designer Outlets. TMLP Senior Loan Facility [Member] Represents activity related to The Mills Limited Partnership (TMLP) senior loan facility. TMLP Senior Loan Facility TMLPS Trust Preferred Securities [Member] TMLP Trust Preferred Securities Represents activity related to The Mills Limited Partnership (TMLP) trust preferred securities. Mall [Member] Mall Represents activity related to mall properties. Number of Joint Venture Interests Sold Number of joint venture interests sold The number of joint venture interests sold. Construction and Other Related Party Loans [Member] Construction and other related party loans Represents the borrowing arrangement, which provides the entity constructing a facility (such as a building and a landfill) with funds to effect construction, generally on a draw down, or as needed, basis and includes information pertaining to the related party loans not otherwise specified in the taxonomy. Number of Luxury Outlets Owned and Operated Number of luxury outlets owned and operated Represents the number of luxury outlets owned and operated. Number of Outlets in which Entity has Minority Direct Ownership Number of outlets in which the entity has a minority direct ownership Represents the number of outlets in which the entity has a minority direct ownership. The number of joint ventures in which the entity has an ownership interest. Joint Ventures, Number Number of joint ventures Construction Loan Facility Maximum Borrowing Capacity Additional financing to rebuild Opry Mills Mall Maximum borrowing capacity under the construction loan without consideration of any current restrictions on the amount that could be borrowed or the amounts currently outstanding under the loan. Additional capital contribution Joint Venture Investment, Additional Capital Contribution Represents the additional capital contribution made by the reporting entity to the joint venture investment entity. International Joint Venture Investments International Joint Venture Investments Item List [Abstract] The minimum claim amount required to be submitted before the excess insurance carrier's coverage liability takes effect. Excess Insurance Carrier Minimum Coverage Provided Excess insurance carrier, minimum coverage The Mills Acquisition 2012 [Member] TMLP 2012 acquisition Represents activity related to The Mills Limited Partnership 2012 acquisition. Amortization of deferred leasing costs Amortization of Deferred Leasing Fees Business Combination Consideration Transferred Issuance of Units Percentage Consideration paid by issuance of units, percentage Percentage of total acquisition price settled with equity units issued. Number of joint ventures to invest in per definitive agreement Number of Joint Ventures in which to Invest Represents the number of joint ventures in which the entity is to invest in. Equity Method Investment Summarized Financial Information Equity Method Investments Investment in unconsolidated entities, at equity The amount of equity method investments reported by an equity method investment of the entity. Amortization of deferred financing costs Amortization of Financing Costs Amount of amortization expenses Amortization of Intangible Assets Amortization of debt premiums, net of discounts Amortization of Debt Discount (Premium) Assets Total assets ASSETS: Assets [Abstract] Aggregate carrying value of consolidated properties disposed of Assets of Disposal Group, Including Discontinued Operation Marketable securities of our captive insurance companies Available-for-sale Securities, Debt Securities Market value of investments Carrying value of investment Available-for-sale Securities, Equity Securities Estimated future amortization, and the increasing (decreasing) effect on below market minimum rents Below Market Lease, Net, Amortization Income, Fiscal Year Maturity [Abstract] Thereafter Below Market Lease, Amortization Income, after Year Five 2015 Below Market Lease, Amortization Income, Year Three 2016 Below Market Lease, Amortization Income, Year Four Unamortized below market leases included in accounts payable, accrued expenses, intangibles and deferred revenues Below Market Lease, Gross 2014 Below Market Lease, Amortization Income, Year Two 2013 Below Market Lease, Amortization Income, Next Twelve Months 2017 Below Market Lease, Amortization Income, Year Five Lease intangibles assets, net Below Market Lease, Net Buildings and improvements Building and Building Improvements [Member] Current liabilities Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Current Liabilities Deferred costs and other assets (including intangibles) Current assets Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Current Assets Business Acquisition [Axis] Total assets Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Assets Cash and cash equivalents Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Cash and Equivalents Business Acquisition, Cost of Acquired Entity, Purchase Price (Deprecated 2013-01-31) Noncurrent liabilities Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Noncurrent Liabilities Noncurrent assets Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Noncurrent Assets Mortgage debt assumed, consolidated Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Noncurrent Liabilities, Long-term Debt Lease related intangibles Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Intangible Assets, Other than Goodwill Total liabilities Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Liabilities Business acquisition Business Acquisition [Line Items] Acquisitions Ownership interest after acquisition (as a percent) Business Combination, Step Acquisition, Equity Interest in Acquiree, Including Subsequent Acquisition, Percentage Joint venture ownership percentage Business Acquisition, Percentage of Voting Interests Acquired Percentage of equity stake acquired Ownership interests acquired (as a percent) Business Acquisition, Acquiree [Domain] Acquisition, consideration paid Business Combination, Consideration Transferred Consideration paid Other liabilities Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Current Liabilities, Other Purchase Accounting Allocation Business Combinations and Other Purchase of Business Transactions, Policy [Policy Text Block] Acquisition related intangibles related to in-place leases Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Finite-Lived Intangibles Excess investment in acquisition of joint venture Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Net Transaction value Business Combination, Recognized Identifiable Assets Acquired, Goodwill, and Liabilities Assumed, Less Noncontrolling Interest Gain due to acquisition of controlling interest Business Combination, Step Acquisition, Equity Interest in Acquiree, Remeasurement Gain (Loss), Net Initial Investment Percentage of Business Acquired Business Combination, Step Acquisition, Equity Interest in Acquiree, Percentage Other-than-temporary non-cash charges Cost-method Investments, Other than Temporary Impairment Security accounted for under the cost method Cost-method Investments [Member] DECREASE IN CASH AND CASH EQUIVALENTS Cash and Cash Equivalents, Period Increase (Decrease) Cash and Cash Equivalents Cash and Cash Equivalents, at Carrying Value [Abstract] CASH AND CASH EQUIVALENTS, beginning of period CASH AND CASH EQUIVALENTS, end of period Cash and cash equivalents Cash and Cash Equivalents, at Carrying Value Cash and Cash Equivalents Cash and Cash Equivalents, Policy [Policy Text Block] Equity Class of Stock [Line Items] Class of Stock [Domain] Commitments and Contingencies. Commitments and contingencies Commitments and Contingencies Commitments and Contingencies Commitments and Contingencies Disclosure [Text Block] Common stock, par value (in dollars per share) Shares of common stock issued in a public offering, price (in dollars per share) Common Stock, Par or Stated Value Per Share Common stock Common Class A [Member] Common Stock Common Stock [Member] Common stock Common Stock, Value, Issued Common stock, shares issued Shares of common stock issued in a public offering Common Stock, Shares, Issued Common stock, voting rights Common Stock, Voting Rights Dividends declared per common share (in dollars per share) Common Stock, Dividends, Per Share, Declared Class B common stock Common Class B [Member] Common stock, shares authorized Common Stock, Shares Authorized Class C common stock Common Class C [Member] Common stock reserved for possible conversion (in shares) Common stock reserved for issuance upon the exchange of units, stock options and Class B common stock (in shares) Common Stock, Capital Shares Reserved for Future Issuance Dividends paid per common share (in dollars per share) Common Stock, Dividends, Per Share, Cash Paid Common stock, shares outstanding Common Stock, Shares, Outstanding Comprehensive income attributable to noncontrolling interests Comprehensive (Income) Loss, Net of Tax, Attributable to Noncontrolling Interest COMPREHENSIVE INCOME Comprehensive Income (Loss), Net of Tax, Attributable to Parent [Abstract] Comprehensive income attributable to common stockholders Comprehensive Income (Loss), Net of Tax, Attributable to Parent Comprehensive income Comprehensive Income (Loss), Net of Tax, Including Portion Attributable to Noncontrolling Interest Comprehensive Income (Loss) Comprehensive Income [Member] Concentration Risk Type [Domain] Concentration of Credit Risk Concentration Risk [Line Items] Concentration Risk Benchmark [Domain] Concentration Risk Type [Axis] Concentration Risk [Table] Concentration Risk Benchmark [Axis] Percentage of consolidated revenues from a single customer or tenant Concentration Risk, Percentage Consolidated properties Consolidated Properties [Member] Consolidated property interests Construction loans Construction Loans [Member] Senior unsecured notes Corporate Debt Securities [Member] Investment in Unconsolidated Entities Cost and Equity Method Investments Disclosure [Text Block] Repairs and maintenance Cost of Property Repairs and Maintenance Value of non-marketable security accounted for under the cost method Carrying value of investments under the cost method Cost Method Investments Cost Method Investments EXPENSES: Costs and Expenses [Abstract] Total operating expenses Total operating expenses Costs and Expenses Cumulative Convertible Preferred Units Cumulative Preferred Stock [Member] Currency [Axis] Concentration of credit risk Customer Concentration Risk [Member] Designated as Hedging Instrument Designated as Hedging Instrument [Member] Reference rate Debt Instrument, Description of Variable Rate Basis Mortgages and other indebtedness Debt Debt Instrument [Line Items] Schedule of Long-term Debt Instruments [Table] Debt issued Debt Instrument, Face Amount Mortgages and unsecured indebtedness Total Mortgages and Other Indebtedness Total mortgages and other indebtedness Debt and Capital Lease Obligations Mortgages Interest added to reference rate (as a percent) Debt Instrument, Basis Spread on Variable Rate Debt Amount of debt redeemed Mortgage indebtedness repaid Debt Instrument, Repurchased Face Amount Total principal maturities Long-term Debt, Gross Debt Debt Disclosure [Text Block] Debt Instrument [Axis] Weighted average interest rate (as a percent) Debt, Weighted Average Interest Rate Debt instrument name, all Debt Instrument, Name [Domain] Investment properties allocation of debt discounts Net discount Debt Instrument, Unamortized Discount Net premiums Debt Instrument, Unamortized Premium Interest rate on debt (as a percent) Interest rate on secured loan (as a percent) Debt Instrument, Interest Rate, Stated Percentage Net unamortized debt premiums and discounts Net unamortized debt premiums Debt Instrument, Unamortized Discount (Premium), Net Average interest rate (as a percent) Debt Instrument, Interest Rate During Period Interest rate, high end of range (as a percent) Debt Instrument, Interest Rate, Stated Percentage Rate Range, Maximum Interest rate, low end of range (as a percent) Debt Instrument, Interest Rate, Stated Percentage Rate Range, Minimum Deferred costs and other assets Deferred costs and other assets Deferred Costs and Other Assets Deferred Financing and Lease Costs Deferred Charges, Policy [Policy Text Block] Deferred tax assets related to TRS subsidiaries, net Deferred Tax Assets, Net of Valuation Allowance Income Taxes Deferred Tax Assets, Net [Abstract] Depreciation and amortization Depreciation, Depletion and Amortization, Nonproduction Derivative financial instruments Derivative [Line Items] Exchange rate used in currency forward contracts Derivative, Forward Exchange Rate Derivative Instrument [Axis] Derivative [Table] Interest rate swap agreements and foreign currency forward contracts, gross asset balance Derivative Asset, Fair Value, Gross Asset Interest rate swap agreements and foreign currency forward contracts, gross liability balance Derivative Liability, Fair Value, Gross Liability Derivative, by Nature [Axis] Fixed rate swap agreements, weighted average fixed pay rate (as a percent) Derivative, Average Fixed Interest Rate Fixed rate swap agreements, weighted average variable receive rate (as a percent) Derivative, Average Variable Interest Rate Derivative, Name [Domain] Derivative Contract [Domain] Derivative Financial Instruments Derivatives, Policy [Policy Text Block] Construction in progress, included above Development in Process Effect of dilutive securities: Dilutive Securities, Effect on Basic Earnings Per Share [Abstract] Impact to General Partner's interest in Operating Partnership from all dilutive securities and options Dilutive Securities, Effect on Basic Earnings Per Share Property operating Direct Costs of Leased and Rented Property or Equipment Automatic Awards for Eligible Directors Director [Member] Discontinued Operations Discontinued Operation, Income (Loss) from Discontinued Operation Disclosures [Abstract] Gain on sale of or disposal of assets and interests in unconsolidated entities Gain on disposition Discontinued Operation, Gain (Loss) from Disposal of Discontinued Operation, before Income Tax Discontinued Operations Discontinued Operations, Policy [Policy Text Block] Discontinued operations Discontinued Operation, Income (Loss) from Discontinued Operation During Phase-out Period, Net of Tax Gain (loss) on disposal of discontinued operations (Loss) Gain on disposal of discontinued operations, net Discontinued Operation, Gain (Loss) on Disposal of Discontinued Operation, Net of Tax Disposal Groups, Including Discontinued Operations, Name [Domain] Distributions to common stockholders and limited partners, excluding Operating Partnership preferred interests Distributions to other noncontrolling interest partners Distribution Made to Limited Partner, Cash Distributions Declared Units distributed to limited partners (in shares) Distribution Made to Limited Partner, Unit Distribution Preferred dividends Dividends, Preferred Stock Europe Europe [Member] BASIC EARNINGS PER COMMON SHARE: Earnings Per Share, Basic [Abstract] DILUTED EARNINGS PER COMMON SHARE: Earnings Per Share, Diluted [Abstract] Per Share Data Earnings Per Share [Text Block] Net income attributable to common stockholders (in dollars per share) Net income (loss) per share - Basic Earnings Per Share, Basic Net income attributable to common stockholders (in dollars per share) Net income (loss) per share - Diluted Earnings Per Share, Diluted Per Share Data Employee Options Employee Stock Option [Member] Add: Excess Investment Equity Method Investment, Difference Between Carrying Amount and Underlying Equity Equity Equity Method Investments Equity Method Investments [Member] Total revenues Equity Method Investment, Summarized Financial Information, Revenue Noncontrolling interests Equity Method Investment, Summarized Financial Information, Noncontrolling Interest Investment in unconsolidated entities, at equity Equity Method Investments Equity investment Our net Investment in unconsolidated entities, at equity Total assets Equity Method Investment, Summarized Financial Information, Assets Total assets STATEMENTS OF OPERATIONS Equity Method Investment, Summarized Financial Information, Income Statement [Abstract] Ownership interest (as a percent) Joint venture ownership percentage Equity Method Investment, Ownership Percentage Partners' deficit Equity Method Investment, Underlying Equity in Net Assets Impairment charge from investments in unconsolidated entities Other than temporary impairment charge Equity Method Investment, Other than Temporary Impairment Gain on sale of equity method investment Equity Method Investment, Realized Gain (Loss) on Disposal Gain due to formation of joint venture Consolidated net Income Equity Method Investment, Summarized Financial Information, Net Income (Loss) Net Income Equity method investee type, all Investment, Name [Domain] Total operating income Equity Method Investment, Summarized Financial Information, Income (Loss) from Continuing Operations before Extraordinary Items Income from Continuing Operations Equity Component [Domain] Liabilities and Partners' Deficit: Equity Method Investment, Summarized Financial Information, Liabilities and Equity [Abstract] Total liabilities Equity Method Investment, Summarized Financial Information, Liabilities Assets: Equity Method Investment, Summarized Financial Information, Assets [Abstract] Proceeds from Equity Method Investment, Dividends or Distributions Distribution from joint venture financing proceeds Distributions of income from unconsolidated entities Aggregate cash received Equity Method Investment, Net Sales Proceeds Investment in Unconsolidated Entities Redemption of debt at par Extinguishment of construction loans Extinguishment of Debt, Amount Loss on debt extinguishment Charge recorded in earnings on repayment of debt Extinguishment of Debt, Gain (Loss), Net of Tax Measurement Frequency [Axis] Fair Value Measurements, Recurring and Nonrecurring [Table] Fair Value, Hierarchy [Axis] Weighted average discount rates assumed in calculation of fair value for fixed-rate mortgages (as a percent) Fair Value Inputs, Discount Rate Recurring Fair Value, Measurements, Recurring [Member] Fair Value, Measurement Frequency [Domain] Fair Value Measurement: Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items] Fair Value Hierarchy [Domain] Fair Value Measurements Fair Value of Financial Instruments, Policy [Policy Text Block] Level 3 Fair Value, Inputs, Level 3 [Member] Level 1 Fair Value, Inputs, Level 1 [Member] Level 2 Fair Value, Inputs, Level 2 [Member] Joint Venture Mortgage and Indebtedness Financial Guarantee [Member] Life of joint ventures with excess investment Average life of in-place lease intangibles Finite-Lived Intangible Asset, Useful Life Lease intangibles assets, gross Finite-Lived Intangible Assets, Gross Intangible Assets Finite-Lived Intangible Assets [Line Items] Estimated future amortization, and the increasing (decreasing) effect on minimum rents Finite-Lived Intangible Assets, Net, Amortization Expense, Fiscal Year Maturity [Abstract] Accumulated amortization Finite-Lived Intangible Assets, Accumulated Amortization Lease intangibles assets, net Finite-Lived Intangible Assets, Net Finite-Lived Intangible Assets, Major Class Name [Domain] Finite-Lived Intangible Assets by Major Class [Axis] Weighted average remaining life of intangible Finite-Lived Intangible Assets, Remaining Amortization Period Furniture, fixtures and equipment Fixtures and Equipment, Gross Asset value of forwards included in deferred costs and other assets Foreign Currency Derivatives at Fair Value, Net Foreign exchange contract Foreign Exchange Contract [Member] Liability balance, foreign exchange forward contracts Foreign Currency Derivative Liabilities at Fair Value Currency forward contracts Forward Contracts [Member] Gain recognized on sale of investment Gain (Loss) on Investments, Excluding Other than Temporary Impairments Marketable and non-marketable securities charges and realized gains, net Gain (Loss) on Investments Gain on disposition Gain (Loss) on Disposition of Assets Loss on debt extinguishment Loss on extinguishment of debt Gains (Losses) on Extinguishment of Debt General and administrative General and Administrative Expense Intangibles Goodwill and Intangible Assets, Policy [Policy Text Block] Goodwill Goodwill Guarantor Obligations, Nature [Axis] Guarantor Obligations, Nature [Domain] Guarantees of Joint Venture Indebtedness: Guarantor Obligations [Line Items] Loan guarantee Guarantor Obligations, Maximum Exposure, Undiscounted Hedging Designation [Axis] Hedging Designation [Domain] Investments used to fund debt service requirements Held-to-maturity Securities, Restricted Held-to-maturity securities Held-to-maturity Securities [Member] Other-than temporary impairment on investment Other than Temporary Impairment Losses, Investments Income from continuing operations (in dollars per share) Income (loss) from continuing operations per share - Basic (in dollars per share) Income (Loss) from Continuing Operations, Per Basic Share Income from Unconsolidated Entities Equity in income of unconsolidated entities Income from unconsolidated entities Share of net income, net of amortization of our excess investment Income (Loss) from Equity Method Investments Income from Continuing Operations Income (Loss) from Continuing Operations Attributable to Parent Discontinued operations (in dollars per share) Income (Loss) from Discontinued Operations and Disposal of Discontinued Operations, Net of Tax, Per Diluted Share Consolidated Statements of Operations and Comprehensive Income Disposal Group Name [Axis] Sale of Properties Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items] Income from continuing operations (in dollars per share) Income (loss) from continuing operations per share - Diluted (in dollars per share) Income (Loss) from Continuing Operations, Per Diluted Share Discontinued operations (in dollars per share) Income (Loss) from Discontinued Operations and Disposal of Discontinued Operations, Net of Tax, Per Basic Share Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Table] Income and other taxes Income Tax Expense (Benefit) Income (Loss) from Discontinued Operations, Net of Tax, Attributable to Parent Gain (loss) from operations of discontinued joint venture interests Income Taxes Income Tax, Policy [Policy Text Block] Tenant receivables and accrued revenue, net Increase (Decrease) in Accounts and Notes Receivable Changes in assets and liabilities - Increase (Decrease) in Operating Capital [Abstract] Deferred costs and other assets Increase (Decrease) in Prepaid Expense and Other Assets Increase (Decrease) in Stockholders' Equity Increase (Decrease) in Stockholders' Equity [Roll Forward] Effect of stock options (in shares) Incremental Common Shares Attributable to Dilutive Effect of Share-based Payment Arrangements Effect of contingently issuable shares from stock dividends (in shares) Incremental Common Shares Attributable to Dilutive Effect of Contingently Issuable Shares Interest expense Interest expense Interest Expense Capitalized interest Interest Costs Capitalized Interest income from TMLP and SPG-FCM, net of inter-entity eliminations Interest Income, Related Party Amount expected to be reclassified from accumulated other comprehensive loss to earnings within the next year Interest Rate Cash Flow Hedge Gain (Loss) to be Reclassified During Next 12 Months, Net Cash paid for interest Interest Paid, Net Interest rate derivative asset, fair value Interest rate derivative asset, fair value Interest Rate Derivative Assets, at Fair Value Outstanding consolidated derivatives net liability Interest rate net derivative liability, fair value Interest Rate Derivatives, at Fair Value, Net Interest rate swap Interest Rate Swap [Member] Interest rate cap Interest Rate Cap [Member] Marketable and Non-Marketable Securities Investment, Policy [Policy Text Block] Buildings and improvements Investment Building and Building Improvements Investments [Domain] Number of shares owned Investment Owned, Balance, Shares Shares owned Excess investment Investment Owned, Unrecognized Unrealized Appreciation Marketable and Non-Marketable Securities Investment Holdings [Line Items] Investment Type [Axis] Investment Holdings [Table] Investment Secondary Categorization [Axis] Marketable and non-marketable security secondary categorization, all Investments by Secondary Categorization [Domain] Estimated fair value of newly consolidated properties Investments in Affiliates, Subsidiaries, Associates, and Joint Ventures, Fair Value Disclosure Investment in Klepierre, at equity Investments in and Advance to Affiliates, Subsidiaries, Associates, and Joint Ventures Investments Investments, Fair Value Disclosure Letters of credit outstanding Letters of Credit Outstanding, Amount Fixed-rate mortgages and other indebtedness Carrying value of fixed-rate mortgages and other indebtedness Long-term Debt, Percentage Bearing Fixed Interest, Amount Variable-rate mortgages and other indebtedness Long-term Debt, Percentage Bearing Variable Interest, Amount Long-term Debt, Type [Axis] Debt type, all Long-term Debt, Type [Domain] Land Land Ground lease expense Operating Leases, Rent Expense Rentals under Operating Leases In-place lease intangibles Leases, Acquired-in-Place [Member] Lease Commitments Leases, Operating [Abstract] Above and below market leases Leases, Acquired-in-Place, Market Adjustment [Member] Credit Facility Letter of Credit [Member] Total liabilities and equity Total liabilities and partners' equity Liabilities and Equity LIABILITIES: Liabilities [Abstract] Total liabilities Total liabilities Liabilities Maximum amount outstanding during period Line of Credit Facility, Maximum Amount Outstanding During Period Maximum borrowing capacity Line of Credit Facility, Maximum Borrowing Capacity Credit facility, weighted average amount outstanding Line of Credit Facility, Average Outstanding Amount Credit facility, amount outstanding Line of Credit Facility, Amount Outstanding Credit Facility Line of Credit [Member] Available borrowing capacity Line of Credit Facility, Remaining Borrowing Capacity Basis points added to base rate for loans (as a percent) Loans Receivable, Basis Spread on Variable Rate Basis spread on variable rate (as a percent) Variable base rate Loans Receivable, Description of Variable Rate Basis Interest rate (as a percent) Loans Receivable with Variable Rates of Interest Balance, beginning of period Balance, end of period Loans and Leases Receivable, Allowance Loans to related party Loans and Leases Receivable, Related Parties Long Long [Member] Weighted average interest rate, variable-rate debt (as a percent) Long-term Debt, Percentage Bearing Variable Interest, Percentage Rate 2014 Long-term Debt, Maturities, Repayments of Principal in Year Two 2016 Long-term Debt, Maturities, Repayments of Principal in Year Four 2017 Long-term Debt, Maturities, Repayments of Principal in Year Five Thereafter Long-term Debt, Maturities, Repayments of Principal after Year Five 2015 Long-term Debt, Maturities, Repayments of Principal in Year Three Weighted-average interest rate, fixed-rate debt (as a percent) Weighted average interest rate, variable-rate debt (as a percent) Long-term Debt, Percentage Bearing Fixed Interest, Percentage Rate Debt Maturity and Other Long-term Debt, Fiscal Year Maturity [Abstract] 2013 Long-term Debt, Maturities, Repayments of Principal in Next Twelve Months Marketable securities with Level 1 fair value inputs Marketable Securities Aggregate unrealized gain (loss) on available-for-sale investments, net Marketable Securities, Unrealized Gain (Loss) Advertising and promotion Marketing and Advertising Expense Maximum Maximum [Member] Minimum Minimum [Member] Limited partners' interests in the Operating Partnership Noncontrolling Interest in Operating Partnerships Purchase of noncontrolling interests Noncontrolling Interest, Decrease from Redemptions or Purchase of Interests Noncontrolling Interest Noncontrolling Interest [Line Items] Schedule of carrying amount of noncontrolling interests Noncontrolling Interest Disclosure [Text Block] Distributions to other noncontrolling interest partners Distributions to noncontrolling interest holders Noncontrolling Interest, Decrease from Distributions to Noncontrolling Interest Holders Noncontrolling Interest [Table] Ownership percentage in the Operating Partnership Noncontrolling Interest, Ownership Percentage by Parent Noncontrolling interests Total noncontrolling interests reflected in equity Stockholders' Equity Attributable to Noncontrolling Interest Purchase of noncontrolling interest Noncontrolling Interest in Joint Ventures Interest rates on mortgage notes and mezzanine loans, maximum (as a percent) Mortgage Loans on Real Estate, Maximum Interest Rate in Range Interest rate on mortgage loan (as a percent) Mortgage Loans on Real Estate, Interest Rate Remaining mortgage loans Mortgage Loans on Real Estate Aggregate face amount of mortgage notes Mortgage Loans on Real Estate, Face Amount of Mortgages Interest rates on mortgage notes and mezzanine loans, minimum (as a percent) Mortgage Loans on Real Estate, Minimum Interest Rate in Range Number of non-recourse mortgage notes under which the Company and subsidiaries are borrowers Number of mortgage loans repaid Mortgage Loans on Real Estate, Number of Loans Real Estate, Type of Property [Axis] Aggregate carrying values of mortgages and mezzanine loans Loans held for investment Mortgage Loans on Real Estate, Carrying Amount of Mortgages Real Estate [Domain] Mortgages Mortgages [Member] Organization Nature of Operations [Text Block] CASH FLOWS FROM FINANCING ACTIVITIES: Net Cash Provided by (Used in) Financing Activities [Abstract] NET INCOME ATTRIBUTABLE TO COMMON STOCKHOLDERS Net Income attributable to Common Stockholders - Basic Net income attributable to common stockholders Net income attributable to common stockholders Net Income (Loss) Available to Common Stockholders, Basic Net income attributable to noncontrolling redeemable interests in properties in temporary equity (in dollars) Net Income (Loss) Attributable to Redeemable Noncontrolling Interest Net Income attributable to Common Stockholders - Diluted Net Income attributable to Common Stockholders - Diluted Net Income (Loss) Available to Common Stockholders, Diluted CASH FLOWS FROM INVESTING ACTIVITIES: Net Cash Provided by (Used in) Investing Activities [Abstract] Net cash used in investing activities Net Cash Provided by (Used in) Investing Activities CASH FLOWS FROM OPERATING ACTIVITIES: Net Cash Provided by (Used in) Operating Activities [Abstract] Net cash (used in) provided by financing activities Net Cash Provided by (Used in) Financing Activities Net cash provided by operating activities Net Cash Provided by (Used in) Operating Activities Net Income Net Income (Loss) Attributable to Parent Net income attributable to noncontrolling interests Net Income (Loss) Attributable to Noncontrolling Interest Recently Issued Accounting Pronouncements Recently Issued Accounting Pronouncements New Accounting Pronouncements and Changes in Accounting Principles [Text Block] Debt extinguished, noncash Notes Reduction Notes receivable from related party Loan receivable from SPG-FCM Notes Receivable, Related Parties Notional Amount of Interest Rate Derivatives (Deprecated 2013-01-31) Amount of foreign exchange forward contracts (in Japanese Yen) Notional Amount of Foreign Currency Derivative Purchase Contracts (Deprecated 2013-01-31) Number of countries Number of Countries in which Entity Operates Number of income-producing properties Number of properties secured by non-recourse mortgage notes Number of properties included in consolidation Number of Real Estate Properties Number of properties Properties subject to ground leases Number of Properties Subject to Ground Leases Number of Instruments Number of Interest Rate Derivatives Held Number of U.S. states containing property locations Number of States in which Entity Operates Number of reportable segments Number of Reportable Segments Adjustment to limited partners' interest from change in ownership in the Operating Partnership Noncontrolling Interest, Increase from Subsidiary Equity Issuance Noncontrolling Interests Noncontrolling interests Noncontrolling Interest [Member] Not Designated as Hedging Instrument Not Designated as Hedging Instrument [Member] Thereafter Operating Leases, Future Minimum Payments, Due Thereafter Future minimum lease payments due under ground leases Operating Leases, Future Minimum Payments Due, Fiscal Year Maturity [Abstract] 2016 Operating Leases, Future Minimum Payments, Due in Four Years Rentals under Operating Leases Operating Leases of Lessor Disclosure [Text Block] Future minimum rental receivables Operating Leases, Future Minimum Payments Receivable 2017 Operating Leases, Future Minimum Payments, Due in Five Years Total rents Operating Leases, Income Statement, Lease Revenue 2016 Operating Leases, Future Minimum Payments Receivable, in Four Years 2015 Operating Leases, Future Minimum Payments, Due in Three Years 2013 Operating Leases, Future Minimum Payments Due, Next Twelve Months 2014 Operating Leases, Future Minimum Payments Receivable, in Two Years Thereafter Operating Leases, Future Minimum Payments Receivable, Thereafter OPERATING INCOME Operating Income Operating Income (Loss) 2013 Operating Leases, Future Minimum Payments Receivable, Current Minimum rent Operating Leases, Income Statement, Minimum Lease Revenue Overage rent Operating Leases, Income Statement, Contingent Revenue 2017 Operating Leases, Future Minimum Payments Receivable, in Five Years Future minimum rentals to be received under noncancelable tenant operating leases Operating Leases, Future Minimum Payments Receivable [Abstract] 2014 Operating Leases, Future Minimum Payments, Due in Two Years Total Operating Leases, Future Minimum Payments Due 2015 Operating Leases, Future Minimum Payments Receivable, in Three Years Basis of Presentation Funding of loans to related parties Origination of Notes Receivable from Related Parties Net current-period other comprehensive income (loss) Other Comprehensive Income (Loss), Net of Tax Other comprehensive income (loss) Other comprehensive income (loss) Unrealized loss on interest rate hedge agreements Other Comprehensive Income (Loss), Derivatives Qualifying as Hedges, Net of Tax Other-than-temporary impairment on an investment, reclassified to earnings from accumulated other comprehensive incomes (losses) Other than Temporary Impairment Losses, Investments, Portion Recognized in Earnings, Net, Available-for-sale Securities Unrealized gain on marketable securities Other Comprehensive Income (Loss), Available-for-sale Securities Adjustment, Net of Tax Mark-to-market change in other comprehensive income for Liberty Investment Other Comprehensive (Income) Loss, Reclassification Adjustment from AOCI for Write-down of Securities, Net of Tax Other Other Credit Derivatives [Member] Amount included in gain reclassified from accumulated other comprehensive income (loss) Other than Temporary Impairment Losses, Investments, Portion Recognized in Earnings, Net Other comprehensive income (loss) before reclassifications Other Comprehensive Income (Loss), before Reclassifications, Net of Tax Currency translation adjustments Other Comprehensive Income (Loss), Foreign Currency Transaction and Translation Adjustment, Net of Tax Net loss reclassified from accumulated other comprehensive income into earnings Net loss reclassified from accumulated other comprehensive loss into earnings Other Comprehensive Income (Loss), Reclassification Adjustment from AOCI on Derivatives, Net of Tax Adjustment in value of investment recorded in other comprehensive income Other Comprehensive Income (Loss), Unrealized Holding Gain (Loss) on Securities Arising During Period, Net of Tax Other Other Cost and Expense, Operating Unrealized (loss) gain on derivative hedge agreements Unrealized (loss) gain on derivative hedge agreements Other Comprehensive Income (Loss), Unrealized Gain (Loss) on Derivatives Arising During Period, Net of Tax Unrealized loss on foreign currency translation Other Comprehensive Income (Loss), Foreign Currency Transaction and Translation Gain (Loss) Arising During Period, Net of Tax Other income Other Income Other liabilities Other Liabilities Partners' deficit Other Partners' Capital Nonredeemable noncontrolling deficit interests in properties, net Other Noncontrolling Interests Other comprehensive income (loss) allocable to noncontrolling interests: Other Comprehensive (Income) Loss, Net of Tax, Portion Attributable to Noncontrolling Interest [Abstract] Position [Domain] Position [Axis] Partially owned properties Partially Owned Properties [Member] Consolidated and unconsolidated property interests Real estate property interests Issuance of limited partner units, units Partners' Capital Account, Units, Sold in Public Offering Acquisitions Payments to Acquire Real Estate and Real Estate Joint Ventures Purchase of limited partner units Payments for Repurchase of Other Equity Capital expenditures, net Payments for (Proceeds from) Productive Assets Distributions to limited partners Payments of Ordinary Dividends, Noncontrolling Interest Acquisition, consideration paid Payments to Acquire Equity Method Investments Purchase price of business acquired Purchase price of equity method investment acquired Purchase of marketable and non-marketable securities Payments to Acquire Investments Aggregate cash purchase price for acquisition Payments to Acquire Businesses, Gross Investments in unconsolidated entities Payments to Acquire Interest in Subsidiaries and Affiliates Preferred dividends and distributions to stockholders Payments of Ordinary Dividends Purchase of loans held for investment Payments to Acquire Loans Held-for-investment Payment to acquire additional interest Payments to Acquire Interest in Joint Venture Charge to earning as a result of tender offer Payments of Debt Issuance Costs Trust preferred securities retired Payments to Acquire Trust Preferred Investments Distributions to noncontrolling interest holders in properties Payments to Noncontrolling Interests Plan Name [Domain] Plan Name [Axis] Liquidation preference (in dollars per share) Preferred Stock, Liquidation Preference Per Share Preferred stock stated dividend rate percentage Temporary equity stated dividend rate percentage Preferred Stock, Dividend Rate, Percentage Series G preferred stock accretion Preferred Stock, Accretion of Redemption Discount Series J 8 3/8% cumulative redeemable preferred stock, 1,000,000 shares authorized, 796,948 issued and outstanding with a liquidation value of $ 39,847 Preferred Stock, Value, Issued Series J 8 3/8% cumulative redeemable preferred stock, shares issued Preferred Stock, Shares Issued Series J 8 3/8% cumulative redeemable preferred stock, shares authorized Preferred Stock, Shares Authorized Redemption price, Series I Preferred Stock and Operating Partnership Series I Preferred Units (in dollars per share) Redemption price of preferred stock (in dollars per share) Preferred Stock, Redemption Price Per Share Series J 8 3/8% cumulative redeemable preferred stock, liquidation value (in dollars) Preferred Stock, Liquidation Preference, Value Aggregate cash redemption payment Series J 8 3/8% cumulative redeemable preferred stock, shares outstanding Preferred Stock, Shares Outstanding Preferred Stock Preferred Stock [Member] Preferred units Preferred Units, Preferred Partners' Capital Accounts Distributions of capital from unconsolidated entities and other Proceeds from Equity Method Investment, Dividends or Distributions, Return of Capital Preferred stock redemptions Proceeds from (Repurchase of) Redeemable Preferred Stock Proceeds from sale or disposal of real estate assets Proceeds from Real Estate and Real Estate Joint Ventures Proceeds from sales of common stock and other, net of transaction costs Proceeds from Issuance or Sale of Equity Contributions from noncontrolling interest holders in properties Proceeds from Noncontrolling Interests Proceeds from sale of interest in joint venture Proceeds from Divestiture of Interest in Joint Venture Proceeds from issuance of debt, net of transaction costs Proceeds from issuance of senior unsecured notes Proceeds from Issuance of Long-term Debt and Capital Securities, Net Proceeds from businesses sold Proceeds from Divestiture of Businesses and Interests in Affiliates Proceeds from offering, net of issue costs Proceeds from Issuance Initial Public Offering Insurance proceeds funded by insurers Proceeds from Insurance Settlement, Operating Activities Proceeds from common stock issued in a public offering Proceeds from Issuance of Common Stock Repayments of loans held for investment Repayments of loans held for investment Proceeds from Sale of Loans Held-for-investment Net proceeds of option exercises (in dollars) Proceeds from Stock Options Exercised Proceeds received from the sale of investments Proceeds from Sale of Available-for-sale Securities, Equity Sale of marketable securities Proceeds from Sale and Maturity of Marketable Securities Proceeds from senior unsecured notes Proceeds from Unsecured Notes Payable Proceeds from sale of available-for-sale securities Proceeds from Sale of Available-for-sale Securities Proceeds from sale of marketable and non-marketable securities Proceeds from Sale, Maturity and Collection of Investments CONSOLIDATED NET INCOME Consolidated Net Income Consolidated net income Net Income (Loss), Including Portion Attributable to Noncontrolling Interest Depreciable life Useful life Property, Plant and Equipment, Useful Life Property, Plant and Equipment, Type [Domain] Property, Plant and Equipment, Type [Axis] Investment properties Property, Plant and Equipment [Line Items] Provision for (recovery of) credit losses (Recovery of) provision for credit losses Provision for Loan, Lease, and Other Losses Provision for credit losses Provision for Loan and Lease Losses Quarterly Financial Data (Unaudited) Quarterly Financial Information [Text Block] Quarterly Financial Data (Unaudited) Range [Axis] Range [Domain] Land SEC Schedule III, Real Estate and Accumulated Depreciation, Carrying Amount of Land Buildings and Improvements SEC Schedule III, Real Estate and Accumulated Depreciation, Initial Cost of Buildings and Improvements Gross Amounts At Which Carried At Close of Period SEC Schedule III, Real Estate, Gross [Abstract] Buildings and Improvements SEC Schedule III, Real Estate and Accumulated Depreciation, Carrying Amount of Buildings and Improvements Balance, beginning of year Balance, close of year Accumulated Depreciation Accumulated Depreciation SEC Schedule III, Real Estate Accumulated Depreciation Disposals and deconsolidations SEC Schedule III, Real Estate Accumulated Depreciation, Real Estate Sold Investment Properties Real Estate Owned [Text Block] Investment Properties Schedule III Real Estate and Accumulated Depreciation SEC Schedule III, Real Estate and Accumulated Depreciation Disclosure [Text Block] Real Estate Properties [Domain] Real Estate Property Ownership [Axis] Original investment de-merged into CSCG and CAPC Real Estate Investment [Member] Name of Property [Domain] Investment properties at cost Investment properties at cost Investment properties, at cost Real Estate Investment Property, at Cost Owned, developed and managed retail properties: Basis of Presentation Real Estate Properties [Line Items] Real Estate Acquisitions and Dispositions Investment properties, net Real Estate Investment Property, Net SEC Schedule III, Real Estate and Accumulated Depreciation, by Property [Table] Investment Properties Real Estate Investments, Net [Abstract] Schedule III Real Estate and Accumulated Depreciation Land SEC Schedule III, Real Estate and Accumulated Depreciation, Initial Cost of Land Real Estate and Accumulated Depreciation Estimated original lives SEC Schedule III, Real Estate and Accumulated Depreciation [Line Items] Date of Construction Name of Property [Axis] Less - accumulated depreciation Real Estate Investment Property, Accumulated Depreciation Encumbrances as of Year End SEC Schedule III, Real Estate and Accumulated Depreciation, Amount of Encumbrances Initial Cost SEC Schedule III, Real Estate and Accumulated Depreciation, Initial Cost [Abstract] Total Balance, beginning of year Balance, close of year SEC Schedule III, Real Estate, Gross Real estate taxes Real Estate Tax Expense Insurance Real Estate Taxes and Insurance [Abstract] Unaudited aggregate cost of real estate for federal income tax purposes SEC Schedule III, Real Estate, Federal Income Tax Basis Disposals and deconsolidations SEC Schedule III, Real Estate, Cost of Real Estate Sold Improvements SEC Schedule III, Real Estate, Improvements Acquisitions and consolidations SEC Schedule III, Real Estate, Other Acquisitions Property interest acquired Receivable [Domain] Allowance for Credit Losses Receivables, Policy [Policy Text Block] Amount reclassified from accumulated other comprehensive income (loss) Reclassification out of Accumulated Other Comprehensive Income [Member] Reclassification out of Accumulated Other Comprehensive Income [Domain] Reclassification out of Accumulated Other Comprehensive Income [Axis] Reclassification Out of Accumulated Other Comprehensive Income [Table] Reclassification out of Accumulated Other Comprehensive Income [Table] Significant Accounting Policies Reclassification Adjustment out of Accumulated Other Comprehensive Income [Line Items] Schedule of reclassifications out of accumulated other comprehensive income (loss) Reclassification out of Accumulated Other Comprehensive Income [Table Text Block] Amounts reclassified from accumulated other comprehensive income (loss) Reclassification from Accumulated Other Comprehensive Income, Current Period, Net of Tax Reconciliation of Real Estate Properties: SEC Schedule III, Reconciliation of Carrying Amount of Real Estate Investments [Roll Forward] Reconciliation of Accumulated Depreciation: SEC Schedule III, Reconciliation of Real Estate Accumulated Depreciation [Roll Forward] Distributions on temporary equity preferred units Related Party Transactions Related Party Transactions Disclosure [Text Block] Related Party Transaction [Domain] Related Party Transaction [Axis] Related party transactions Related Party Transaction [Line Items] Related Party [Axis] Related Party [Domain] Related Party Transactions Repayments from loans to related parties Repayment of Notes Receivable from Related Parties Repayments of debt Repayments of Long-term Debt, Long-term Capital Lease Obligations, and Capital Securities Credit facility, amount repaid Repayments of Lines of Credit Repayment of TMLP senior loan facility Repayments of Assumed Debt Senior unsecured note repayment Repayments of Unsecured Debt Co-branded gift card program cash Restricted Cash and Cash Equivalents Restricted Stock Awards Restricted Stock Units 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Depreciation, Costs Capitalized Subsequent to Acquisition, Buildings and Improvements Straight-line rent Straight Line Rent Vesting rights percentage Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Rights, Percentage Expiration period Share-based Compensation Arrangement by Share-based Payment Award, Expiration Period Weighted average life of outstanding options Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Remaining Contractual Term Schedule of estimated future amortization and the increasing (decreasing) effect on minimum rents for above and below market leases Schedule of Finite-Lived Intangible Assets, Future Amortization Expense [Table Text Block] Joint venture ownership percentage before transaction Sale of Stock, Percentage of Ownership before Transaction Joint venture ownership percentage after transactions Sale of Stock, Percentage of Ownership after Transaction Interest in income-producing properties, under joint venture arrangements (as a percent) Sales Revenue, Goods, Net [Member] Consolidated revenues Adjusted Allocations Schedule of Acquired Finite-Lived Intangible Asset by Major Class [Table] Schedule of Real Estate Properties [Table] Schedule of investment properties Schedule of Real Estate Properties [Table Text Block] Summary of assets acquired and liabilities assumed Schedule of Business Acquisitions, by Acquisition [Table Text Block] Schedule of Director Options and Employee Options activity Schedule of Share-based Compensation, Stock Options, Activity [Table Text Block] Schedule of restricted stock awards Schedule of Share-based Compensation, Restricted Stock Units Award Activity [Table Text Block] Reconciliation of carrying amounts of equity Schedule of Stockholders Equity [Table Text Block] Schedule of ground lease expense incurred, included in other expense Schedule of Rent Expense [Table Text Block] Schedule of cash paid for interest in each period, net of any amounts capitalized Schedule of Cash Flow, Supplemental Disclosures [Table Text Block] Schedule of mortgages and other indebtedness Schedule of Debt [Table Text Block] Schedule of fair value of fixed rate mortgages and unsecured indebtedness Schedule of Carrying Values and Estimated Fair Values of Debt Instruments [Table Text Block] Schedule of Cost-method Investments [Table] Schedule of future minimum lease payments due under ground leases Schedule of Future Minimum Rental Payments for Operating Leases [Table Text Block] Schedule of related party transactions Schedule of Related Party Transactions [Table Text Block] Schedule of quarterly financial data Schedule of Quarterly Financial Information [Table Text Block] Schedule of computation of basic and diluted earnings per share Schedule of Earnings Per Share, Basic and Diluted [Table Text Block] Cost method investments Schedule of Cost-method Investments [Line Items] Schedule of intangible assets Schedule of Finite-Lived Intangible Assets [Table Text Block] Schedule of Business Acquisitions, by Acquisition [Table] Schedule of changes in accumulated other comprehensive income (loss) net of noncontrolling interest by component Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block] Investment, Name [Axis] Schedule of Equity Method Investments [Table] Schedule of Equity Method Investments [Line Items] Real Estate Joint Ventures and Investments Schedule of Equity Method Investments Investment in Unconsolidated Entities Schedule of outstanding interest rate derivatives related to interest rate risk Schedule of Derivative Instruments [Table Text Block] Schedule of Guarantor Obligations [Table] Schedule of Related Party Transactions, by Related Party [Table] Property, Plant and Equipment [Table] Schedule of Share-based Compensation Arrangements by Share-based Payment Award [Table] Schedule of Share-based Compensation, Shares Authorized under Stock Option Plans, by Exercise Price Range [Table] Schedule of Stock by Class [Table] Schedule of outstanding and exercisable options by exercise price range Schedule of Share-based Compensation, Shares Authorized under Stock Option Plans, by Exercise Price Range [Table Text Block] Mortgage Debt Secured Debt [Member] Secured Debt Segment Disclosure Segment Reporting [Abstract] Segment Disclosure Segment Reporting, Policy [Policy Text Block] Geographical [Domain] Insurance reserve for insurance subsidiaries and other self-insurance programs Self Insurance Reserve Series D Preferred Stock Series D Preferred Stock [Member] Series G Series G Preferred Stock [Member] Series C Preferred Stock Series C Preferred Stock [Member] Service period Share-based Compensation Arrangement by Share-based Payment Award, Award Requisite Service Period Restricted stock awards granted (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period Weighted average fair value of shares granted during the year (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period, Weighted Average Grant Date Fair Value Granted (in dollars per share) Share-based Compensation Arrangements by Share-based Payment Award, Options, Grants in Period, Weighted Average Exercise Price Share-based Compensation Arrangements by Share-based Payment Award, Options, Forfeitures in Period, Weighted Average Exercise Price Forfeited (in dollars per share) Vesting period Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period Stock-based incentive plan awards Share-based Compensation Arrangement by Share-based Payment Award [Line Items] Long Term Incentive Performance Programs Exercised (in dollars per share) Share-based Compensation Arrangements by Share-based Payment Award, Options, Exercises in Period, Weighted Average Exercise Price Units earned under LTIP program (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Net of Forfeitures Forfeited (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures in Period Weighted Average Exercise Price Per Share Share-based Compensation Arrangement by Share-based Payment Award, Options, Additional Disclosures [Abstract] Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized Shares reserved for issuance (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Exercise Price Shares under option at the beginning of the period (in dollars per share) Shares under option at the end of the period (in dollars per share) Shares under option at the beginning of the period Shares under option at the end of the period Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number Outstanding and Exercisable Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items] Exercise Price Range [Axis] Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Domain] Options Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding [Roll Forward] Equity Award [Domain] Exercise price, lower end of the range (in dollars per share) Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, Lower Range Limit Exercise price, high end of the range (in dollars per share) Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, Upper Range Limit Stock options exercised related to fund required withholding tax, shares Shares Paid for Tax Withholding for Share Based Compensation Class B shares outstanding Shares, Outstanding Significant Accounting Policies Significant Accounting Policies [Text Block] Statement [Table] Statement Schedule of changes in equity attributable to common stockholders and to noncontrolling interests: Significant Accounting Policies Statement [Line Items] Consolidated Statements of Equity Geographical [Axis] Consolidated Statements of Cash Flows Equity Components [Axis] Consolidated Balance Sheets Class of Stock [Axis] Series G preferred stock redemption (3,000,000 shares) Stock Redeemed or Called During Period, Value Series G preferred stock redemption, shares Stock Redeemed or Called During Period, Shares Common Stock Retired (61,584 common shares) Stock Repurchased and Retired During Period, Value Special award Stock options exercised (common shares: 712 in 2012, 324,720 in 2011 and 178,683 in 2010, respectively and net of 76,969 shares used to fund required withholding tax in 2011) Stock Issued During Period, Value, Stock Options Exercised Shares issued as quarterly dividend (in shares) Stock Dividends, Shares Series I preferred stock conversion to common stock (7,871,276 preferred shares to 6,670,589 common shares) Series I preferred stock conversion to common stock Stock Issued During Period, Value, Conversion of Convertible Securities Exchange of limited partner units, common shares The number of common stock shares issued in exchange for partnership units Stock Issued During Period, Shares, Conversion of Units Stock Repurchased and Retired During Period, Shares Common Stock Retired, shares Units exchanged for common shares Exchange of limited partner units for common shares Stock Issued During Period, Value, Conversion of Units Stock incentive program, shares, net Stock Issued During Period, Shares, Share-based Compensation, Net of Forfeitures Exercised (in shares) Common stock issued related to employee stock options exercised (in shares) Stock options exercised, common shares Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period Public offering of common stock, shares Shares of common stock issued in a public offering Stock Issued During Period, Shares, New Issues Series I preferred stock conversion to common stock, preferred shares Conversion Stock Issued During Period, Shares, Conversion of Convertible Securities Stock incentive program (common shares, net: 114,066 in 2012, 116,885 in 2011 and 116,726 in 2010) Stock Issued During Period, Value, Share-based Compensation, Net of Forfeitures Public offering of common stock (9,137,500 common shares) Public offering of common stock Stock Issued During Period, Value, New Issues EQUITY: Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest [Abstract] Other Stockholders' Equity, Other Notes Receivable from Former CPI Stockholders Stockholders' Equity Note, Subscriptions Receivable Stockholders' Equity Stockholders' Equity Attributable to Parent [Abstract] Increase (decrease) in equity Stockholders' Equity, Period Increase (Decrease) Total stockholders' equity Balance at beginning of period Balance at end of period Stockholders' Equity Attributable to Parent Accumulated Other Comprehensive Income (Loss) Stockholders' Equity, Policy [Policy Text Block] Adjustment to carrying value of redeemable noncontrolling interests Balance Balance Total equity Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest Equity Stockholders' Equity Note Disclosure [Text Block] Subsequent Events Subsequent Events [Text Block] Subsequent Events Subsequent Event [Table] Subsequent Event Subsequent Event [Line Items] Subsequent Event Subsequent Event [Member] Subsequent Event Type [Domain] Subsequent Event Type [Axis] Temporary equity, shares outstanding Temporary Equity, Shares Outstanding Series I 6% convertible perpetual preferred stock, 19,000,000 shares authorized, 0 and 8,091,155 issued and outstanding, respectively, at liquidation value Series I Preferred Stock carrying value Temporary Equity, Carrying Amount, Attributable to Parent Redeemable preferred stock Temporary Equity [Line Items] Temporary equity, shares authorized Temporary Equity, Shares Authorized Price paid for redemption Temporary Equity, Redemption Value Temporary equity, shares issued Temporary Equity, Shares Issued Temporary equity redemption price (in dollars per share) Temporary Equity, Redemption Price Per Share Temporary Equity, by Class of Stock [Table] Tenant reimbursements Tenant Reimbursements Title of Individual [Axis] Relationship to Entity [Domain] Changes in fair value of net investment hedge, recorded in other comprehensive income Derivatives used in Net Investment Hedge, Net of Tax Treasury stock purchase (572,000 Shares) Treasury Stock, Value, Acquired, Cost Method Treasury stock purchase, shares Treasury Stock, Shares, Acquired Common stock held in treasury, shares Treasury Stock, Shares Common Stock Held in Treasury Treasury Stock [Member] Common stock held in treasury at cost, 3,651,580 and 3,762,595 shares, respectively Treasury Stock, Value Unconsolidated properties Unconsolidated Properties [Member] Unconsolidated property interests Unamortized balance of benefits from treasury and interest rate hedge agreements Unrealized Gain (Loss) on Interest Rate Cash Flow Hedges, Pretax, Accumulated Other Comprehensive Income (Loss) Unsecured Debt Unsecured Debt [Member] Use of Estimates Use of Estimates, Policy [Policy Text Block] Wholly owned properties Wholly Owned Properties [Member] Weighted average Weighted Average [Member] Weighted Average Shares Outstanding - Basic Weighted average shares outstanding (in shares) Weighted Average Number of Shares Outstanding, Basic Weighted average shares outstanding - diluted Weighted Average Shares Outstanding - Diluted Diluted weighted average shares outstanding (in shares) Weighted Average Number of Shares Outstanding, Diluted EX-101.DEF 13 spg-20130930_def.xml EX-101.DEF EX-101.PRE 14 spg-20130930_pre.xml EX-101.PRE XML 15 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Per Share Data (Tables)
9 Months Ended
Sep. 30, 2013
Per Share Data  
Schedule of computation of basic and diluted earnings per share

  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

Net Income attributable to Common Stockholders — Basic and Diluted

  $ 311,675   $ 254,921   $ 934,749   $ 1,115,776  
                   

Weighted Average Shares Outstanding — Basic

    310,332,777     304,107,489     310,194,789     301,029,029  

Effect of stock options

        1,070     67     1,077  
                   

Weighted Average Shares Outstanding — Diluted

    310,332,777     304,108,559     310,194,856     301,030,106  
                   
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Consolidated Statements of Operations and Comprehensive Income (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
REVENUE:        
Minimum rent $ 795,809 $ 759,039 $ 2,351,876 $ 2,207,334
Overage rent 56,511 51,170 134,458 110,277
Tenant reimbursements 367,702 342,443 1,059,834 979,300
Management fees and other revenues 33,613 32,294 95,156 92,928
Other income 48,621 43,671 112,553 145,813
Total revenue 1,302,256 1,228,617 3,753,877 3,535,652
EXPENSES:        
Property operating 126,706 132,378 354,094 353,136
Depreciation and amortization 326,073 310,244 961,344 907,217
Real estate taxes 113,145 105,694 332,259 311,173
Repairs and maintenance 27,747 26,556 84,579 78,862
Advertising and promotion 30,725 28,114 81,343 77,762
Provision for (recovery of) credit losses 2,774 (1,180) 4,207 5,271
Home and regional office costs 34,171 27,057 106,021 95,019
General and administrative 14,546 14,165 44,476 42,787
Other 25,804 20,636 62,411 58,424
Total operating expenses 701,691 663,664 2,030,734 1,929,651
OPERATING INCOME 600,565 564,953 1,723,143 1,606,001
Interest expense (284,491) (288,896) (849,482) (835,532)
Income and other taxes (7,768) (3,904) (29,943) (9,872)
Income from unconsolidated entities 47,916 37,129 158,663 96,613
Gain (loss) upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net 11,071 (2,911) 99,906 491,926
CONSOLIDATED NET INCOME 367,293 306,371 1,102,287 1,349,136
Net income attributable to noncontrolling interests 54,784 50,616 165,035 230,857
Preferred dividends 834 834 2,503 2,503
NET INCOME ATTRIBUTABLE TO COMMON STOCKHOLDERS 311,675 254,921 934,749 1,115,776
BASIC EARNINGS PER COMMON SHARE:        
Net income attributable to common stockholders (in dollars per share) $ 1.00 $ 0.84 $ 3.01 $ 3.71
DILUTED EARNINGS PER COMMON SHARE:        
Net income attributable to common stockholders (in dollars per share) $ 1.00 $ 0.84 $ 3.01 $ 3.71
Consolidated Net Income 367,293 306,371 1,102,287 1,349,136
Unrealized (loss) gain on derivative hedge agreements (4,378) (8,555) 897 (5,450)
Net loss reclassified from accumulated other comprehensive income into earnings 2,566 5,187 6,642 15,440
Currency translation adjustments 32,515 9,138 10,603 (12,374)
Changes in available-for-sale securities and other (773) 16,573 (1,588) 40,442
Comprehensive income 397,223 328,714 1,118,841 1,387,194
Comprehensive income attributable to noncontrolling interests 59,089 56,077 167,391 239,427
Comprehensive income attributable to common stockholders $ 338,134 $ 272,637 $ 951,450 $ 1,147,767

XML 18 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities
9 Months Ended
Sep. 30, 2013
Investment in Unconsolidated Entities  
Investment in Unconsolidated Entities

5.    Investment in Unconsolidated Entities

  • Real Estate Joint Ventures and Investments

            Joint ventures are common in the real estate industry. We use joint ventures to finance properties, develop new properties and diversify our risk in a particular property or portfolio of properties. We held joint venture ownership interests in 74 properties in the United States as of September 30, 2013 and 78 properties as of December 31, 2012. We held interests in nine joint venture properties in Japan as of September 30, 2013 and eight joint venture properties as of December 31, 2012. We held interests in three joint venture properties in South Korea as of September 30, 2013 and two as of December 31, 2012. At September 30, 2013 and December 31, 2012, we also held interests in one joint venture property in Mexico and one joint venture property in Malaysia. On August 1, 2013, our first joint venture property in Canada opened. We account for these joint venture properties using the equity method of accounting. As discussed below, on January 9, 2012, we sold our interest in Gallerie Commerciali Italia, S.p.A,, or GCI, which at the time owned 45 properties located in Italy. On March 14, 2012, we purchased a 28.7% equity stake in Klépierre. On May 21, 2012, Klépierre paid a dividend, which we elected to receive in additional shares, resulting in an increase in our ownership to approximately 28.9%.

            Certain of our joint venture properties are subject to various rights of first refusal, buy-sell provisions, put and call rights, or other sale or marketing rights for partners which are customary in real estate joint venture agreements and the industry. We and our partners in these joint ventures may initiate these provisions (subject to any applicable lock up or similar restrictions), which may result in either the sale of our interest or the use of available cash or borrowings, or the use of limited partnership interests in the Operating Partnership, to acquire the joint venture interest from our partner.

            We may provide financing to joint ventures primarily in the form of interest bearing construction loans. As of September 30, 2013 and December 31, 2012, we had construction loans and other advances to related parties totaling $103.6 million and $25.4 million, respectively, which are included in deferred costs and other assets.

  • Unconsolidated Property Transactions

            On December 31, 2012, we formed a joint venture with Institutional Mall Investors, or IMI, to own and operate The Shops at Mission Viejo in the Los Angeles suburb of Mission Viejo, California, and Woodfield Mall in the Chicago suburb of Schaumburg, Illinois. We and IMI each own a noncontrolling 50% interest in Woodfield Mall and we own a noncontrolling 51% interest in The Shops at Mission Viejo and IMI owns the remaining 49%. Prior to the formation of the joint venture, we owned 100% of The Shops at Mission Viejo and IMI owned 100% of Woodfield Mall. No gain was recorded as the transaction was recorded based on the carryover basis of our previous investment. Woodfield Mall is encumbered by a $425 million mortgage loan which matures in March of 2024 and bears interest at 4.5%. In January 2013, the joint venture closed a $295 million mortgage on the Shops at Mission Viejo which bears interest at 3.61% and matures in February of 2023. The proceeds from the financing were distributed to the venture partners and, as a result, we received a distribution of $149.7 million.

            On March 22, 2012, we acquired, through an acquisition of substantially all of the assets of The Mills Limited Partnership, or TMLP, additional interests in 26 properties, or the Mills transaction. The transaction resulted in additional interests in 16 of the properties which remain unconsolidated, the consolidation of nine previously unconsolidated properties and the purchase of the remaining noncontrolling interest in a previously consolidated property. The transaction was valued at $1.5 billion, which included repayment of the remaining $562.1 million balance on TMLP's senior loan facility, and retirement of $100.0 million of TMLP's trust preferred securities. In connection with the transaction, our $558.4 million loan to SPG-FCM Ventures, LLC, or SPG-FCM, was extinguished on a non-cash basis. We consolidated $2.6 billion in additional property-level mortgage debt in connection with this transaction. This property-level mortgage debt was previously presented as debt of our unconsolidated entities. We and our joint venture partner had equal ownership in these properties prior to the transaction.

            The consolidation of the previously unconsolidated properties resulted in a remeasurement of our previously held interests in these nine newly consolidated properties to fair value and recognition of a corresponding non-cash gain of $488.7 million. In addition, we recorded an other-than-temporary impairment charge of $22.4 million for the excess of carrying value of our remaining investment in SPG-FCM over its estimated fair value. The gain on the transaction and impairment charge are included in gain (loss) upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net, in the accompanying consolidated statements of operations and comprehensive income. The assets and liabilities of the newly consolidated properties acquired in the Mills transaction have been reflected at their estimated fair value at the acquisition date.

            We recorded our acquisition of the interests in the nine newly consolidated properties using the acquisition method of accounting. Tangible and intangible assets and liabilities were established based on their fair values at the date of acquisition. The results of operations of the newly consolidated properties have been included in our consolidated results from the date of acquisition. The purchase price allocations were finalized during the first quarter of 2013. No significant adjustments were made to the previously reported purchase price allocations.

            On January 6, 2012, we paid $50.0 million to acquire an additional interest in Del Amo Fashion Center, increasing our interest in the property to 50%.

  • European Investments

            At September 30, 2013, we owned 57,634,148 shares, or approximately 28.9%, of Klépierre, which had a quoted market price of $43.25 per share. At the date of purchase on March 14, 2012, our excess investment in Klépierre was approximately $1.2 billion which we have allocated to the underlying investment property, other assets and liabilities based on estimated fair value. Our share of net income, net of amortization of our excess investment, was $23.8 million for the nine months ended September 30, 2013. Based on applicable Euro:USD exchange rates and after our conversion of Klépierre's results to GAAP, Klépierre's total revenues, operating income and consolidated net income were approximately $1.1 billion, $538.6 million and $231.5 million, respectively, for the nine months ended September 30, 2013. Our share of net income, net of the amortization of our excess investment, was $4.7 million from the acquisition date through September 30, 2012.

            During the second quarter of 2013, we signed a definitive agreement to form one or more joint ventures to invest in certain existing designer outlets, development projects, and the property management and development companies of McArthurGlen, an owner, developer and manager of designer outlets in Europe. As of September 30, 2013, we had made equity investments and advances and funded our share of development costs of approximately $73.9 million, which included the acquisition of a noncontrolling 50% ownership interest in the property management and development companies, a 45% ownership interest in a development project, and a 22.5% interest in Ashford Designer Outlets in Kent, UK. On October 16, 2013, we completed the transactions contemplated by our previously announced definitive agreement by acquiring interests in four existing McArthurGlen outlets — Parndorf (Vienna, Austria), La Reggia (Naples, Italy), Noventa di Piave (Venice, Italy) and Roermond (Roermond, the Netherlands) for cash consideration of €327.5 million ($444.1 million USD equivalent). Our noncontrolling ownership interests in these four centers range from 60% to 90%.

            We also have a minority interest in Value Retail PLC, which owns and operates nine luxury outlets throughout Europe and a direct minority ownership in three of those outlets. These investments are accounted for under the cost method. At September 30, 2013 and December 31, 2012, the carrying value of these investments was $115.4 and $95.5 million, respectively, and is included in deferred costs and other assets.

            On January 9, 2012, we sold our entire ownership interest in GCI to our venture partner, Auchan S.A. The aggregate cash we received was $375.8 million, and we recognized a gain on the sale of $28.8 million. Our investment carrying value included $39.5 million of accumulated losses related to currency translation and net investment hedge accumulated balances, which had been recorded in accumulated other comprehensive income (loss).

  • Asian Joint Ventures

            We conduct our international Premium Outlet operations in Japan through a joint venture with Mitsubishi Estate Co., Ltd. We have a 40% ownership interest in this joint venture. The carrying amount of our investment in this joint venture was $276.2 million and $314.2 million as of September 30, 2013 and December 31, 2012, respectively, including all related components of accumulated other comprehensive income (loss). We conduct our international Premium Outlet operations in South Korea through a joint venture with Shinsegae International Co. We have a 50% ownership interest in this joint venture. The carrying amount of our investment in this joint venture was $70.7 million and $62.9 million as of September 30, 2013 and December 31, 2012, respectively; including all related components of accumulated other comprehensive income (loss).

Summary Financial Information

            A summary of our equity method investments and share of income from such investments, excluding Klépierre, follows. We acquired additional controlling interests in nine properties in the Mills transaction on March 22, 2012. These previously unconsolidated properties became consolidated properties as of their acquisition date. During 2012, we disposed of our joint venture interests in one mall and three retail properties. The results of operations of the properties for all of these 2012 transactions are classified as gain (loss) from operations of discontinued joint venture interests in the accompanying joint venture statements of operations. In 2013, we disposed of two retail properties. The gain on disposal is reported in gain (loss) on disposal of discontinued operations, net in the accompanying joint venture statements of operations. Balance sheet information for these investments is as follows:

 
  September 30,
2013
  December 31,
2012
 

BALANCE SHEETS

             

Assets:

             

Investment properties, at cost

  $ 14,828,264   $ 14,607,291  

Less — accumulated depreciation

    5,144,189     4,926,511  
           

 

    9,684,075     9,680,780  

Cash and cash equivalents

    653,185     619,546  

Tenant receivables and accrued revenue, net

    270,770     252,774  

Investment in unconsolidated entities, at equity

    38,669     39,589  

Deferred costs and other assets

    442,831     438,399  
           

Total assets

  $ 11,089,530   $ 11,031,088  
           

Liabilities and Partners' Deficit:

             

Mortgages

  $ 11,979,021   $ 11,584,863  

Accounts payable, accrued expenses, intangibles, and deferred revenue

    723,143     672,483  

Other liabilities

    394,461     447,132  
           

Total liabilities

    13,096,625     12,704,478  

Preferred units

    67,450     67,450  

Partners' deficit

    (2,074,545)     (1,740,840)  
           

Total liabilities and partners' deficit

  $ 11,089,530   $ 11,031,088  
           

Our Share of:

             

Partners' deficit

  $ (943,037)   $ (799,911)  

Add: Excess Investment

    2,092,875     2,184,133  
           

Our net Investment in unconsolidated entities, at equity

  $ 1,149,838   $ 1,384,222  
           

            "Excess Investment" represents the unamortized difference of our investment over our share of the equity in the underlying net assets of the joint ventures or other investments acquired and is allocated on a fair value basis primarily to investment property, lease related intangibles, and debt premiums and discounts. We amortize excess investment over the life of the related depreciable components of investment property, typically no greater than 40 years, the terms of the applicable leases and the applicable debt maturity, respectively. The amortization is included in the reported amount of income from unconsolidated entities.

 
  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

STATEMENT OF OPERATIONS

                         

Revenue:

                         

Minimum rent

  $ 408,204   $ 370,183   $ 1,201,748   $ 1,091,701  

Overage rent

    40,784     44,002     128,565     128,622  

Tenant reimbursements

    197,494     176,544     569,044     508,698  

Other income

    40,903     34,754     122,505     121,686  
                   

Total revenue

    687,385     625,483     2,021,862     1,850,707  

Operating Expenses:

                         

Property operating

    125,329     125,162     364,494     351,963  

Depreciation and amortization

    135,457     125,828     389,843     375,280  

Real estate taxes

    55,374     45,068     160,152     132,618  

Repairs and maintenance

    15,653     15,418     48,156     45,269  

Advertising and promotion

    14,141     11,706     44,164     39,600  

Provision for (recovery of) credit losses

    192     (646)     1,772     (247)  

Other

    37,948     36,089     110,129     128,134  
                   

Total operating expenses

    384,094     358,625     1,118,710     1,072,617  
                   

Operating Income

   
303,291
   
266,858
   
903,152
   
778,090
 

Interest expense

    (151,579)     (148,891)     (453,573)     (451,581)  
                   

Income from Continuing Operations

    151,712     117,967     449,579     326,509  

Gain (loss) from operations of discontinued joint venture interests

    7     (1,978)     (339)     (20,769)  

Gain (loss) on disposal of discontinued operations, net

    6,580     (4,904)     24,936     (4,904)  
                   

Net Income

  $ 158,299   $ 111,085   $ 474,176   $ 300,836  
                   

Third-party investors' share of net income

  $ 85,211   $ 66,308   $ 263,926   $ 163,108  
                   

Our share of net income

    73,088     44,777     210,250     137,728  

Amortization of excess investment

    (25,733)     (21,726)     (75,415)     (55,059)  

Our share of loss on sale or disposal of assets and interests in unconsolidated entities, net

        9,245         9,245  
                   

Income from unconsolidated entities

  $ 47,355   $ 32,296   $ 134,835   $ 91,914  
                   

            Our share of income from unconsolidated entities in the above table, aggregated with our share of the results of Klépierre, is presented in income from unconsolidated entities in the accompanying consolidated statements of operations and comprehensive income.

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Significant Accounting Policies (Details 2) (USD $)
In Millions, unless otherwise specified
9 Months Ended 12 Months Ended
Sep. 30, 2012
Dec. 31, 2012
Item
Loans Held for Investment    
Number of mortgage and mezzanine loans secured by real estate repaid during the year   3
Interest income on loans held for investment $ 6.8  
XML 21 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Tables)
9 Months Ended
Sep. 30, 2013
Investment in Unconsolidated Entities  
Summary of equity method investments and share of income from such investments, balance sheet

  September 30,
2013
  December 31,
2012
 

BALANCE SHEETS

             

Assets:

             

Investment properties, at cost

  $ 14,828,264   $ 14,607,291  

Less — accumulated depreciation

    5,144,189     4,926,511  
           

 

    9,684,075     9,680,780  

Cash and cash equivalents

    653,185     619,546  

Tenant receivables and accrued revenue, net

    270,770     252,774  

Investment in unconsolidated entities, at equity

    38,669     39,589  

Deferred costs and other assets

    442,831     438,399  
           

Total assets

  $ 11,089,530   $ 11,031,088  
           

Liabilities and Partners' Deficit:

             

Mortgages

  $ 11,979,021   $ 11,584,863  

Accounts payable, accrued expenses, intangibles, and deferred revenue

    723,143     672,483  

Other liabilities

    394,461     447,132  
           

Total liabilities

    13,096,625     12,704,478  

Preferred units

    67,450     67,450  

Partners' deficit

    (2,074,545)     (1,740,840)  
           

Total liabilities and partners' deficit

  $ 11,089,530   $ 11,031,088  
           

Our Share of:

             

Partners' deficit

  $ (943,037)   $ (799,911)  

Add: Excess Investment

    2,092,875     2,184,133  
           

Our net Investment in unconsolidated entities, at equity

  $ 1,149,838   $ 1,384,222  
           
Summary of equity method investments and share of income from such investments, statement of operations

  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

STATEMENT OF OPERATIONS

                         

Revenue:

                         

Minimum rent

  $ 408,204   $ 370,183   $ 1,201,748   $ 1,091,701  

Overage rent

    40,784     44,002     128,565     128,622  

Tenant reimbursements

    197,494     176,544     569,044     508,698  

Other income

    40,903     34,754     122,505     121,686  
                   

Total revenue

    687,385     625,483     2,021,862     1,850,707  

Operating Expenses:

                         

Property operating

    125,329     125,162     364,494     351,963  

Depreciation and amortization

    135,457     125,828     389,843     375,280  

Real estate taxes

    55,374     45,068     160,152     132,618  

Repairs and maintenance

    15,653     15,418     48,156     45,269  

Advertising and promotion

    14,141     11,706     44,164     39,600  

Provision for (recovery of) credit losses

    192     (646)     1,772     (247)  

Other

    37,948     36,089     110,129     128,134  
                   

Total operating expenses

    384,094     358,625     1,118,710     1,072,617  
                   

Operating Income

   
303,291
   
266,858
   
903,152
   
778,090
 

Interest expense

    (151,579)     (148,891)     (453,573)     (451,581)  
                   

Income from Continuing Operations

    151,712     117,967     449,579     326,509  

Gain (loss) from operations of discontinued joint venture interests

    7     (1,978)     (339)     (20,769)  

Gain (loss) on disposal of discontinued operations, net

    6,580     (4,904)     24,936     (4,904)  
                   

Net Income

  $ 158,299   $ 111,085   $ 474,176   $ 300,836  
                   

Third-party investors' share of net income

  $ 85,211   $ 66,308   $ 263,926   $ 163,108  
                   

Our share of net income

    73,088     44,777     210,250     137,728  

Amortization of excess investment

    (25,733)     (21,726)     (75,415)     (55,059)  

Our share of loss on sale or disposal of assets and interests in unconsolidated entities, net

        9,245         9,245  
                   

Income from unconsolidated entities

  $ 47,355   $ 32,296   $ 134,835   $ 91,914  
                   
XML 22 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Details 7) (USD $)
In Thousands, unless otherwise specified
12 Months Ended 9 Months Ended 12 Months Ended 9 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Sep. 30, 2012
Dec. 31, 2011
Dec. 31, 2012
Mall
property
Sep. 30, 2013
Retail properties
property
Dec. 31, 2012
Retail properties
property
Mar. 22, 2012
TMLP 2012 acquisition
Consolidated property interests
property
Sep. 30, 2013
Equity Method Investments
Unconsolidated property interests
Dec. 31, 2012
Equity Method Investments
Unconsolidated property interests
Sep. 30, 2013
Equity Method Investments
Unconsolidated property interests
Maximum
Schedule of Equity Method Investments                      
Number of properties               9      
Number of joint venture interests sold         1 2 3        
Assets:                      
Investment properties, at cost $ 34,764,669 $ 34,252,521             $ 14,828,264 $ 14,607,291  
Less - accumulated depreciation 9,804,069 9,068,388             5,144,189 4,926,511  
Investment properties, net 24,960,600 25,184,133             9,684,075 9,680,780  
Cash and cash equivalents 1,099,321 1,184,518 452,712 798,650         653,185 619,546  
Tenant receivables and accrued revenue, net 529,893 521,301             270,770 252,774  
Investment in unconsolidated entities, at equity                 38,669 39,589  
Deferred costs and other assets 1,558,465 1,570,734             442,831 438,399  
Total assets                 11,089,530 11,031,088  
Liabilities and Partners' Deficit:                      
Mortgages and unsecured indebtedness 22,729,654 23,113,007             11,979,021 11,584,863  
Accounts payable, accrued expenses, intangibles, and deferred revenue 1,328,089 1,374,172             723,143 672,483  
Other liabilities 227,319 303,588             394,461 447,132  
Total liabilities 25,127,124 25,515,511             13,096,625 12,704,478  
Preferred units                 67,450 67,450  
Partners' deficit (3,218,890) (3,083,190)             (2,074,545) (1,740,840)  
Total liabilities and equity 32,111,409 32,586,606             11,089,530 11,031,088  
Our Share of:                      
Partners' deficit                 (943,037) (799,911)  
Add: Excess Investment                 2,092,875 2,184,133  
Our net Investment in unconsolidated entities, at equity $ 1,991,900 $ 2,108,966             $ 1,149,838 $ 1,384,222  
Life of joint ventures with excess investment                     40 years
XML 23 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Details 5) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Noncontrolling interests:        
Balance     $ 6,893,089  
Other comprehensive income (loss) allocable to noncontrolling interests:        
Unrealized (loss) gain on derivative hedge agreements (4,378) (8,555) 897 (5,450)
Net loss reclassified from accumulated other comprehensive loss into earnings 2,566 5,187 6,642 15,440
Currency translation adjustments 32,515 9,138 10,603 (12,374)
Changes in available-for-sale securities and other (773) 16,573 (1,588) 40,442
Other comprehensive income (loss)     14,198  
Balance 6,804,493   6,804,493  
Noncontrolling Interests
       
Noncontrolling interests:        
Balance 971,498 1,185,418 982,486 894,622
Net income attributable to noncontrolling interests after preferred distributions and income attributable to redeemable noncontrolling interests in consolidated properties 52,339 47,668 157,100 222,986
Distributions to noncontrolling interest holders (60,197) (62,149) (180,104) (181,354)
Other comprehensive income (loss) allocable to noncontrolling interests:        
Unrealized (loss) gain on derivative hedge agreements (629) 1,327 111 2,333
Net loss reclassified from accumulated other comprehensive loss into earnings 369 517 955 2,233
Currency translation adjustments 4,676 2,716 1,518 (717)
Changes in available-for-sale securities and other (111) 902 (228) 4,721
Other comprehensive income (loss) 4,305 5,462 2,356 8,570
Adjustment to limited partners' interest from change in ownership in the Operating Partnership (8,841) (38,715) (19,422) 117,584
Units exchanged for common shares (59) (129,783) (6,041) (133,801)
Units Redeemed   (38,904)   (38,904)
Purchase of noncontrolling interests and other 16,629 10,367 39,299 89,661
Balance $ 975,674 $ 979,364 $ 975,674 $ 979,364
XML 24 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Details 4) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2013
Dec. 31, 2012
Noncontrolling interests, carrying amounts, reclassified to permanent equity:    
Limited partners' interests in the Operating Partnership $ 971,488 $ 983,363
Nonredeemable noncontrolling deficit interests in properties, net 4,186 (877)
Total noncontrolling interests reflected in equity 975,674 982,486
Noncontrolling interests redeemable at amounts in excess of fair value $ 0  
XML 25 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Details 3)
3 Months Ended 9 Months Ended 0 Months Ended 6 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 0 Months Ended
Sep. 30, 2013
USD ($)
Sep. 30, 2012
USD ($)
Sep. 30, 2013
USD ($)
Sep. 30, 2012
USD ($)
Dec. 31, 2012
USD ($)
Mar. 14, 2012
Klepierre
USD ($)
Sep. 30, 2012
Klepierre
USD ($)
Sep. 30, 2013
Klepierre
USD ($)
Sep. 30, 2013
McArthurGlen Group
USD ($)
Jun. 30, 2013
McArthurGlen Group
Minimum
Item
Sep. 30, 2013
Europe
Klepierre
USD ($)
Mar. 14, 2012
Europe
Klepierre
USD ($)
Oct. 16, 2013
Europe
McArthurGlen Group
USD ($)
property
Oct. 16, 2013
Europe
McArthurGlen Group
EUR (€)
Oct. 16, 2013
Europe
McArthurGlen Group
Minimum
Oct. 16, 2013
Europe
McArthurGlen Group
Maximum
Sep. 30, 2013
Europe
McArthurGlen Group
Ashford Designer Outlets
Sep. 30, 2013
Europe
McArthurGlen Group
Property management and development companies
Sep. 30, 2013
Canada
McArthurGlen Group
Development project
Schedule of Equity Method Investments                                      
Shares owned                     57,634,148                
Joint venture ownership percentage           28.70%         28.90%       60.00% 90.00% 22.50% 50.00% 45.00%
Quoted market price per share (in dollars per share)                     $ 43.25                
Excess investment                       $ 1,200,000,000              
Share of net income, net of amortization of our excess investment 47,916,000 37,129,000 158,663,000 96,613,000     4,700,000       23,800,000                
Total revenues                     1,100,000,000                
Total operating income                     538,600,000                
Consolidated net Income               231,500,000                      
Equity investment 1,991,900,000   1,991,900,000   2,108,966,000       73,900,000                    
Number of joint ventures to invest in per definitive agreement                   1                  
Number of outlets in which interest acquired                         4 4          
Purchase price of business acquired           $ 2,000,000,000             $ 441,100,000 € 327,500,000          
XML 26 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Debt (Details)
9 Months Ended 12 Months Ended 9 Months Ended 9 Months Ended 9 Months Ended 9 Months Ended
Sep. 30, 2013
USD ($)
Dec. 31, 2012
USD ($)
Sep. 30, 2013
Unsecured Debt
Senior unsecured notes
USD ($)
Sep. 30, 2013
Unsecured Debt
Senior unsecured notes 5.30% to 7.18%
USD ($)
Oct. 02, 2013
Unsecured Debt
Senior unsecured notes 2.375% due October 2020
USD ($)
Oct. 02, 2013
Unsecured Debt
Senior unsecured notes 2.375% due October 2020
EUR (€)
Sep. 30, 2013
Unsecured Debt
Credit Facility and the Supplemental Facility
USD ($)
Item
Sep. 30, 2013
Unsecured Debt
Credit Facility
USD ($)
May 16, 2013
Unsecured Debt
Credit Facility
Sep. 30, 2013
Unsecured Debt
Supplemental Facility
USD ($)
May 16, 2013
Unsecured Debt
Supplemental Facility
Sep. 30, 2013
Unsecured Debt
Term loan
USD ($)
Item
Sep. 30, 2013
Secured Debt
Mortgages
USD ($)
note
mortgagepool
property
Dec. 31, 2012
Secured Debt
Mortgages
USD ($)
Debt                            
Total Mortgages and Other Indebtedness $ 22,729,654,000 $ 23,113,007,000 $ 12,900,000,000                 $ 240,000,000 $ 8,100,000,000 $ 8,000,000,000
Credit facility, amount outstanding               1,200,000,000   227,600,000        
Maximum borrowing capacity               4,000,000,000   2,000,000,000   300,000,000    
Available borrowing capacity             4,500,000,000              
Maximum amount outstanding during period             1,600,000,000              
Credit facility, weighted average amount outstanding             1,400,000,000              
Letters of credit outstanding             45,000,000              
Number of credit facilities             2              
Optional expanded maximum borrowing capacity               5,000,000,000   2,500,000,000        
Reference rate               LIBOR   LIBOR   LIBOR    
Interest added to reference rate (as a percent)               0.95%   0.95%   1.10%    
Additional facility fee (as a percent)               0.15%   0.15%        
Reduction in interest added to reference rate (as a percent)                 0.05%   0.05%      
Multi-currency tranche               2,000,000,000            
Amount of debt redeemed       504,500,000                 240,000,000  
Interest rate, low end of range (as a percent)       5.30%                    
Interest rate, high end of range (as a percent)       7.18%                    
Number of one-year extension options available                       2    
Debt instrument extension period                       1 year    
Debt issued         1,000,000,000 750,000,000                
Interest rate on debt (as a percent)         2.375% 2.375%                
Debt covenants                            
Number of non-recourse mortgage notes under which the Company and subsidiaries are borrowers                         79  
Number of properties secured by non-recourse mortgage notes                         79  
Number of cross-defaulted and cross-collateralized mortgage pools                         7  
Total number of properties pledged as collateral for cross defaulted and cross collateralized mortgages                         27  
Fair value of debt                            
Carrying value of fixed-rate mortgages and unsecured indebtedness 20,700,000,000 21,000,000,000                        
Fair value of fixed-rate mortgages and unsecured indebtedness $ 22,140,000,000 $ 23,373,000,000                        
Weighted average discount rates assumed in calculation of fair value for fixed-rate mortgages (as a percent) 3.55% 3.24%                        
XML 27 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Per Share Data (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Per Share Data        
Net Income attributable to Common Stockholders - Basic $ 311,675 $ 254,921 $ 934,749 $ 1,115,776
Net Income attributable to Common Stockholders - Diluted $ 311,675 $ 254,921 $ 934,749 $ 1,115,776
Weighted Average Shares Outstanding - Basic 310,332,777 304,107,489 310,194,789 301,029,029
Effect of stock options (in shares)   1,070 67 1,077
Weighted Average Shares Outstanding - Diluted 310,332,777 304,108,559 310,194,856 301,030,106
XML 28 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Details) (USD $)
In Millions, unless otherwise specified
1 Months Ended
May 31, 2010
Sep. 30, 2013
Joint Venture Mortgage and Indebtedness
Dec. 31, 2012
Joint Venture Mortgage and Indebtedness
Commitments and Contingencies.      
Insurance proceeds funded by insurers $ 50    
Minimum insurance coverage 50    
Additional insurance proceeds 150    
Guarantees of Joint Venture Indebtedness:      
Loan guarantee   179.2 84.9
Loan guarantees recoverable   $ 81.1 $ 38.6
XML 29 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Details 3) (Recurring, USD $)
In Millions, unless otherwise specified
Sep. 30, 2013
Dec. 31, 2012
Level 1
   
Fair Value Measurement:    
Marketable securities with Level 1 fair value inputs $ 141.7 $ 170.2
Level 2
   
Fair Value Measurement:    
Interest rate swap agreements and foreign currency forward contracts, gross liability balance 4.6 1.5
Interest rate swap agreements and foreign currency forward contracts, gross asset balance 4.1 3.0
Level 3
   
Fair Value Measurement:    
Investments $ 0  
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Organization
9 Months Ended
Sep. 30, 2013
Organization  
Organization

1.    Organization

            Simon Property Group, Inc., or Simon Property, is a Delaware corporation that operates as a self-administered and self-managed real estate investment trust, or REIT, under the Internal Revenue Code of 1986, as amended. REITs will generally not be liable for federal corporate income taxes as long as they continue to distribute not less than 100% of their taxable income. Simon Property Group, L.P., or the Operating Partnership, is our majority-owned partnership subsidiary that owns all of our real estate properties and other assets. In these condensed notes to the unaudited consolidated financial statements, the terms "we", "us" and "our" refer to Simon Property, the Operating Partnership, and its subsidiaries.

            We own, develop and manage retail real estate properties, which consist primarily of malls, Premium Outlets®, The Mills®, and community/lifestyle centers. As of September 30, 2013, we owned or held an interest in 312 income-producing properties in the United States, which consisted of 158 malls, 66 Premium Outlets, 64 community/lifestyle centers, 13 Mills, and 11 other shopping centers or outlet centers in 38 states and Puerto Rico. Internationally, as of September 30, 2013, we had ownership interests in nine Premium Outlets in Japan, three Premium Outlets in South Korea, one Premium Outlet in Canada, one Premium Outlet in Mexico, and one Premium Outlet in Malaysia. Additionally, as of September 30, 2013, we owned a 28.9% equity stake in Klépierre SA, or Klépierre, a publicly traded, Paris-based real estate company, which owns, or has an interest in, more than 260 shopping centers located in 13 countries in Europe.

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Significant Accounting Policies
9 Months Ended
Sep. 30, 2013
Significant Accounting Policies  
Significant Accounting Policies

3.    Significant Accounting Policies

  • Cash and Cash Equivalents

            We consider all highly liquid investments purchased with an original maturity of 90 days or less to be cash and cash equivalents. Cash equivalents are carried at cost, which approximates fair value. Cash equivalents generally consist of commercial paper, bankers' acceptances, Eurodollars, repurchase agreements, and money market deposits or securities. Financial instruments that potentially subject us to concentrations of credit risk include our cash and cash equivalents and our trade accounts receivable. We place our cash and cash equivalents with institutions with high credit quality. However, at certain times, such cash and cash equivalents are in excess of FDIC and SIPC insurance limits.

  • Marketable and Non-Marketable Securities

            Marketable securities consist primarily of investments of our captive insurance subsidiaries, our deferred compensation plan investments, and certain other investments.

            The types of securities included in the investment portfolio of our captive insurance subsidiaries typically include U.S. Treasury or other U.S. government securities as well as corporate debt securities with maturities ranging from less than 1 to 10 years. These securities are classified as available-for-sale and are valued based upon quoted market prices or other observable inputs when quoted market prices are not available. The amortized cost of debt securities, which approximates fair value, held by our captive insurance subsidiaries is adjusted for amortization of premiums and accretion of discounts to maturity. Changes in the values of these securities are recognized in accumulated other comprehensive income (loss) until the gain or loss is realized or until any unrealized loss is deemed to be other-than-temporary. We review any declines in value of these securities for other-than-temporary impairment and consider the severity and duration of any decline in value. To the extent an other-than-temporary impairment is deemed to have occurred, an impairment charge is recorded and a new cost basis is established. Subsequent changes are then recognized through other comprehensive income (loss) unless another other-than-temporary impairment is deemed to have occurred. Net unrealized gains recorded in accumulated other comprehensive income (loss) as of September 30, 2013 and December 31, 2012 were approximately $1.0 million and $2.6 million, respectively, which represent the valuation and related currency adjustments for our marketable securities. Our insurance subsidiaries are required to maintain statutory minimum capital and surplus as well as maintain a minimum liquidity ratio. Therefore, our access to these securities may be limited.

            Our deferred compensation plan investments are classified as trading securities and are valued based upon quoted market prices. The investments have a matching liability as the amounts are fully payable to the employees that earned the compensation. Changes in value of these securities and changes to the matching liability to employees are both recognized in earnings and, as a result, there is no impact to consolidated net income.

            At September 30, 2013 and December 31, 2012, we also had investments of $16.5 million and $24.9 million, respectively, which must be used to fund the debt service requirements of mortgage debt related to an investment property that we sold. These investments are classified as held-to-maturity and are recorded at amortized cost as we have the ability and intent to hold these investments to maturity.

            At September 30, 2013 and December 31, 2012, we had investments of $118.8 million and $98.9 million, respectively, in non-marketable securities that we account for under the cost method. We regularly evaluate these investments for any other-than-temporary impairment in their estimated fair value and determined that no adjustment in the carrying value was required.

  • Loans Held for Investment

            From time to time, we may make investments in mortgage loans or mezzanine loans of third parties that own and operate commercial real estate assets located in the United States. Mortgage loans are secured, in part, by mortgages recorded against the underlying properties which are not owned by us. Mezzanine loans are secured, in part, by pledges of ownership interests of the entities that own the underlying real estate. Loans held for investment are carried at cost, net of any premiums or discounts which are accreted or amortized over the life of the related loan receivable utilizing the effective interest method. We evaluate the collectability of both interest and principal of each of these loans quarterly to determine whether the value has been impaired. A loan is deemed to be impaired when, based on current information and events, it is probable that we will be unable to collect all amounts due according to the existing contractual terms. When a loan is impaired, the amount of the loss accrual is calculated by comparing the carrying amount of the loan held for investment to its estimated realizable value.

            We had investments in three mortgage and mezzanine loans that were repaid in their entirety during 2012. For the nine months ended September 30, 2012, we earned $6.8 million in interest income on these loans.

  • Fair Value Measurements

            Level 1 fair value inputs are quoted prices for identical items in active, liquid and visible markets such as stock exchanges. Level 2 fair value inputs are observable information for similar items in active or inactive markets, and appropriately consider counterparty creditworthiness in the valuations. Level 3 fair value inputs reflect our best estimate of inputs and assumptions market participants would use in pricing an asset or liability at the measurement date. The inputs are unobservable in the market and significant to the valuation estimate. We have no investments for which fair value is measured on a recurring basis using Level 3 inputs.

            We held marketable securities that totaled $141.7 million and $170.2 million at September 30, 2013 and December 31, 2012, respectively, that were primarily classified as having Level 1 fair value inputs. In addition, we have derivative instruments which are classified as having Level 2 inputs which consist primarily of interest rate swap agreements and foreign currency forward contracts with a gross liability balance of $4.6 million and $1.5 million at September 30, 2013 and December 31, 2012, respectively, and a gross asset value of $4.1 million and $3.0 million at September 30, 2013 and December 31, 2012, respectively. We also have interest rate cap agreements with nominal values.

            Note 6 includes a discussion of the fair value of debt measured using Level 2 inputs. Notes 5 and 9 include discussion of the fair values recorded in purchase accounting and impairment, using Level 2 and Level 3 inputs. Level 3 inputs to our purchase accounting and impairment include our estimations of net operating results of the property, capitalization rates and discount rates.

  • Noncontrolling Interests and Temporary Equity

            Details of the carrying amount of our noncontrolling interests are as follows:

 
  As of
September 30,
2013
  As of
December 31,
2012
 

Limited partners' interests in the Operating Partnership

  $ 971,488   $ 983,363  

Nonredeemable noncontrolling deficit interests in properties, net

    4,186     (877)  
           

Total noncontrolling interests reflected in equity

  $ 975,674   $ 982,486  
           

            The remaining interests in a property or portfolio of properties which are redeemable at the option of the holder or in circumstances that may be outside our control, are accounted for as temporary equity within limited partners' preferred interest in the Operating Partnership and noncontrolling redeemable interests in properties in the accompanying consolidated balance sheets. The carrying amount of the noncontrolling interest is adjusted to the redemption amount assuming the instrument is redeemable at the balance sheet date. Changes in the redemption value of the underlying noncontrolling interest are recorded within accumulated deficit. There are no noncontrolling interests redeemable at amounts in excess of fair value.

            Net income attributable to noncontrolling interests (which includes nonredeemable noncontrolling interests in consolidated properties, limited partners' interests in the Operating Partnership, redeemable noncontrolling interests in consolidated properties and preferred distributions payable by the Operating Partnership on its outstanding preferred units) is a component of consolidated net income. In addition, the individual components of other comprehensive income (loss) are presented in the aggregate for both controlling and noncontrolling interests, with the portion attributable to noncontrolling interests deducted from comprehensive income attributable to common stockholders.

            A rollforward of noncontrolling interests reflected in equity is as follows:

 
  For the Three Months Ended
September 30,
  For the Nine Months Ended
September 30,
 
 
  2013   2012   2013   2012  

Noncontrolling interests, beginning of period

  $ 971,498   $ 1,185,418   $ 982,486   $ 894,622  

Net income attributable to noncontrolling interests after preferred distributions and income attributable to redeemable noncontrolling interests in consolidated properties

    52,339     47,668     157,100     222,986  

Distributions to noncontrolling interest holders

    (60,197)     (62,149)     (180,104)     (181,354)  

Other comprehensive income (loss) allocable to noncontrolling interests:

                         

Unrealized (loss) gain on derivative hedge agreements

    (629)     1,327     111     2,333  

Net loss reclassified from accumulated other comprehensive loss into earnings

    369     517     955     2,233  

Currency translation adjustments

    4,676     2,716     1,518     (717)  

Changes in available-for-sale securities and other

    (111)     902     (228)     4,721  
                   

 

    4,305     5,462     2,356     8,570  
                   

Adjustment to limited partners' interest from change in ownership in the Operating Partnership

    (8,841)     (38,715)     (19,422)     117,584  

Units exchanged for common shares

    (59)     (129,783)     (6,041)     (133,801)  

Units redeemed

        (38,904)         (38,904)  

Purchase of noncontrolling interests and other

    16,629     10,367     39,299     89,661  
                   

Noncontrolling interests, end of period

  $ 975,674   $ 979,364   $ 975,674   $ 979,364  
                   
  • Accumulated Other Comprehensive Income (Loss)

            The changes in accumulated other comprehensive income (loss) net of noncontrolling interest by component consisted of the following as of September 30, 2013:

 
  Currency
translation
adjustments
  Accumulated
derivative
losses, net
  Net unrealized
gains on
marketable securities
  Total  

Beginning balance

  $ (26,220)   $ (66,917)   $ 2,237   $ (90,900)  

Other comprehensive income (loss) before reclassifications

    9,085     786     (1,360)     8,511  

Amounts reclassified from accumulated other comprehensive income (loss)

        5,687         5,687  
                   

Net current-period other comprehensive income (loss)

    9,085     6,473     (1,360)     14,198  
                   

Ending balance

  $ (17,135)   $ (60,444)   $ 877   $ (76,702)  
                   

            The reclassifications out of accumulated other comprehensive income (loss) consisted of the following as of September 30, 2013:

Details about accumulated
other comprehensive
income (loss) components:
  Amount reclassified from
accumulated other
comprehensive income
(loss)
  Affected line item in the statement where net
income is presented

Accumulated derivative losses, net

         

 

  $ (6,642)   Interest expense

 

    955   Net income attributable to noncontrolling interests
         

 

  $ (5,687)    
         
  • Derivative Financial Instruments

            We record all derivatives on the balance sheet at fair value. The accounting for changes in the fair value of derivatives depends on the intended use of the derivative, whether we have designated a derivative as a hedge and whether the hedging relationship has satisfied the criteria necessary to apply hedge accounting. We may use a variety of derivative financial instruments in the normal course of business to selectively manage or hedge a portion of the risks associated with our indebtedness and interest payments. Our objectives in using interest rate derivatives are to add stability to interest expense and to manage our exposure to interest rate movements. To accomplish this objective, we primarily use interest rate swaps and caps. We require that hedging derivative instruments be highly effective in reducing the risk exposure that they are designated to hedge. As a result, there is no significant ineffectiveness from any of our derivative activities. We formally designate any instrument that meets these hedging criteria as a hedge at the inception of the derivative contract. We have no credit-risk-related hedging or derivative activities.

            As of September 30, 2013, we had the following outstanding interest rate derivatives related to managing our interest rate risk:

Interest Rate Derivative
  Number of
Instruments
  Notional Amount  

Interest Rate Swaps

    2   $ 492.2 million  

Interest Rate Caps

    5   $ 249.4 million  

            The carrying value of our interest rate swaps, at fair value, was a liability balance of $4.6 million and $1.5 million at September 30, 2013 and December 31, 2012, respectively, and is included in other liabilities. The interest rate caps were of nominal value at September 30, 2013 and December 31, 2012 and we generally do not apply hedge accounting to these arrangements.

            We are also exposed to fluctuations in foreign exchange rates on financial instruments which are denominated in foreign currencies, primarily in Japan and Europe. We use currency forward contracts and foreign currency denominated debt to manage our exposure to changes in foreign exchange rates on certain Yen and Euro-denominated receivables and net investments. Currency forward contracts involve fixing the Yen:USD or Euro:USD exchange rate for delivery of a specified amount of foreign currency on a specified date. The currency forward contracts are typically cash settled in US dollars for their fair value at or close to their settlement date. Approximately ¥1.7 billion remains as of September 30, 2013 for all forward contracts that we expect to receive through January 5, 2015. The September 30, 2013 asset balance related to these forward contracts was $4.1 million and is included in deferred costs and other assets. We have reported the changes in fair value for these forward contracts in earnings. The underlying currency adjustments on the foreign currency denominated receivables are also reported in income and generally offset the amounts in earnings for these forward contracts.

            The total gross accumulated other comprehensive loss related to our derivative activities, including our share of the other comprehensive loss from joint venture properties, approximated $70.6 million and $78.1 million as of September 30, 2013 and December 31, 2012, respectively.

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Debt
9 Months Ended
Sep. 30, 2013
Debt  
Debt

6.    Debt

  • Unsecured Debt

            At September 30, 2013, our unsecured debt consisted of $12.9 billion of senior unsecured notes of the Operating Partnership, $1.2 billion outstanding under our $4.0 billion unsecured revolving credit facility, or Credit Facility, $227.6 million outstanding under our $2.0 billion supplemental unsecured revolving credit facility, or Supplemental Facility, and $240.0 million outstanding under an unsecured term loan. The entire balance on the Credit Facility at September 30, 2013 consisted of Euro-denominated borrowings and the entire balance on the Supplemental Facility on such date consisted of Yen-denominated borrowings, both of which are designated as net investment hedges of our international investments.

            On September 30, 2013, we had an aggregate available borrowing capacity of $4.5 billion under the two credit facilities. The maximum outstanding balance of the credit facilities during the nine months ended September 30, 2013 was $1.6 billion and the weighted average outstanding balance was $1.4 billion. Letters of credit of $45.0 million were outstanding under the two credit facilities as of September 30, 2013.

            The Credit Facility's initial borrowing capacity of $4.0 billion can be increased at our sole option to $5.0 billion during its term. The Credit Facility will initially mature on October 30, 2015 and can be extended for an additional year at our sole option. As of September 30, 2013, the base interest rate on the Credit Facility was LIBOR plus 95 basis points (reflects a five basis point reduction effective May 16, 2013) with an additional facility fee of 15 basis points. In addition, the Credit Facility provides for a money market competitive bid option program that allows us to hold auctions to achieve lower pricing for short-term borrowings. The Credit Facility also includes a $2.0 billion multi-currency tranche.

            The Supplemental Facility's borrowing capacity of $2.0 billion can be increased at our sole option to $2.5 billion during its term. The Supplemental Facility will initially mature on June 30, 2016 and can be extended for an additional year at our sole option. As of September 30, 2013, the base interest rate on the Supplemental Facility was LIBOR plus 95 basis points (reflects a five basis point reduction effective May 16, 2013) with an additional facility fee of 15 basis points. Like the Credit Facility, the Supplemental Facility provides for a money market competitive bid option program and allows for multi-currency borrowings.

            During the nine months ended September 30, 2013, we redeemed at par or repaid at maturity $504.5 million of senior unsecured notes with fixed rates ranging from 5.30% to 7.18% with cash on hand. In addition, we repaid a $240.0 million mortgage loan with the proceeds from a $240.0 million unsecured term loan. The term loan has a capacity of up to $300.0 million, bears interest at LIBOR plus 110 basis points and matures on February 28, 2016 with two available one-year extension options.

            On October 2, 2013, the Operating Partnership issued €750.0 million ($1.0 billion USD equivalent) of senior unsecured notes at a fixed interest rate of 2.375% with a maturity date of October 2, 2020. Proceeds from the unsecured notes offering were used to pay down a portion of Euro-denominated borrowings on the Credit Facility and the acquisition of various assets in the McArthurGlen transactions further discussed in Note 5. These notes are designated as a net investment hedge of our Euro-denominated international investments.

  • Mortgage Debt

            Total mortgage indebtedness was $8.1 billion and $8.0 billion at September 30, 2013 and December 31, 2012, respectively.

  • Covenants

            Our unsecured debt agreements contain financial covenants and other non-financial covenants. If we were to fail to comply with these covenants, after the expiration of the applicable cure periods, the debt maturity could be accelerated or other remedies could be sought by the lender including adjustments to the applicable interest rate. As of September 30, 2013, we were in compliance with all covenants of our unsecured debt.

            At September 30, 2013, we or our subsidiaries are the borrowers under 79 non-recourse mortgage notes secured by mortgages on 79 properties, including seven separate pools of cross-defaulted and cross-collateralized mortgages encumbering a total of 27 properties. Under these cross-default provisions, a default under any mortgage included in the cross-defaulted pool may constitute a default under all mortgages within that pool and may lead to acceleration of the indebtedness due on each property within the pool. Certain of our secured debt instruments contain financial and other non-financial covenants which are specific to the properties which serve as collateral for that debt. If the borrower fails to comply with these covenants, the lender could accelerate the debt and enforce its right against their collateral. At September 30, 2013, the applicable borrowers under these non-recourse mortgage notes were in compliance with all covenants where non-compliance could individually, or giving effect to applicable cross-default provisions in the aggregate, have a material adverse effect on our financial condition, results of operations or cash flows.

  • Fair Value of Debt

            The carrying value of our variable-rate mortgages and other loans approximates their fair values. We estimate the fair values of consolidated fixed-rate mortgages using cash flows discounted at current borrowing rates and other indebtedness using cash flows discounted at current market rates. We estimate the fair values of consolidated fixed-rate unsecured notes using quoted market prices, or, if no quoted market prices are available, we use quoted market prices for securities with similar terms and maturities. The book value of our consolidated fixed-rate mortgages and unsecured indebtedness was $20.7 billion and $21.0 billion as of September 30, 2013 and December 31, 2012, respectively. The fair values of these financial instruments and the related discount rate assumptions as of September 30, 2013 and December 31, 2012 are summarized as follows:

 
  September 30,
2013
  December 31,
2012
 

Fair value of fixed-rate mortgages and unsecured indebtedness

  $ 22,140   $ 23,373  

Weighted average discount rates assumed in calculation of fair value for fixed-rate mortgages

    3.55%     3.24%  
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Per Share Data
9 Months Ended
Sep. 30, 2013
Per Share Data  
Per Share Data

4.    Per Share Data

            We determine basic earnings per share based on the weighted average number of shares of common stock outstanding during the period and we consider any participating securities for purposes of applying the two-class method. We determine diluted earnings per share based on the weighted average number of shares of common stock outstanding combined with the incremental weighted average shares that would have been outstanding assuming all dilutive potential securities were converted into common shares at the earliest date possible. The following table sets forth the computation of our basic and diluted earnings per share.

 
  For the Three Months
Ended September 30,
  For the Nine Months
Ended September 30,
 
 
  2013   2012   2013   2012  

Net Income attributable to Common Stockholders — Basic and Diluted

  $ 311,675   $ 254,921   $ 934,749   $ 1,115,776  
                   

Weighted Average Shares Outstanding — Basic

    310,332,777     304,107,489     310,194,789     301,029,029  

Effect of stock options

        1,070     67     1,077  
                   

Weighted Average Shares Outstanding — Diluted

    310,332,777     304,108,559     310,194,856     301,030,106  
                   

            For the nine months ended September 30, 2013, potentially dilutive securities include stock options, units that are exchangeable for common stock and long-term incentive performance, or LTIP, units granted under our long-term incentive performance programs that are convertible into units and exchangeable for common stock. The only securities that had a dilutive effect for the nine months ended September 30, 2013 and 2012 were stock options. We accrue dividends when they are declared.

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Equity (Details) (USD $)
In Millions, except Share data, unless otherwise specified
9 Months Ended 1 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended
Sep. 30, 2013
partner
Sep. 30, 2012
Jul. 31, 2011
LTIP Retention Award to Chairman and CEO
Jun. 06, 2013
1998 Stock Incentive Plan
Restricted stock
Employees
Apr. 02, 2013
1998 Stock Incentive Plan
Restricted stock
Employees
Feb. 25, 2013
1998 Stock Incentive Plan
Restricted stock
Employees
Sep. 30, 2013
1998 Stock Incentive Plan
Restricted stock
Employees
May 14, 2013
1998 Stock Incentive Plan
Restricted stock
Non-employee Directors
Sep. 30, 2013
1998 Stock Incentive Plan
Restricted stock
Non-employee Directors
Mar. 16, 2010
LTIP programs
Item
Sep. 30, 2013
LTIP programs
Mar. 31, 2011
One-year 2010 LTIP Program
Item
Sep. 30, 2013
One-year 2010 LTIP Program
Mar. 31, 2012
Two-year 2010 LTIP Program
Item
Sep. 30, 2013
Two-year 2010 LTIP Program
Mar. 31, 2013
Three-year 2010 LTIP Program
Item
Sep. 30, 2013
Three-year 2010 LTIP Program
Sep. 30, 2013
2011-2013 LTIP Program
Sep. 30, 2013
2012-2014 LTIP Program
Sep. 30, 2013
2013-2015 LTIP program
Equity                                        
Number of partnership units exchanged for common stock 321,354                                      
Number of limited partners exchanging units 10                                      
Compensation expense, net of capitalization $ 40.0 $ 35.1                                    
Long Term Incentive Performance Programs                                        
Number of programs approved                   3                    
Post performance period service based vesting period                         2 years   2 years   2 years      
Percent of distributions of Operating Partnership that participants are entitled to receive during performance period                     10.00%                  
Vesting period (in installments)                       2   2   2        
Performance period                         1 year   2 years   3 years 3 years 3 years 3 years
Restricted stock awards granted (in shares)     1,000,000       107,528 3,487       133,673                
Units earned under LTIP program (in shares)                           337,006   489,654        
Vesting rights (as a percent)                                     50.00% 50.00%
Aggregate grant date fair value     $ 120.3                   $ 7.2   $ 14.8   $ 23.0 $ 35.0 $ 35.0 $ 33.5
Weighted average fair value of shares granted during the year (in dollars per share)       $ 166.56 $ 159.32 $ 157.37   $ 179.23                        
Vesting period             3 years   1 year                      
Service period     8 years                                  
Vesting rights (as a percent)     33.00%                                  
XML 35 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Details 6) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Significant Accounting Policies  
Beginning balance $ (90,900)
Other comprehensive income (loss) before reclassifications 8,511
Amounts reclassified from accumulated other comprehensive income (loss) 5,687
Other comprehensive income (loss) 14,198
Ending balance (76,702)
Currency translation adjustments
 
Significant Accounting Policies  
Beginning balance (26,220)
Other comprehensive income (loss) before reclassifications 9,085
Other comprehensive income (loss) 9,085
Ending balance (17,135)
Accumulated derivative losses, net
 
Significant Accounting Policies  
Beginning balance (66,917)
Other comprehensive income (loss) before reclassifications 786
Amounts reclassified from accumulated other comprehensive income (loss) 5,687
Other comprehensive income (loss) 6,473
Ending balance (60,444)
Net unrealized gains on marketable securities
 
Significant Accounting Policies  
Beginning balance 2,237
Other comprehensive income (loss) before reclassifications (1,360)
Other comprehensive income (loss) (1,360)
Ending balance $ 877
XML 36 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Details) (USD $)
9 Months Ended 12 Months Ended 0 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Construction and other related party loans
Dec. 31, 2012
Construction and other related party loans
Dec. 31, 2012
The Shops at Mission Viejo
Dec. 31, 2012
IMI
Woodfield Mall
May 21, 2012
Klepierre
Mar. 14, 2012
Klepierre
Dec. 31, 2012
IMI Joint Venture
Woodfield Mall
Jan. 31, 2013
IMI Joint Venture
The Shops at Mission Viejo
Dec. 31, 2012
IMI Joint Venture
The Shops at Mission Viejo
Dec. 31, 2012
IMI Joint Venture
IMI
Woodfield Mall
Dec. 31, 2012
IMI Joint Venture
IMI
The Shops at Mission Viejo
Sep. 30, 2013
United States
property
Dec. 31, 2012
United States
property
Sep. 30, 2013
Japan
property
Dec. 31, 2012
Japan
property
Sep. 30, 2013
South Korea
property
Dec. 31, 2012
South Korea
property
Sep. 30, 2013
Mexico
property
Dec. 31, 2012
Mexico
property
Sep. 30, 2013
Malaysia
property
Dec. 31, 2012
Malaysia
property
Jan. 09, 2012
Italy
GCI
property
Schedule of Equity Method Investments                                                
Number of properties                           74 78 9 8 3 2 1 1 1 1  
Number of properties sold                                               45
Joint venture ownership percentage               28.70%                                
Joint venture ownership percentage after transactions             28.90%   50.00%   51.00% 50.00% 49.00%                      
Loans to related party     $ 103,600,000 $ 25,400,000                                        
Joint venture ownership percentage before transaction         100.00% 100.00%                                    
Gain due to formation of joint venture         0                                      
Aggregate face amount of mortgage notes                 425,000,000 295,000,000                            
Interest rate on mortgage loan (as a percent)                 4.50% 3.61%                            
Distribution from joint venture financing proceeds $ 143,202,000 $ 114,508,000               $ 149,700,000                            
XML 37 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Details 6) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2013
Dec. 31, 2012
Schedule of Equity Method Investments    
Equity investment $ 1,991,900 $ 2,108,966
Japan | Mitsubishi Estate Co., Ltd. | Premium Outlet operations
   
Schedule of Equity Method Investments    
Joint venture ownership percentage 40.00%  
Equity investment 276,200 314,200
South Korea | Shinsegae International Co | Premium Outlet operations
   
Schedule of Equity Method Investments    
Joint venture ownership percentage 50.00%  
Equity investment $ 70,700 $ 62,900
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Real Estate Acquisitions and Dispositions (Details) (USD $)
0 Months Ended 3 Months Ended 1 Months Ended 0 Months Ended 0 Months Ended 12 Months Ended 9 Months Ended 9 Months Ended 12 Months Ended 9 Months Ended 12 Months Ended 0 Months Ended
May 21, 2012
Klepierre
Mar. 14, 2012
Klepierre
Jan. 06, 2012
Del Amo Fashion Center
May 03, 2012
The Domain, Austin, TX
property
Sep. 30, 2013
Office property, Boston, Massachusetts
May 31, 2013
Outlet center, Portland OR
May 30, 2013
Outlet center, Portland OR
sqft
Dec. 04, 2012
Grand Prairie and Livermore properties
Dec. 04, 2012
Grand Prairie Premium Outlets, Grand Prairie (Dallas), TX
Dec. 04, 2012
Livermore Premium Outlets, Livermore (San Francisco), CA
Jun. 04, 2012
Outlet center, Destin, FL
sqft
Mar. 22, 2012
TMLP 2012 acquisition
Dec. 31, 2012
Retail properties
Sep. 30, 2013
Real estate property interests
property
Mar. 22, 2012
Real estate property interests
TMLP 2012 acquisition
property
Mar. 22, 2012
Unconsolidated properties
TMLP 2012 acquisition
property
Sep. 30, 2013
Unconsolidated properties
Community Centers
property
Sep. 30, 2013
Unconsolidated properties
Retail properties
property
Dec. 31, 2012
Unconsolidated properties
Retail properties
property
Mar. 22, 2012
Consolidated properties
TMLP 2012 acquisition
property
Sep. 30, 2013
Consolidated properties
Retail properties
property
Dec. 31, 2012
Consolidated properties
Retail properties
property
Dec. 04, 2012
Consolidated properties
Outlet center
Grand Prairie and Livermore properties
property
Real Estate Acquisitions and Dispositions                                              
Number of properties in which additional interests acquired                                 3           2
Number of properties disposed of during the period                                 3 2 4   4 9  
Gain on disposition       $ 12,400,000 $ 7,900,000               $ 15,500,000 $ 72,600,000                  
Property interest acquired (as a percent)             100.00%       50.00%                        
Area of property acquired (in square feet)             390,000       465,000                        
Property interest acquired           146,700,000         70,500,000                        
Gain on acquisition of property interests           27,300,000                                  
Number of properties sold       2                                      
Ownership interests acquired (as a percent)                 50.00% 50.00%                          
Ownership interest after acquisition (as a percent)                 100.00% 100.00%                          
Consideration paid               260,900,000                              
Consideration paid in cash, percentage               90.00%                              
Consideration paid by issuance of units, percentage               10.00%                              
Consideration paid               162,500,000                              
Number of properties                           18 26 16       9      
Transaction value                       1,500,000,000                      
Joint venture ownership percentage   28.70%                                          
Purchase price of equity method investment acquired   $ 2,000,000,000 $ 50,000,000                                        
Joint venture ownership percentage after transactions 28.90%   50.00%                                        

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Consolidated Balance Sheets (Parenthetical) (USD $)
In Thousands, except Share data, unless otherwise specified
9 Months Ended 12 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Capital stock, total shares authorized 850,000,000 850,000,000
Capital stock, par value (in dollars per share) $ 0.0001 $ 0.0001
Capital stock, shares of excess common stock 238,000,000 238,000,000
Capital stock, authorized shares of preferred stock 100,000,000 100,000,000
Preferred stock stated dividend rate percentage 8.375% 8.375%
Series J 8 3/8% cumulative redeemable preferred stock, shares authorized 1,000,000 1,000,000
Series J 8 3/8% cumulative redeemable preferred stock, shares issued 796,948 796,948
Series J 8 3/8% cumulative redeemable preferred stock, shares outstanding 796,948 796,948
Series J 8 3/8% cumulative redeemable preferred stock, liquidation value (in dollars) $ 39,847 $ 39,847
Common stock held in treasury, shares 3,651,580 3,762,595
Common stock
   
Common stock, par value (in dollars per share) $ 0.0001 $ 0.0001
Common stock, shares authorized 511,990,000 511,990,000
Common stock, shares issued 313,976,863 313,658,419
Common stock, shares outstanding 313,976,863 313,658,419
Class B common stock
   
Common stock, par value (in dollars per share) $ 0.0001 $ 0.0001
Common stock, shares authorized 10,000 10,000
Common stock, shares issued 8,000 8,000
Common stock, shares outstanding 8,000 8,000
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Real Estate Acquisitions and Dispositions
9 Months Ended
Sep. 30, 2013
Real Estate Acquisitions and Dispositions  
Real Estate Acquisitions and Dispositions

9.    Real Estate Acquisitions and Dispositions

            During the first nine months of 2013, we increased our economic interest in three unconsolidated community centers and subsequently disposed of our interests in those properties. Additionally, we disposed of our interests in four consolidated retail properties and two unconsolidated retail properties. The aggregate gain recognized on these transactions was approximately $72.6 million. Also, during the third quarter of 2013, we disposed of our interest in an office property located in the Boston, Massachusetts area. The gain on the sale was $7.9 million which is included in other income in the accompanying consolidated statements of operations and comprehensive income.

            On May 30, 2013 we acquired a 100% interest in a 390,000 square foot outlet center located near Portland, Oregon for cash consideration of $146.7 million. The fair value of the acquisition was recorded primarily as investment property and lease related intangibles. As a result of the excess of fair value over amounts paid, we recognized a gain of approximately $27.3 million.

            During 2012, we disposed of our interests in nine consolidated retail properties and four unconsolidated retail properties. Our share of the net gain on these disposals was $15.5 million. On May 3, 2012, we sold our interests in two residential apartment buildings located at The Domain in Austin, Texas. Our share of the gain from the sale was $12.4 million which is included in other income in the accompanying 2012 consolidated statement of operations and comprehensive income.

            On December 31, 2012, as discussed in Note 5, we contributed a wholly-owned property to a newly formed joint venture in exchange for an interest in a property contributed to the same joint venture by our joint venture partner.

            On December 4, 2012, we acquired the remaining 50% noncontrolling equity interests in two previously consolidated outlet properties located in Grand Prairie, Texas and Livermore, California and accordingly, we now own 100% of these properties. We paid consideration of $260.9 million for the additional interest in the properties, 90% of which was paid in cash and 10% of which was satisfied through the issuance of units of the Operating Partnership. In addition, the construction loans we had provided to the properties totaling $162.5 million were extinguished on a non-cash basis. The transaction was accounted for as an equity transaction, as the properties had been previously consolidated.

            On June 4, 2012, we acquired a 50% interest in a 465,000 square foot outlet center located in Destin, Florida for $70.5 million.

            On March 22, 2012, as discussed in Note 5, we acquired additional interests in 26 of our joint venture properties in a transaction valued at approximately $1.5 billion.

            On March 14, 2012, as discussed in Note 5, we acquired a 28.7% equity stake in Klépierre for approximately $2.0 billion, including the capitalization of acquisition costs.

            On January 9, 2012, as discussed in Note 5, we sold our entire ownership interest in GCI.

            On January 6, 2012, we paid $50.0 million to acquire an additional interest in Del Amo Fashion Center, thereby increasing our interest to 50%.

            Unless otherwise noted, gains and losses on the above transactions are included in gain (loss) upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net in the accompanying consolidated statements of operations and comprehensive income. We expense acquisition and potential acquisition costs related to business combinations and disposition related costs as they are incurred. We incurred a minimal amount of transaction expenses during the nine months ended September 30, 2013 and 2012.

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Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
CASH FLOWS FROM OPERATING ACTIVITIES:    
Consolidated Net Income $ 1,102,287 $ 1,349,136
Adjustments to reconcile consolidated net income to net cash provided by operating activities -    
Depreciation and amortization 991,715 940,310
Gain upon acquisition of controlling interests, sale or disposal of assets and interests in unconsolidated entities, and impairment charge on investment in unconsolidated entities, net (99,906) (491,926)
Straight-line rent (32,906) (27,447)
Equity in income of unconsolidated entities (158,663) (96,613)
Distributions of income from unconsolidated entities 143,202 114,508
Changes in assets and liabilities -    
Tenant receivables and accrued revenue, net 22,528 57,479
Deferred costs and other assets (46,537) (69,553)
Accounts payable, accrued expenses, intangibles, deferred revenues and other liabilities 7,173 51,251
Net cash provided by operating activities 1,928,893 1,827,145
CASH FLOWS FROM INVESTING ACTIVITIES:    
Acquisitions (308,635) (3,690,778)
Funding of loans to related parties (62,689) (18,613)
Repayments from loans to related parties   92,600
Capital expenditures, net (628,577) (589,671)
Cash from acquisitions and cash impact from the consolidation and deconsolidation of properties   91,170
Net proceeds from sale of assets 248,495 380,946
Investments in unconsolidated entities (113,428) (145,559)
Purchase of marketable and non-marketable securities (39,945) (179,887)
Proceeds from sale of marketable and non-marketable securities 47,495  
Repayments of loans held for investment   163,908
Distributions of capital from unconsolidated entities and other 460,071 151,855
Net cash used in investing activities (397,213) (3,744,029)
CASH FLOWS FROM FINANCING ACTIVITIES:    
Proceeds from sales of common stock and other, net of transaction costs 181 1,213,715
Redemption of limited partner units   (248,000)
Distributions to noncontrolling interest holders in properties (7,393) (9,534)
Contributions from noncontrolling interest holders in properties 5,684 2,107
Preferred distributions of the Operating Partnership (1,436) (1,436)
Preferred dividends and distributions to stockholders (1,072,782) (903,426)
Distributions to limited partners (179,855) (181,084)
Proceeds from issuance of debt, net of transaction costs 1,242,868 5,127,045
Repayments of debt (1,604,144) (3,428,441)
Net cash (used in) provided by financing activities (1,616,877) 1,570,946
DECREASE IN CASH AND CASH EQUIVALENTS (85,197) (345,938)
CASH AND CASH EQUIVALENTS, beginning of period 1,184,518 798,650
CASH AND CASH EQUIVALENTS, end of period $ 1,099,321 $ 452,712
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Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2013
Dec. 31, 2012
ASSETS:    
Investment properties at cost $ 34,764,669 $ 34,252,521
Less - accumulated depreciation 9,804,069 9,068,388
Investment properties, net 24,960,600 25,184,133
Cash and cash equivalents 1,099,321 1,184,518
Tenant receivables and accrued revenue, net 529,893 521,301
Investment in unconsolidated entities, at equity 1,991,900 2,108,966
Investment in Klepierre, at equity 1,971,230 2,016,954
Deferred costs and other assets 1,558,465 1,570,734
Total assets 32,111,409 32,586,606
LIABILITIES:    
Mortgages and unsecured indebtedness 22,729,654 23,113,007
Accounts payable, accrued expenses, intangibles, and deferred revenues 1,328,089 1,374,172
Cash distributions and losses in partnerships and joint ventures, at equity 842,062 724,744
Other liabilities 227,319 303,588
Total liabilities 25,127,124 25,515,511
Commitments and contingencies      
Limited partners' preferred interest in the Operating Partnership and noncontrolling redeemable interests in properties 179,792 178,006
Capital stock (850,000,000 total shares authorized, $ 0.0001 par value, 238,000,000 shares of excess common stock, 100,000,000 authorized shares of preferred stock):    
Series J 8 3/8% cumulative redeemable preferred stock, 1,000,000 shares authorized, 796,948 issued and outstanding with a liquidation value of $ 39,847 44,472 44,719
Capital in excess of par value 9,197,939 9,175,724
Accumulated deficit (3,218,890) (3,083,190)
Accumulated other comprehensive loss (76,702) (90,900)
Common stock held in treasury at cost, 3,651,580 and 3,762,595 shares, respectively (118,031) (135,781)
Total stockholders' equity 5,828,819 5,910,603
Noncontrolling interests 975,674 982,486
Total equity 6,804,493 6,893,089
Total liabilities and equity 32,111,409 32,586,606
Common stock
   
Capital stock (850,000,000 total shares authorized, $ 0.0001 par value, 238,000,000 shares of excess common stock, 100,000,000 authorized shares of preferred stock):    
Common stock 31 31
Class B common stock
   
Capital stock (850,000,000 total shares authorized, $ 0.0001 par value, 238,000,000 shares of excess common stock, 100,000,000 authorized shares of preferred stock):    
Common stock      
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Significant Accounting Policies (Details 7) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Significant Accounting Policies        
Interest expense $ (284,491) $ (288,896) $ (849,482) $ (835,532)
Net income attributable to noncontrolling interests 54,784 50,616 165,035 230,857
NET INCOME ATTRIBUTABLE TO COMMON STOCKHOLDERS 311,675 254,921 934,749 1,115,776
Amount reclassified from accumulated other comprehensive income (loss)
       
Significant Accounting Policies        
NET INCOME ATTRIBUTABLE TO COMMON STOCKHOLDERS     (5,687)  
Accumulated derivative losses, net | Amount reclassified from accumulated other comprehensive income (loss)
       
Significant Accounting Policies        
Interest expense     (6,642)  
Net income attributable to noncontrolling interests     $ 955  
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Significant Accounting Policies (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Marketable and Non-Marketable Securities    
Net unrealized gains (losses) recorded in accumulated other comprehensive income (loss) $ 1.0 $ 2.6
Carrying value of investments under the cost method 118.8 98.9
Other-than-temporary non-cash charges 0  
Available for sale securities | Securities in captive insurance subsidiary portfolio | Minimum
   
Marketable and Non-Marketable Securities    
Investment maturity period 1 year  
Available for sale securities | Securities in captive insurance subsidiary portfolio | Maximum
   
Marketable and Non-Marketable Securities    
Investment maturity period 10 years  
Held-to-maturity securities
   
Marketable and Non-Marketable Securities    
Investments used to fund debt service requirements $ 16.5 $ 24.9
XML 47 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Details 2) (Consolidated revenues, Concentration of credit risk, Maximum)
9 Months Ended
Sep. 30, 2013
Consolidated revenues | Concentration of credit risk | Maximum
 
Concentration of Credit Risk  
Percentage of consolidated revenues from a single customer or tenant 5.00%
XML 48 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Details 8) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Revenue:        
Minimum rent $ 795,809 $ 759,039 $ 2,351,876 $ 2,207,334
Overage rent 56,511 51,170 134,458 110,277
Tenant reimbursements 367,702 342,443 1,059,834 979,300
Other income 48,621 43,671 112,553 145,813
Total revenue 1,302,256 1,228,617 3,753,877 3,535,652
Operating Expenses:        
Property operating 126,706 132,378 354,094 353,136
Depreciation and amortization 326,073 310,244 961,344 907,217
Real estate taxes 113,145 105,694 332,259 311,173
Repairs and maintenance 27,747 26,556 84,579 78,862
Advertising and promotion 30,725 28,114 81,343 77,762
Provision for (recovery of) credit losses 2,774 (1,180) 4,207 5,271
Other 25,804 20,636 62,411 58,424
Total operating expenses 701,691 663,664 2,030,734 1,929,651
OPERATING INCOME 600,565 564,953 1,723,143 1,606,001
Interest expense (284,491) (288,896) (849,482) (835,532)
Income from Unconsolidated Entities 47,916 37,129 158,663 96,613
Equity Method Investments | Unconsolidated property interests
       
Revenue:        
Minimum rent 408,204 370,183 1,201,748 1,091,701
Overage rent 40,784 44,002 128,565 128,622
Tenant reimbursements 197,494 176,544 569,044 508,698
Other income 40,903 34,754 122,505 121,686
Total revenue 687,385 625,483 2,021,862 1,850,707
Operating Expenses:        
Property operating 125,329 125,162 364,494 351,963
Depreciation and amortization 135,457 125,828 389,843 375,280
Real estate taxes 55,374 45,068 160,152 132,618
Repairs and maintenance 15,653 15,418 48,156 45,269
Advertising and promotion 14,141 11,706 44,164 39,600
Provision for (recovery of) credit losses 192 (646) 1,772 (247)
Other 37,948 36,089 110,129 128,134
Total operating expenses 384,094 358,625 1,118,710 1,072,617
OPERATING INCOME 303,291 266,858 903,152 778,090
Interest expense (151,579) (148,891) (453,573) (451,581)
Income from Continuing Operations 151,712 117,967 449,579 326,509
Gain (loss) from operations of discontinued joint venture interests 7 (1,978) (339) (20,769)
Gain (loss) on disposal of discontinued operations 6,580 (4,904) 24,936 (4,904)
Net Income 158,299 111,085 474,176 300,836
Third-party investors' share of net income 85,211 66,308 263,926 163,108
Our share of net income 73,088 44,777 210,250 137,728
Amortization of excess investment (25,733) (21,726) (75,415) (55,059)
Our share of loss on sale or disposal of assets and interests in unconsolidated entities, net   9,245   9,245
Income from Unconsolidated Entities $ 47,355 $ 32,296 $ 134,835 $ 91,914
XML 49 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Details 4) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Sep. 30, 2013
property
Dec. 31, 2012
Cost method investments    
Cost Method Investments $ 118.8 $ 98.9
Europe | Value Retail PLC
   
Cost method investments    
Number of luxury outlets owned and operated 9  
Number of outlets in which the entity has a minority direct ownership 3  
Cost Method Investments $ 115.4 $ 95.5
XML 50 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investment in Unconsolidated Entities (Details 5) (USD $)
0 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Sep. 30, 2013
Currency translation and net investment hedges
Dec. 31, 2012
Currency translation and net investment hedges
Jan. 09, 2012
Europe
GCI
Jan. 09, 2012
Europe
GCI
Currency translation and net investment hedges
Schedule of Equity Method Investments            
Aggregate cash received         $ 375,800,000  
Gain on sale of equity method investment         28,800,000  
Accumulated losses recorded in AOCI $ (76,702,000) $ (90,900,000) $ (17,135,000) $ (26,220,000)   $ 39,500,000
XML 51 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies
9 Months Ended
Sep. 30, 2013
Commitments and Contingencies.  
Commitments and Contingencies

8.    Commitments and Contingencies

  • Litigation

            We are involved from time-to-time in various legal proceedings that arise in the ordinary course of our business, including, but not limited to commercial disputes, environmental matters, and litigation in connection with transactions including acquisitions and divestitures. We believe that such litigation, claims and administrative proceedings will not have a material adverse impact on our financial position or our results of operations. We record a liability when a loss is considered probable and the amount can be reasonably estimated.

            In May 2010, Opry Mills sustained significant flood damage. Insurance proceeds of $50 million have been funded by the insurers, remediation work has been completed and the property was re-opened March 29, 2012. The excess insurance carriers (those providing coverage above $50 million) have denied the claim under the policy for additional proceeds (of up to $150 million) to pay further amounts for restoration costs and business interruption losses. We and our lenders are continuing our efforts through pending litigation to recover our losses under the excess insurance policies for Opry Mills and we believe recovery is probable, but no assurances can be made that our efforts to recover these funds will be successful.

  • Guarantees of Indebtedness

            Joint venture debt is the liability of the joint venture and is typically secured by the joint venture property, which is non-recourse to us. As of September 30, 2013 and December 31, 2012, the Operating Partnership guaranteed joint venture related mortgage indebtedness of $179.2 million and $84.9 million, respectively (of which we have a right of recovery from our venture partners of $81.1 million and $38.6 million, respectively). Mortgages guaranteed by us are secured by the property of the joint venture which could be sold in order to satisfy the outstanding obligation and which has an estimated fair value in excess of the guaranteed amount.

  • Concentration of Credit Risk

            Our malls, Premium Outlets, The Mills, and community/lifestyle centers rely heavily upon anchor tenants to attract customers; however anchor retailers do not contribute materially to our financial results as many anchor retailers own their spaces. All material operations are within the United States and no customer or tenant accounts for 5% or more of our consolidated revenues.

XML 52 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Details 8)
In Millions, unless otherwise specified
Sep. 30, 2013
USD ($)
Dec. 31, 2012
USD ($)
Sep. 30, 2013
Interest rate swap
USD ($)
instrument
Dec. 31, 2012
Interest rate swap
USD ($)
Sep. 30, 2013
Interest rate cap
USD ($)
instrument
Sep. 30, 2013
USD-Yen currency forward contract
USD ($)
Sep. 30, 2013
USD-Yen currency forward contract
JPY (¥)
Derivative financial instruments              
Number of Instruments     2   5    
Notional Amount     $ 492.2   $ 249.4   ¥ 1,700.0
Interest rate net derivative liability, fair value     4.6 1.5      
Asset value of forwards included in deferred costs and other assets           4.1  
Gross accumulated other comprehensive income or loss related to derivative activities $ 70.6 $ 78.1          
XML 53 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Preferred Stock
Sep. 30, 2013
Common Stock
Dec. 31, 2012
Common Stock
Sep. 30, 2013
Accumulated Other Comprehensive Income (Loss)
Sep. 30, 2013
Capital in Excess of Par Value
Sep. 30, 2013
Accumulated Deficit
Sep. 30, 2013
Common Stock Held in Treasury
Sep. 30, 2013
Noncontrolling interests
Sep. 30, 2012
Noncontrolling interests
Sep. 30, 2013
Noncontrolling interests
Sep. 30, 2012
Noncontrolling interests
Increase (Decrease) in Stockholders' Equity                              
Balance     $ 6,893,089   $ 44,719 $ 31 $ 31 $ (90,900) $ 9,175,724 $ (3,083,190) $ (135,781) $ 971,498 $ 1,185,418 $ 982,486 $ 894,622
Exchange of limited partner units for common shares                 6,041     (59) (129,783) (6,041) (133,801)
Contributions from noncontrolling interest partners and other     53,384   (247)       (3,248) (170) 17,750     39,299  
Adjustment to limited partners' interest from change in ownership in the Operating Partnership                 19,422         (19,422)  
Distributions to common stockholders and limited partners, excluding Operating Partnership preferred interests     (1,252,637)             (1,072,782)       (179,855)  
Distributions to other noncontrolling interest partners     (249)                     (249)  
Comprehensive income, excluding $1,436 attributable to preferred interests in the Operating Partnership and $6,499 attributable to noncontrolling redeemable interests in properties in temporary equity     1,110,906         14,198   937,252       159,456  
Balance 6,804,493   6,804,493   44,472 31 31 (76,702) 9,197,939 (3,218,890) (118,031) 975,674 979,364 975,674 979,364
Comprehensive income attributable to preferred interests         1,436                    
Comprehensive income attributable to noncontrolling interests $ 59,089 $ 56,077 $ 167,391 $ 239,427                   $ 6,499  
XML 54 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Tables)
9 Months Ended
Sep. 30, 2013
Significant Accounting Policies  
Schedule of carrying amount of noncontrolling interests
 
  As of
September 30,
2013
  As of
December 31,
2012
 

Limited partners' interests in the Operating Partnership

  $ 971,488   $ 983,363  

Nonredeemable noncontrolling deficit interests in properties, net

    4,186     (877)  
           

Total noncontrolling interests reflected in equity

  $ 975,674   $ 982,486  
           
Schedule of rollforward of noncontrolling interests
 
  For the Three Months Ended
September 30,
  For the Nine Months Ended
September 30,
 
 
  2013   2012   2013   2012  

Noncontrolling interests, beginning of period

  $ 971,498   $ 1,185,418   $ 982,486   $ 894,622  

Net income attributable to noncontrolling interests after preferred distributions and income attributable to redeemable noncontrolling interests in consolidated properties

    52,339     47,668     157,100     222,986  

Distributions to noncontrolling interest holders

    (60,197)     (62,149)     (180,104)     (181,354)  

Other comprehensive income (loss) allocable to noncontrolling interests:

                         

Unrealized (loss) gain on derivative hedge agreements

    (629)     1,327     111     2,333  

Net loss reclassified from accumulated other comprehensive loss into earnings

    369     517     955     2,233  

Currency translation adjustments

    4,676     2,716     1,518     (717)  

Changes in available-for-sale securities and other

    (111)     902     (228)     4,721  
                   

 

    4,305     5,462     2,356     8,570  
                   

Adjustment to limited partners' interest from change in ownership in the Operating Partnership

    (8,841)     (38,715)     (19,422)     117,584  

Units exchanged for common shares

    (59)     (129,783)     (6,041)     (133,801)  

Units redeemed

        (38,904)         (38,904)  

Purchase of noncontrolling interests and other

    16,629     10,367     39,299     89,661  
                   

Noncontrolling interests, end of period

  $ 975,674   $ 979,364   $ 975,674   $ 979,364  
                   
Schedule of changes in accumulated other comprehensive income (loss) net of noncontrolling interest by component

The changes in accumulated other comprehensive income (loss) net of noncontrolling interest by component consisted of the following as of September 30, 2013:

 
  Currency
translation
adjustments
  Accumulated
derivative
losses, net
  Net unrealized
gains on
marketable securities
  Total  

Beginning balance

  $ (26,220)   $ (66,917)   $ 2,237   $ (90,900)  

Other comprehensive income (loss) before reclassifications

    9,085     786     (1,360)     8,511  

Amounts reclassified from accumulated other comprehensive income (loss)

        5,687         5,687  
                   

Net current-period other comprehensive income (loss)

    9,085     6,473     (1,360)     14,198  
                   

Ending balance

  $ (17,135)   $ (60,444)   $ 877   $ (76,702)  
                   
Schedule of reclassifications out of accumulated other comprehensive income (loss)

The reclassifications out of accumulated other comprehensive income (loss) consisted of the following as of September 30, 2013:

Details about accumulated
other comprehensive
income (loss) components:
  Amount reclassified from
accumulated other
comprehensive income
(loss)
  Affected line item in the statement where net
income is presented

Accumulated derivative losses, net

         

 

  $ (6,642)   Interest expense

 

    955   Net income attributable to noncontrolling interests
         

 

  $ (5,687)    
         
Schedule of outstanding interest rate derivatives related to interest rate risk

 As of September 30, 2013, we had the following outstanding interest rate derivatives related to managing our interest rate risk:

Interest Rate Derivative
  Number of
Instruments
  Notional Amount  

Interest Rate Swaps

    2   $ 492.2 million  

Interest Rate Caps

    5   $ 249.4 million  
XML 55 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity
9 Months Ended
Sep. 30, 2013
Equity  
Equity

7.    Equity

            During the nine months ended September 30, 2013, we issued 321,354 shares of common stock to 10 limited partners of the Operating Partnership in exchange for an equal number of units pursuant to the partnership agreement of the Operating Partnership.

  • Stock Based Compensation

            Awards under our stock based compensation plans primarily take the form of LTIP units and restricted stock grants made under The Simon Property Group, L.P. 1998 Stock Incentive Plan, or the Plan. These awards are all performance based and are based on various corporate and business unit performance measures as further described below. In the aggregate, we recorded compensation expense, net of capitalization, related to these stock based compensation arrangements of approximately $40.0 million and $35.1 million for the nine months ended September 30, 2013 and 2012, respectively, which is included within home and regional office costs and general and administrative costs in the accompanying statements of operations and comprehensive income.

            LTIP Programs.    On March 16, 2010, the Compensation Committee of our Board of Directors, or the Compensation Committee, approved three long-term, performance based incentive compensation programs, or the 2010 LTIP programs, for certain senior executive officers. Awards under the LTIP programs take the form of LTIP units, a form of limited partnership interest issued by the Operating Partnership, and will be considered earned if, and only to the extent to which, applicable total shareholder return, or TSR, performance measures are achieved during the performance period. Once earned, LTIP units will become the equivalent of units only after a two year service-based vesting period, beginning after the end of the performance period. Awarded LTIP units not earned are forfeited. During the performance period, participants are entitled to receive on the LTIP units awarded to them distributions equal to 10% of the regular quarterly distributions paid on a unit of the Operating Partnership. As a result, we account for these LTIP units as participating securities under the two-class method of computing earnings per share. The 2010 LTIP programs had one, two and three year performance periods, which ended on December 31, 2010, 2011 and 2012, respectively.

            In the first quarter of 2011, the Compensation Committee determined the extent to which the performance measures had been achieved and 133,673 LTIP units were earned under the one-year 2010 LTIP program and, pursuant to the award agreements, vested in two equal installments in 2012 and 2013. In the first quarter of 2012, the Compensation Committee determined the extent to which the performance measures had been achieved and 337,006 LTIP units were earned under the two-year 2010 LTIP program and, pursuant to the award agreements, will vest in two equal installments in 2013 and 2014. In the first quarter of 2013, the Compensation Committee determined the extent to which the performance measures had been achieved and 489,654 LTIP units were earned under the three-year 2010 LTIP program and, pursuant to the award agreements entered into with program participants, the earned LTIP units will vest in two equal installments in 2014 and 2015, subject to the conditions described in those agreements.

            During July 2011, the Compensation Committee approved a new three-year long-term performance based incentive compensation program, or the 2011-2013 LTIP program, and awarded LTIP units to certain senior executive officers. The 2011-2013 LTIP program has a three year performance period ending on December 31, 2013.

            During March 2012, the Compensation Committee approved a three-year long-term performance based incentive compensation program, or the 2012-2014 LTIP program, and awarded LTIP units to certain senior executive officers. The 2012-2014 LTIP program has a three year performance period ending December 31, 2014 and units awarded under that program will be considered earned if, and only to the extent to which, applicable TSR performance measures are achieved during the performance period. One-half of the earned LTIP units will vest on January 1 of each of the second and third years following the end of the applicable performance period, subject to the participant maintaining employment with us through those dates.

            During February 2013, the Compensation Committee approved a three-year long-term performance based incentive compensation program, or the 2013-2015 LTIP program, and awarded LTIP units to certain senior executive officers. The 2013-2015 LTIP program has a three year performance period ending December 31, 2015 and units awarded under that program will be considered earned if, and only to the extent to which, applicable TSR performance measures are achieved during the performance period. One-half of the earned LTIP units will vest on January 1 of each of the second and third years following the end of the applicable performance period, subject to the participant maintaining employment with us through those dates.

            The 2010 LTIP program awards have an aggregate grant date fair value, adjusted for estimated forfeitures, of $7.2 million for the one-year program, $14.8 million for the two-year program and $23.0 million for the three-year program. Both the 2011-2013 LTIP program and 2012-2014 LTIP program have aggregate grant date fair values of $35.0 million, adjusted for estimated forfeitures. The 2013-2015 LTIP program has an aggregate grant date fair value of $33.5 million, adjusted for estimated forfeitures. Grant date fair values were estimated based upon the results of a Monte Carlo model, and the resulting expense will be recorded regardless of whether the TSR performance measures are achieved, if the required service is delivered. The grant date fair values are being amortized into expense over the period from the grant date to the date at which the awards, if any, become vested.

            Restricted Stock.    The Compensation Committee awarded an aggregate of 107,528 shares of restricted stock to employees on February 25, 2013, April 1, 2013 and June 6, 2013 under the Plan, at a fair market value of $157.37 per share, $159.32 per share and $166.56 per share, respectively. On May 14, 2013, our non-employee Directors were awarded 3,487 shares of restricted stock under the Plan at a fair market value of $179.23 per. The fair market value of the restricted stock awarded on February 25, 2013, April 1, 2013 and June 6, 2013 is being recognized as expense over the three-year vesting service period. The fair market value of the restricted stock awarded on May 14, 2013 to our non-employee Directors is being recognized as expense over the one-year vesting service period.

            Other Compensation Arrangements.    On July 6, 2011, in connection with the execution of an employment agreement, the Compensation Committee granted David Simon, our Chairman and CEO, a retention award in the form of 1,000,000 LTIP units. The award vests in one-third increments on July 5th of 2017, 2018 and 2019, subject to continued employment. The grant date fair value of the retention award was $120.3 million which is being recognized as expense over the eight-year term of his employment agreement on a straight-line basis.

  • Changes in Equity

            The following table provides a reconciliation of the beginning and ending carrying amounts of total equity, equity attributable to common stockholders and equity attributable to noncontrolling interests:

 
  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
Equity
 

January 1, 2013

  $ 44,719   $ 31   $ (90,900)   $ 9,175,724   $ (3,083,190)   $ (135,781)   $ 982,486   $ 6,893,089  

Exchange of limited partner units for common shares

                      6,041                 (6,041)      

Issuance of limited partner units

                                               

Contributions from noncontrolling interest partners and other

    (247)                 (3,248)     (170)     17,750     39,299     53,384  

Adjustment to limited partners' interest from change in ownership in the Operating Partnership

                      19,422                 (19,422)      

Distributions to common stockholders and limited partners, excluding Operating Partnership preferred interests

                            (1,072,782)           (179,855)     (1,252,637)  

Distributions to other noncontrolling interest partners

                                        (249)     (249)  

Comprehensive income, excluding $1,436 attributable to preferred interests in the Operating Partnership and $6,499 attributable to noncontrolling redeemable interests in properties in temporary equity

                14,198           937,252           159,456     1,110,906  
                                   

September 30, 2013

  $ 44,472   $ 31   $ (76,702)   $ 9,197,939   $ (3,218,890)   $ (118,031)   $ 975,674   $ 6,804,493  
                                   
XML 56 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation
9 Months Ended
Sep. 30, 2013
Basis of Presentation  
Basis of Presentation

2.    Basis of Presentation

            The accompanying unaudited consolidated financial statements include the accounts of all controlled subsidiaries, and all significant intercompany amounts have been eliminated. Due to the seasonal nature of certain operational activities, the results for the interim period ended September 30, 2013, are not necessarily indicative of the results to be expected for the full year.

            These consolidated financial statements have been prepared in accordance with the instructions to Form 10-Q and include all of the information and disclosures required by accounting principles generally accepted in the United States (GAAP) for interim reporting. Accordingly, they do not include all of the disclosures required by GAAP for complete financial statements. In the opinion of management, all adjustments necessary for fair presentation (including normal recurring accruals) have been included. The consolidated financial statements in this Form 10-Q should be read in conjunction with the audited consolidated financial statements and related notes contained in our 2012 Annual Report on Form 10-K.

            As of September 30, 2013, we consolidated 220 wholly-owned properties and 18 additional properties that are less than wholly-owned, but which we control or for which we are the primary beneficiary. We account for the remaining 89 properties, or the joint venture properties, as well as our investment in Klépierre, using the equity method of accounting, as we have determined we have significant influence over their operations. We manage the day-to-day operations of 71 of the 89 joint venture properties, but have determined that our partner or partners have substantive participating rights with respect to the assets and operations of these joint venture properties. Our investments in joint ventures in Japan, South Korea, Canada, Mexico, and Malaysia comprise 15 of the remaining 18 properties. The international properties are managed locally by joint ventures in which we share oversight responsibility with our partner.

            Preferred distributions of the Operating Partnership are accrued at declaration and represent distributions on outstanding preferred units of partnership interests held by limited partners, or preferred units, and are included in net income attributable to noncontrolling interests. We allocate net operating results of the Operating Partnership after preferred distributions to third parties and to us based on the partners' respective weighted average ownership interests in the Operating Partnership. Net operating results of the Operating Partnership attributable to third parties are reflected in net income attributable to noncontrolling interests. Our weighted average ownership interest in the Operating Partnership was 85.6% and 83.3% for the nine months ended September 30, 2013 and 2012, respectively. As of September 30, 2013 and December 31, 2012, our ownership interest in the Operating Partnership was 85.6%. We adjust the noncontrolling limited partners' interests at the end of each period to reflect their interest in the Operating Partnership.

  • Reclassifications

            We made certain reclassifications of prior period amounts in the consolidated financial statements to conform to the 2013 presentation. These reclassifications had no impact on previously reported net income attributable to common stockholders or earnings per share.

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Investment in Unconsolidated Entities (Details 2) (USD $)
0 Months Ended 0 Months Ended 0 Months Ended
Jan. 06, 2012
Del Amo Fashion Center
Sep. 30, 2013
Consolidated and unconsolidated property interests
property
Mar. 22, 2012
TMLP 2012 acquisition
Mar. 22, 2012
TMLP 2012 acquisition
TMLP Senior Loan Facility
Mar. 22, 2012
TMLP 2012 acquisition
TMLP Trust Preferred Securities
Mar. 22, 2012
TMLP 2012 acquisition
SPG-FCM Loan
Mar. 22, 2012
TMLP 2012 acquisition
Consolidated and unconsolidated property interests
property
Mar. 22, 2012
TMLP 2012 acquisition
Unconsolidated property interests
property
Mar. 22, 2012
TMLP 2012 acquisition
Consolidated property interests
property
Acquisitions                  
Number of properties   18         26 16 9
Transaction value     $ 1,500,000,000            
Repayment of TMLP senior loan facility       562,100,000 100,000,000        
Debt extinguished, noncash           558,400,000      
Mortgage debt assumed, consolidated     2,600,000,000            
Gain due to acquisition of controlling interest                 488,700,000
Other than temporary impairment charge     22,400,000            
Purchase price of business acquired $ 50,000,000                
Joint venture ownership percentage after transactions 50.00%                

XML 60 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Debt (Tables)
9 Months Ended
Sep. 30, 2013
Debt  
Schedule of fair value of fixed rate mortgages and unsecured indebtedness
 
  September 30,
2013
  December 31,
2012
 

Fair value of fixed-rate mortgages and unsecured indebtedness

  $ 22,140   $ 23,373  

Weighted average discount rates assumed in calculation of fair value for fixed-rate mortgages

    3.55%     3.24%  
XML 61 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Policies)
9 Months Ended
Sep. 30, 2013
Significant Accounting Policies  
Cash and Cash Equivalents
  • Cash and Cash Equivalents

            We consider all highly liquid investments purchased with an original maturity of 90 days or less to be cash and cash equivalents. Cash equivalents are carried at cost, which approximates fair value. Cash equivalents generally consist of commercial paper, bankers' acceptances, Eurodollars, repurchase agreements, and money market deposits or securities. Financial instruments that potentially subject us to concentrations of credit risk include our cash and cash equivalents and our trade accounts receivable. We place our cash and cash equivalents with institutions with high credit quality. However, at certain times, such cash and cash equivalents are in excess of FDIC and SIPC insurance limits.

Marketable and Non-Marketable Securities
  • Marketable and Non-Marketable Securities

            Marketable securities consist primarily of investments of our captive insurance subsidiaries, our deferred compensation plan investments, and certain other investments.

            The types of securities included in the investment portfolio of our captive insurance subsidiaries typically include U.S. Treasury or other U.S. government securities as well as corporate debt securities with maturities ranging from less than 1 to 10 years. These securities are classified as available-for-sale and are valued based upon quoted market prices or other observable inputs when quoted market prices are not available. The amortized cost of debt securities, which approximates fair value, held by our captive insurance subsidiaries is adjusted for amortization of premiums and accretion of discounts to maturity. Changes in the values of these securities are recognized in accumulated other comprehensive income (loss) until the gain or loss is realized or until any unrealized loss is deemed to be other-than-temporary. We review any declines in value of these securities for other-than-temporary impairment and consider the severity and duration of any decline in value. To the extent an other-than-temporary impairment is deemed to have occurred, an impairment charge is recorded and a new cost basis is established. Subsequent changes are then recognized through other comprehensive income (loss) unless another other-than-temporary impairment is deemed to have occurred. Net unrealized gains recorded in accumulated other comprehensive income (loss) as of September 30, 2013 and December 31, 2012 were approximately $1.0 million and $2.6 million, respectively, which represent the valuation and related currency adjustments for our marketable securities. Our insurance subsidiaries are required to maintain statutory minimum capital and surplus as well as maintain a minimum liquidity ratio. Therefore, our access to these securities may be limited.

            Our deferred compensation plan investments are classified as trading securities and are valued based upon quoted market prices. The investments have a matching liability as the amounts are fully payable to the employees that earned the compensation. Changes in value of these securities and changes to the matching liability to employees are both recognized in earnings and, as a result, there is no impact to consolidated net income.

            At September 30, 2013 and December 31, 2012, we also had investments of $16.5 million and $24.9 million, respectively, which must be used to fund the debt service requirements of mortgage debt related to an investment property that we sold. These investments are classified as held-to-maturity and are recorded at amortized cost as we have the ability and intent to hold these investments to maturity.

            At September 30, 2013 and December 31, 2012, we had investments of $118.8 million and $98.9 million, respectively, in non-marketable securities that we account for under the cost method. We regularly evaluate these investments for any other-than-temporary impairment in their estimated fair value and determined that no adjustment in the carrying value was required.

Loans Held for Investment
  • Loans Held for Investment

            From time to time, we may make investments in mortgage loans or mezzanine loans of third parties that own and operate commercial real estate assets located in the United States. Mortgage loans are secured, in part, by mortgages recorded against the underlying properties which are not owned by us. Mezzanine loans are secured, in part, by pledges of ownership interests of the entities that own the underlying real estate. Loans held for investment are carried at cost, net of any premiums or discounts which are accreted or amortized over the life of the related loan receivable utilizing the effective interest method. We evaluate the collectability of both interest and principal of each of these loans quarterly to determine whether the value has been impaired. A loan is deemed to be impaired when, based on current information and events, it is probable that we will be unable to collect all amounts due according to the existing contractual terms. When a loan is impaired, the amount of the loss accrual is calculated by comparing the carrying amount of the loan held for investment to its estimated realizable value.

            We had investments in three mortgage and mezzanine loans that were repaid in their entirety during 2012. For the nine months ended September 30, 2012, we earned $6.8 million in interest income on these loans.

Fair Value Measurements
  • Fair Value Measurements

            Level 1 fair value inputs are quoted prices for identical items in active, liquid and visible markets such as stock exchanges. Level 2 fair value inputs are observable information for similar items in active or inactive markets, and appropriately consider counterparty creditworthiness in the valuations. Level 3 fair value inputs reflect our best estimate of inputs and assumptions market participants would use in pricing an asset or liability at the measurement date. The inputs are unobservable in the market and significant to the valuation estimate. We have no investments for which fair value is measured on a recurring basis using Level 3 inputs.

            We held marketable securities that totaled $141.7 million and $170.2 million at September 30, 2013 and December 31, 2012, respectively, that were primarily classified as having Level 1 fair value inputs. In addition, we have derivative instruments which are classified as having Level 2 inputs which consist primarily of interest rate swap agreements and foreign currency forward contracts with a gross liability balance of $4.6 million and $1.5 million at September 30, 2013 and December 31, 2012, respectively, and a gross asset value of $4.1 million and $3.0 million at September 30, 2013 and December 31, 2012, respectively. We also have interest rate cap agreements with nominal values.

            Note 6 includes a discussion of the fair value of debt measured using Level 2 inputs. Notes 5 and 9 include discussion of the fair values recorded in purchase accounting and impairment, using Level 2 and Level 3 inputs. Level 3 inputs to our purchase accounting and impairment include our estimations of net operating results of the property, capitalization rates and discount rates.

Noncontrolling Interests and Temporary Equity
  • Noncontrolling Interests and Temporary Equity

            Details of the carrying amount of our noncontrolling interests are as follows:

 
  As of
September 30,
2013
  As of
December 31,
2012
 

Limited partners' interests in the Operating Partnership

  $ 971,488   $ 983,363  

Nonredeemable noncontrolling deficit interests in properties, net

    4,186     (877)  
           

Total noncontrolling interests reflected in equity

  $ 975,674   $ 982,486  
           

            The remaining interests in a property or portfolio of properties which are redeemable at the option of the holder or in circumstances that may be outside our control, are accounted for as temporary equity within limited partners' preferred interest in the Operating Partnership and noncontrolling redeemable interests in properties in the accompanying consolidated balance sheets. The carrying amount of the noncontrolling interest is adjusted to the redemption amount assuming the instrument is redeemable at the balance sheet date. Changes in the redemption value of the underlying noncontrolling interest are recorded within accumulated deficit. There are no noncontrolling interests redeemable at amounts in excess of fair value.

            Net income attributable to noncontrolling interests (which includes nonredeemable noncontrolling interests in consolidated properties, limited partners' interests in the Operating Partnership, redeemable noncontrolling interests in consolidated properties and preferred distributions payable by the Operating Partnership on its outstanding preferred units) is a component of consolidated net income. In addition, the individual components of other comprehensive income (loss) are presented in the aggregate for both controlling and noncontrolling interests, with the portion attributable to noncontrolling interests deducted from comprehensive income attributable to common stockholders.

            A rollforward of noncontrolling interests reflected in equity is as follows:

 
  For the Three Months Ended
September 30,
  For the Nine Months Ended
September 30,
 
 
  2013   2012   2013   2012  

Noncontrolling interests, beginning of period

  $ 971,498   $ 1,185,418   $ 982,486   $ 894,622  

Net income attributable to noncontrolling interests after preferred distributions and income attributable to redeemable noncontrolling interests in consolidated properties

    52,339     47,668     157,100     222,986  

Distributions to noncontrolling interest holders

    (60,197)     (62,149)     (180,104)     (181,354)  

Other comprehensive income (loss) allocable to noncontrolling interests:

                         

Unrealized (loss) gain on derivative hedge agreements

    (629)     1,327     111     2,333  

Net loss reclassified from accumulated other comprehensive loss into earnings

    369     517     955     2,233  

Currency translation adjustments

    4,676     2,716     1,518     (717)  

Changes in available-for-sale securities and other

    (111)     902     (228)     4,721  
                   

 

    4,305     5,462     2,356     8,570  
                   

Adjustment to limited partners' interest from change in ownership in the Operating Partnership

    (8,841)     (38,715)     (19,422)     117,584  

Units exchanged for common shares

    (59)     (129,783)     (6,041)     (133,801)  

Units redeemed

        (38,904)         (38,904)  

Purchase of noncontrolling interests and other

    16,629     10,367     39,299     89,661  
                   

Noncontrolling interests, end of period

  $ 975,674   $ 979,364   $ 975,674   $ 979,364  
                   
Accumulated Other Comprehensive Income (Loss)
  • Accumulated Other Comprehensive Income (Loss)

            The changes in accumulated other comprehensive income (loss) net of noncontrolling interest by component consisted of the following as of September 30, 2013:

 
  Currency
translation
adjustments
  Accumulated
derivative
losses, net
  Net unrealized
gains on
marketable securities
  Total  

Beginning balance

  $ (26,220)   $ (66,917)   $ 2,237   $ (90,900)  

Other comprehensive income (loss) before reclassifications

    9,085     786     (1,360)     8,511  

Amounts reclassified from accumulated other comprehensive income (loss)

        5,687         5,687  
                   

Net current-period other comprehensive income (loss)

    9,085     6,473     (1,360)     14,198  
                   

Ending balance

  $ (17,135)   $ (60,444)   $ 877   $ (76,702)  
                   

            The reclassifications out of accumulated other comprehensive income (loss) consisted of the following as of September 30, 2013:

Details about accumulated
other comprehensive
income (loss) components:
  Amount reclassified from
accumulated other
comprehensive income
(loss)
  Affected line item in the statement where net
income is presented

Accumulated derivative losses, net

         

 

  $ (6,642)   Interest expense

 

    955   Net income attributable to noncontrolling interests
         

 

  $ (5,687)    
         
Derivative Financial Instruments
  • Derivative Financial Instruments

            We record all derivatives on the balance sheet at fair value. The accounting for changes in the fair value of derivatives depends on the intended use of the derivative, whether we have designated a derivative as a hedge and whether the hedging relationship has satisfied the criteria necessary to apply hedge accounting. We may use a variety of derivative financial instruments in the normal course of business to selectively manage or hedge a portion of the risks associated with our indebtedness and interest payments. Our objectives in using interest rate derivatives are to add stability to interest expense and to manage our exposure to interest rate movements. To accomplish this objective, we primarily use interest rate swaps and caps. We require that hedging derivative instruments be highly effective in reducing the risk exposure that they are designated to hedge. As a result, there is no significant ineffectiveness from any of our derivative activities. We formally designate any instrument that meets these hedging criteria as a hedge at the inception of the derivative contract. We have no credit-risk-related hedging or derivative activities.

            As of September 30, 2013, we had the following outstanding interest rate derivatives related to managing our interest rate risk:

Interest Rate Derivative
  Number of
Instruments
  Notional Amount  

Interest Rate Swaps

    2   $ 492.2 million  

Interest Rate Caps

    5   $ 249.4 million  

            The carrying value of our interest rate swaps, at fair value, was a liability balance of $4.6 million and $1.5 million at September 30, 2013 and December 31, 2012, respectively, and is included in other liabilities. The interest rate caps were of nominal value at September 30, 2013 and December 31, 2012 and we generally do not apply hedge accounting to these arrangements.

            We are also exposed to fluctuations in foreign exchange rates on financial instruments which are denominated in foreign currencies, primarily in Japan and Europe. We use currency forward contracts and foreign currency denominated debt to manage our exposure to changes in foreign exchange rates on certain Yen and Euro-denominated receivables and net investments. Currency forward contracts involve fixing the Yen:USD or Euro:USD exchange rate for delivery of a specified amount of foreign currency on a specified date. The currency forward contracts are typically cash settled in US dollars for their fair value at or close to their settlement date. Approximately ¥1.7 billion remains as of September 30, 2013 for all forward contracts that we expect to receive through January 5, 2015. The September 30, 2013 asset balance related to these forward contracts was $4.1 million and is included in deferred costs and other assets. We have reported the changes in fair value for these forward contracts in earnings. The underlying currency adjustments on the foreign currency denominated receivables are also reported in income and generally offset the amounts in earnings for these forward contracts.

            The total gross accumulated other comprehensive loss related to our derivative activities, including our share of the other comprehensive loss from joint venture properties, approximated $70.6 million and $78.1 million as of September 30, 2013 and December 31, 2012, respectively.

XML 62 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation (Details)
Sep. 30, 2013
property
Dec. 31, 2012
Sep. 30, 2013
Weighted average
Sep. 30, 2012
Weighted average
Sep. 30, 2013
Wholly owned properties
property
Sep. 30, 2013
Partially owned properties
property
Basis of Presentation            
Number of properties included in consolidation         220 18
Total number of joint venture properties 89          
Number of joint venture properties managed by the entity 71          
Number of International joint venture properties 15          
Number of joint venture properties managed by others 18          
Ownership interest:            
Ownership percentage in the Operating Partnership 85.60% 85.60% 85.60% 83.30%    
XML 63 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity (Tables)
9 Months Ended
Sep. 30, 2013
Equity  
Reconciliation of carrying amounts of equity

 

 

 
  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
Equity
 

January 1, 2013

  $ 44,719   $ 31   $ (90,900)   $ 9,175,724   $ (3,083,190)   $ (135,781)   $ 982,486   $ 6,893,089  

Exchange of limited partner units for common shares

                      6,041                 (6,041)      

Issuance of limited partner units

                                               

Contributions from noncontrolling interest partners and other

    (247)                 (3,248)     (170)     17,750     39,299     53,384  

Adjustment to limited partners' interest from change in ownership in the Operating Partnership

                      19,422                 (19,422)      

Distributions to common stockholders and limited partners, excluding Operating Partnership preferred interests

                            (1,072,782)           (179,855)     (1,252,637)  

Distributions to other noncontrolling interest partners

                                        (249)     (249)  

Comprehensive income, excluding $1,436 attributable to preferred interests in the Operating Partnership and $6,499 attributable to noncontrolling redeemable interests in properties in temporary equity

                14,198           937,252           159,456     1,110,906  
                                   

September 30, 2013

  $ 44,472   $ 31   $ (76,702)   $ 9,197,939   $ (3,218,890)   $ (118,031)   $ 975,674   $ 6,804,493  
                                   
XML 64 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information (USD $)
9 Months Ended
Sep. 30, 2013
Entity Registrant Name SIMON PROPERTY GROUP INC /DE/
Entity Central Index Key 0001063761
Document Type 10-Q
Document Period End Date Sep. 30, 2013
Amendment Flag false
Current Fiscal Year End Date --12-31
Entity Current Reporting Status Yes
Entity Filer Category Large Accelerated Filer
Document Fiscal Year Focus 2013
Document Fiscal Period Focus Q3
Common stock
 
Entity Common Stock, Shares Outstanding 310,325,283
Entity Listing, Par Value Per Share $ 0.0001
Class B common stock
 
Entity Common Stock, Shares Outstanding 8,000
Entity Listing, Par Value Per Share $ 0.0001
XML 65 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Organization (Details)
Mar. 14, 2012
Klepierre
Sep. 30, 2013
U.S. and Puerto Rico
property
Item
Sep. 30, 2013
U.S. and Puerto Rico
Malls
property
Sep. 30, 2013
U.S. and Puerto Rico
Premium Outlets
property
Sep. 30, 2013
U.S. and Puerto Rico
Community/Lifestyle Centers
property
Sep. 30, 2013
U.S. and Puerto Rico
Other shopping centers or outlet centers
property
Sep. 30, 2013
U.S. and Puerto Rico
The Mills
property
Sep. 30, 2013
Japan
property
Dec. 31, 2012
Japan
property
Sep. 30, 2013
Japan
Premium Outlets
property
Sep. 30, 2013
South Korea
property
Dec. 31, 2012
South Korea
property
Sep. 30, 2013
South Korea
Premium Outlets
property
Sep. 30, 2013
Canada
Premium Outlets
property
Sep. 30, 2013
Mexico
property
Dec. 31, 2012
Mexico
property
Sep. 30, 2013
Mexico
Premium Outlets
property
Sep. 30, 2013
Malaysia
property
Dec. 31, 2012
Malaysia
property
Sep. 30, 2013
Malaysia
Premium Outlets
property
Sep. 30, 2013
Europe
Klepierre
country
Sep. 30, 2013
Europe
Shopping centers
Minimum
Klepierre
property
Owned, developed and managed retail properties:                                            
Number of income-producing properties   312 158 66 64 11 13 9 8 9 3 2 3 1 1 1 1 1 1 1   260
Number of U.S. states containing property locations   38                                        
Joint venture ownership percentage 28.70%                                       28.90%  
Number of countries                                         13  

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