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Equity (Tables)
12 Months Ended
Dec. 31, 2019
Schedule of preferred units of the Operating Partnership and the amount of the noncontrolling redeemable interests in properties

    

2019

    

2018

 

7.50% Cumulative Redeemable Preferred Units, 260,000 units authorized, 255,373 issued and outstanding

$

25,537

$

25,537

Other noncontrolling redeemable interests in properties

 

193,524

 

204,626

Total preferred units, at liquidation value, and noncontrolling redeemable interests in properties

$

219,061

$

230,163

Schedule of LTIP units earned and aggregate grant date fair values adjusted for estimated forfeitures

LTIP Program

    

LTIP Units Earned

    

Grant Date Fair Value of TSR Award

    

Grant Date Target Value of Performance-Based Awards

2018 LTIP program - Tranche A

 

To be determined in 2020

 

$6.1 million

 

$6.1 million

2018 LTIP program - Tranche B

 

To be determined in 2021

 

$6.1 million

 

$6.1 million

2019 LTIP program

To be determined in 2022

 

$9.5 million

 

$14.7 million

Schedule of restricted stock awards

For the Year Ended

 

December 31, 

 

    

2019

    

2018

    

2017

 

Shares of restricted stock awarded during the year, net of forfeitures

 

90,902

 

51,756

 

76,660

Weighted average fair value of shares granted during the year

$

181.94

$

153.24

$

170.81

Annual amortization

$

12,604

$

12,029

$

13,911

Simon Property Group, L.P.  
Schedule of preferred units of the Operating Partnership and the amount of the noncontrolling redeemable interests in properties

    

2019

    

2018

 

7.50% Cumulative Redeemable Preferred Units, 260,000 units authorized, 255,373 issued and outstanding

$

25,537

$

25,537

Other noncontrolling redeemable interests in properties

 

193,524

 

204,626

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

$

219,061

$

230,163