Recent Annual Filings for SPG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $34,283,495,000 $5,658,836,000 $2,851,814,000 $2,607,025,000 $3,930,793,000 $-2,020,249,000 $547,363,000
2022 $33,011,274,000 $5,291,447,000 $2,707,894,000 $2,475,470,000 $3,766,604,000 $-3,052,348,000 $87,692,000
2021 $33,777,379,000 $5,116,789,000 $2,703,599,000 $2,572,750,000 $3,637,402,000 $-3,562,315,000 $-477,677,000
2020 $34,786,846,000 $4,607,503,000 $2,635,694,000 $1,198,138,000 $2,326,698,000 $1,993,940,000 $342,240,000
2019 $31,231,630,000 $5,755,189,000 $2,847,358,000 $2,431,624,000 $3,807,831,000 $-2,576,086,000 $155,038,000
2018 $30,686,223,000 $5,657,919,000 $2,746,832,000 $2,804,331,000 $3,750,796,000 $-4,482,264,000 $-967,974,000
2017 $32,257,638,000 $5,538,640,000 $2,736,300,000 $2,249,168,000 $3,593,788,000 $-1,910,071,000 $922,250,000
2016 $31,103,578,000 $5,435,229,000 $2,714,401,000 $2,298,346,000 $3,372,694,000 $-2,544,743,000 $-141,075,000