As of Feb 25, 2025, the Simon Property Group stock's PE ratio is 25.32. This takes into account the latest EPS of $7.26 and stock price of $183.8. The PE ratio marks an increase of 19% from its last 4 quarters average of 21.3.
The PE ratio of Simon Property Group has averaged 23.91 over the last ten years. The current price-to-earnings ratio of 25.32 is 6% more than the historical average. Analyzing the last ten years, SPG's PE ratio reached its highest point in the Jun 2016 quarter at 38.59, when the price was $216.9 and the EPS was $5.62. The lowest point was recorded in the Mar 2020 quarter, when it reached 8.49 with a price of $54.86 and an EPS of $6.46.
Maximum annual increase: 16.05% in 2024
Maximum annual decrease: -37.06% in 2010
Year | PE ratio | PE change | Price | EPS |
---|---|---|---|---|
2024 | 23.72 | 16.05% | $172.21 | $7.26 |
2023 | 20.44 | 13.43% | $142.64 | $6.98 |
2022 | 18.02 | -22.86% | $117.48 | $6.52 |
2021 | 23.36 | -1.64% | $159.77 | $6.84 |
2020 | 23.75 | 8.6% | $85.28 | $3.59 |
2019 | 21.87 | 2.44% | $148.96 | $6.81 |
2018 | 21.35 | -22.42% | $167.99 | $7.87 |
2017 | 27.52 | -9.08% | $171.74 | $6.24 |
2016 | 30.27 | -8.47% | $177.67 | $5.87 |
2015 | 33.07 | -17.92% | $194.44 | $5.88 |
2014 | 40.29 | 12.26% | $182.11 | $4.52 |
2013 | 35.89 | 7.17% | $152.16 | $4.24 |
2012 | 33.49 | -9.61% | $158.09 | $4.72 |
2011 | 37.05 | -21.8% | $128.94 | $3.48 |
2010 | 47.38 | -37.06% | $99.49 | $2.1 |
Year | PE ratio | PE change | Price | EPS |
---|---|---|---|---|
Dec 2024 | 23.72 | 5.52% | $172.21 | $7.26 |
Sep 2024 | 22.48 | 16.72% | $169.02 | $7.52 |
Jun 2024 | 19.26 | -3.26% | $151.8 | $7.88 |
Mar 2024 | 19.91 | -2.59% | $156.49 | $7.86 |
Dec 2023 | 20.44 | 27.75% | $142.64 | $6.98 |
Sep 2023 | 16 | -8.83% | $108.03 | $6.75 |
Jun 2023 | 17.55 | 3.42% | $115.48 | $6.58 |
Mar 2023 | 16.97 | -5.83% | $111.97 | $6.6 |
Dec 2022 | 18.02 | 20.45% | $117.48 | $6.52 |
Sep 2022 | 14.96 | 1.15% | $89.75 | $6 |
Jun 2022 | 14.79 | -23.68% | $94.92 | $6.42 |
Mar 2022 | 19.38 | -17.04% | $131.56 | $6.79 |
Dec 2021 | 23.36 | 10.71% | $159.77 | $6.84 |
Sep 2021 | 21.1 | -26.09% | $129.97 | $6.16 |
Jun 2021 | 28.55 | -11.66% | $130.48 | $4.57 |
The current PE ratio of SPG is above its 3, 5 and 10-year averages.
When compared to its peer stocks NKE and TGT, SPG's PE ratio is higher. Simon Property Group's PE ratio is trading above the peer average of 15.95.
Stock name | PE ratio | Market cap |
---|---|---|
PVH Pvh Corp | 6.32 | $4.34B |
DDS Dillard'S Inc | 11.4 | $7.03B |
TGT Target Corp | 13.16 | $57.13B |
DKS Dick'S Sporting Goods Inc | 15.74 | $18.5B |
RL Ralph Lauren Corp | 24.61 | $17.05B |
NKE NIKE Inc | 24.97 | $120.02B |
SPG Simon Property Group Inc | 25.29 | $59.91B |
SPG's price to earnings ratio is 25.32 as of Feb 25, 2025.
The average PE ratio for SPG stock over the past 3 years is 18.62.
The average PE ratio for SPG stock over the past 5 years is 19.39.
Over the last ten years, the Jun 2016 quarter recorded the highest quarterly PE ratio at 38.59.
SPG's price to earnings ratio is currently 6% above its 10-year historical average.
To determine the P/E ratio, divide the latest stock price by the TTM earnings per share (EPS). As of today (Feb 25, 2025), Simon Property Group's share price is $183.8. The company's earnings per share for the trailing twelve months (TTM) ending Dec 2024 is $7.26. Therefore, Simon Property Group's price to earnings ratio for today is 25.32. PE RATIO(25.32) = STOCK PRICE($183.8) / TTM EPS($7.26)
All PE ratio stats are based on quarterly TTM periods, unless otherwise specified. Data from and Sharadar.