SPG Simon Property Group PEG ratio, current and historical analysis

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Relative Growth: Rel. Growth: 95
Relative Strength: Rel. Strength: 68
Relative Valuation: Rel. Valuation: 75
Relative Profitability: Rel. Profitability: 98

As of Jun 22, 2026, SPG's PE to growth ratio of 0.12 reflects its valuation relative to its growth rate. This result reflects a P/E ratio of 14.92 measured against EPS growth of 129.0%.

SPG PEG ratio history

How has SPG's PEG ratio performed in the past

Simon Property Group's ten years historical PEG ratio has a mean of 9.64. Compared to historical data, SPG's 0.12 PEG ratio represents a drop of 99%. SPG hit its maximum PEG ratio of 143.65 during the Jun 2017 quarter over the last ten years. The Mar 2026 quarter marked the lowest reading at 0.1, indicating the most favorable growth-adjusted valuation.

Today
0.12
Average
9.64
Median
1.42
Minimum
0.1
Maximum
143.65

Simon Property Group PEG ratio by year

Year PEG ratio PE ratio Growth YoY
2025 0.14 13.06 95.2%
2024 5.93 23.72 4%
2023 2.88 20.44 7.1%
2022 N/A 18.02 -4.7%
2021 0.26 23.36 90.5%
2020 N/A 23.75 -47.3%
2019 N/A 21.87 -13.5%
2018 0.82 21.35 26.1%
2017 4.37 27.52 6.3%
2016 N/A 30.27 -0.2%
2015 1.1 33.07 30.1%
2014 6.1 40.29 6.6%
2013 N/A 35.89 -10.2%
2012 0.94 33.49 35.6%
2011 0.56 37.05 65.7%

Simon Property Group PEG ratio by quarter (TTM)

Year PEG ratio PE ratio Growth YoY
Mar 2026 0.1 12.97 129%
Dec 2025 0.14 13.06 95.2%
Sep 2025 N/A 27.32 -8.6%
Jun 2025 N/A 24.85 -17.9%
Mar 2025 N/A 26.45 -20.1%
Dec 2024 5.93 23.72 4%
Sep 2024 1.97 22.48 11.4%
Jun 2024 0.97 19.26 19.8%
Mar 2024 1.04 19.91 19.1%
Dec 2023 2.88 20.44 7.1%
Sep 2023 1.28 16 12.5%
Jun 2023 7.02 17.55 2.5%
Mar 2023 N/A 16.97 -2.8%
Dec 2022 N/A 18.02 -4.7%
Sep 2022 N/A 14.96 -2.6%

SPG average PEG ratio chart

What is the average PEG ratio of SPG for the past years

When comparing to historical data, SPG's PEG ratio is lower than the 3, 5 and 10-year averages.

3-year avg
2.37
5-year avg
1.75
10-year avg
9.64
15-year avg
6.43

PEG comparison

Simon Property Group's PEG of 0.12 is lower than the Real Estate sector and the industry average. Looking at the Real Estate sector average of 0.7, Simon Property Group's PEG is 83% lower.

SPG EPS growth

Earnings per share growth rates over time chart

SPG Price vs fair value

How does SPG's price compare to its estimated fair value based on its growth

SPG PEG vs peers

What is SPG's PEG ratio compared to its peers

Relative to its peer stocks RL and DDS, SPG's PEG ratio is lower.

Stock name PEG ratio Market cap
SPG Simon Property Group Inc 0.12 $70.29B
DDS Dillard'S Inc 0.82 $8.87B
RL Ralph Lauren Corp 0.88 $24.22B
PVH Pvh Corp N/A $3.38B
TGT Target Corp N/A $60.91B
DKS Dick'S Sporting Goods Inc N/A $21.19B
NKE NIKE Inc N/A $62.76B

Frequently asked questions

What is Simon Property Group's PEG ratio?

SPG's Jun 22, 2026 PEG ratio comes in at 0.12.

What is the 3-year average PEG ratio for Simon Property Group (SPG)?

SPG's 3-year PEG ratio average is 2.37.

What is the 5-year average PEG ratio for Simon Property Group (SPG)?

SPG's 5-year PEG ratio average is 1.75.

What is the highest PEG ratio for SPG?

In the last ten years, SPG's peak PEG ratio of 143.65 occurred in the Jun 2017 quarter.

How does the current PEG ratio for SPG compare to its historical average?

At present, SPG's PEG ratio is 99% lower than its 10-year historical average.

Why is Simon Property Group's PEG ratio so low?

Strong earnings growth relative to valuation results in SPG's low PEG ratio of 0.12.

How is SPG's PEG ratio calculated (Simon Property Group PEG ratio formula)?

The PEG ratio derives from taking PE and dividing by the rate at which earnings are growing (YoY TTM). As of Jun 22, 2026, Simon Property Group has a PE ratio of 14.92. Earnings grew at 129.0% over the TTM period ending Mar 2026. Applying the formula, this gives a PEG ratio of 0.12. PEG RATIO(0.12) = PE RATIO(14.92) / EPS GROWTH(129.0%)

All PEG ratio stats are based on quarterly TTM periods, unless otherwise specified.