Document:

Prepared by MERRILL CORPORATION

Exhibit 4.1

SIMON PROPERTY GROUP, L.P.

ISSUER

 

TO

 

THE CHASE MANHATTAN BANK

TRUSTEE

 

 

NINTH SUPPLEMENTAL INDENTURE

DATED AS OF OCTOBER 26, 2001

 

 

$750,000,000   6 3/8% NOTES DUE 2007

 

SUPPLEMENT TO INDENTURE,

DATED AS OF NOVEMBER 26, 1996,

BETWEEN

SIMON PROPERTY GROUP, L.P.

AND

THE CHASE MANHATTAN BANK,

AS TRUSTEE

 

                NINTH SUPPLEMENTAL INDENTURE,

dated as of October 26, 2001 (the “Ninth Supplemental Indenture”), between

SIMON PROPERTY GROUP, L.P. (formerly known as Simon DeBartolo Group, L.P.), a

Delaware limited partnership (the “Issuer” or the “Operating Partnership”),

having its principal offices at National City Center, 115 West Washington

Street, Suite 15 East, Indianapolis, Indiana 46204, and THE CHASE MANHATTAN

BANK, a New York banking corporation, as trustee (the “Trustee”), having its

Corporate Trust Office at 450 West 33rd Street, 15th Floor, New York, New York

10001.

 

RECITALS

 

                WHEREAS,

the Issuer and Simon Property Group, L.P., a Delaware limited partnership

acting as a guarantor (the “Guarantor”), executed and delivered to the Trustee

an Indenture, dated as of November 26, 1996 (the “Original Indenture”),

providing for the issuance from time to time of debt securities evidencing

unsecured and unsubordinated indebtedness of the Issuer;

 

                WHEREAS,

on December 31, 1997 the Guarantor was merged into the Issuer as contemplated

under the Indenture;

 

                WHEREAS,

the Issuer changed its name from “Simon DeBartolo Group, L.P.” to “Simon

Property Group, L.P.” effective as of September 24, 1998;

 

                WHEREAS,

the Original Indenture provides that by means of a supplemental indenture, the

Issuer may create one or more series of its debt securities and establish the

form and terms and conditions thereof;

 

                WHEREAS,

the Issuer intends by this Ninth Supplemental Indenture to create and provide

for the following series of debt securities: 

Simon Property Group, L.P. 6 3/8% Notes due 2007 in an aggregate

principal amount of $750,000,000 (the “Notes”);

 

                WHEREAS,

the Board of Directors of Simon Property Group, Inc., the general partner of

the Issuer, has approved the creation of the Notes and the forms, terms and

conditions thereof pursuant to Section 301 of the Original Indenture; and

 

                WHEREAS,

all actions required to be taken under the Original Indenture with respect to

this Ninth Supplemental Indenture have been taken.

 

                NOW,

THEREFORE, IT IS AGREED:

 

ARTICLE ONE

 

Definitions, Creation, Forms and Terms and

Conditions of the Notes

 

                SECTION 1.01     Definitions.  Capitalized terms used in this Ninth

Supplemental Indenture and not otherwise defined shall have the meanings

ascribed to them in the Original Indenture. 

Certain terms, used principally in Article Two of this Ninth

Supplemental Indenture, are defined in that Article.  In addition, the following terms shall have the following

meanings to be equally applicable to both the singular and the plural forms of

the terms defined:

 

                “Business Day”

means any day, other than a Saturday or Sunday, on which banking institutions

in New York, New York are open for business.

 

                “Dollar”

or “$”

means the lawful currency of the United States of America.

 

                “DTC”

mean The Depository Trust Company, its nominees and their successors and

assigns.

 

                “Global

Note” means a single fully registered global note in book-entry

form, substantially in the form of Exhibit A or Exhibit B attached hereto.

 

                “Holders”

has the meaning set forth in Section 1.04    (c).

 

                “Indenture”

means the Original Indenture as supplemented by this Ninth Supplemental

Indenture.

 

                “Interest

Payment Date” has the meaning set forth in Section 1.04          (c).

 

                “Issuer” has the meaning set forth in the

Recitals hereto.

 

                “Make-Whole

Amount” means, in connection with any optional redemption or

accelerated payment of any Notes, the excess, if any, of (i) the aggregate

present value, as of the date of such redemption or accelerated payment, of

each Dollar of principal being redeemed or paid and the amount of interest

(exclusive of interest accrued to the date of redemption or accelerated

payment) that would have been payable in respect of each such Dollar if such

redemption or accelerated payment had not been made, determined by discounting,

on a semi-annual basis, such principal and interest at the Reinvestment Rate

(determined on the third Business Day preceding the date notice of such redemption

or accelerated payment is given) from the respective dates on which such

principal and interest would have been payable if such redemption or

accelerated payment had not been made, to the date of redemption or accelerated

payment, over (ii) the aggregate principal amount of the Notes being

redeemed or accelerated.

 

                “Notes”

has the meaning set forth in the Recitals hereto.

 

                “Operating Partnership”  has the meaning set forth in the Recitals

hereto.

 

                “Original Indenture”  has the meaning set forth in the Recitals

hereto.

 

                “Redemption

Price” has the meaning set forth in Section 1.04  (d).

 

                “Regular

Record Date” has the meaning set forth in Section 1.04            (c).

 

                “Reinvestment Rate” means, in connection with

any optional redemption or accelerated payment of any Notes, the yield on

treasury securities at a constant maturity corresponding to the remaining life

(as of the date of redemption or accelerated payment and rounded to the nearest

month) to Stated Maturity of the principal being redeemed (the “Treasury

Yield”) as stated in such Notes, plus 0.35%. 

For purposes hereof, the Treasury Yield shall be equal to the arithmetic

mean of the yields published in the Statistical Release under the heading “Week

Ending” for “U.S. Government Securities — Treasury Constant Maturities” with a

maturity equal to such remaining life; provided, that if no published

maturity exactly corresponds to such remaining life, then the Treasury Yield

shall be interpolated or extrapolated on a straight-line basis from the

arithmetic means of the yields for the next shortest and next longest published

maturities, rounding each of such relevant periods to the nearest month.  For purposes of calculating the Reinvestment

Rate, the most recent Statistical Release published prior to the date of

determination of the Make-Whole Amount shall be used.  If the format or content of the Statistical Release changes in a

manner that precludes determination of the Treasury Yield in the above manner,

then the Treasury Yield shall be determined in the manner that most closely

approximates the above manner, as reasonably determined by the Operating

Partnership.

 

                “Statistical

Release” means the statistical release designated

“H.15(519)” or any successor publication which is published weekly by the Federal

Reserve System and which reports yields on actively traded United States

government securities adjusted to constant maturities, or, if such statistical

release is not published at the time of any required determination, then such

other reasonably comparable index which shall be designated by the Operating

Partnership.

 

                “Trustee” 

has the meaning set forth in the Recitals hereto.

 

                SECTION 1.02     Creation of the Notes.  In accordance with Section 301 of the

Original Indenture, the Issuer hereby creates the Notes as a separate series of

its Securities issued pursuant to the Indenture.  The Notes initially shall be issued in an aggregate principal

amount of $750,000,000.

 

                SECTION 1.03     Form of the Notes.  The Notes shall be issued in the form of a

Global Note which shall be deposited with, or on behalf of, DTC and registered

in the name of “Cede & Co” as the nominee of DTC.  The Notes shall be substantially in the form of Exhibit A and

Exhibit B attached hereto.  So long as

DTC, or its nominee, is the registered owner of a Global Note, DTC or its

nominee, as the case may be, shall be considered the sole owner or Holder of

the Notes represented by such Global Note for all purposes under the

Indenture.  Ownership of beneficial

interests in such Global Note shall be shown on, and transfers thereof will be

effected only through, records maintained by DTC (with respect to beneficial

interests of participants) or by participants or Persons that hold interests

through participants (with respect to beneficial interests of beneficial

owners).

 

                SECTION 1.04     Terms and Conditions of the Notes.  The Notes shall be governed by all the terms

and conditions of the Original Indenture, as supplemented by this Ninth

Supplemental Indenture, and in particular, the following provisions shall be

terms of the Notes:

 

                (a)           Title

and Aggregate Principal Amount.  The

title of the Notes shall be as specified in the Recitals; and the aggregate

principal amount of the Notes shall be as specified in Section 1.02 of

this Ninth Supplemental Indenture, except as permitted by Section 306 of the

Original Indenture.

 

                (b)           Stated

Maturity.  The Notes shall mature,

and the unpaid principal thereon shall be payable, on November 15, 2007,

subject to the provisions of the Original Indenture.

 

                (c)           Interest.   The 

rate  per  annum 

at  which  interest shall be payable on the Notes shall

be 6 3/8%.  Interest on the Notes shall

accrue beginning October 26, 2001. 

Interest on the Notes shall be payable semi-annually in arrears on each

May 15 and November 15, commencing May 15, 2002 (each an “Interest Payment

Date”), and on the Stated Maturity as specified in Section 1.04(b) of this Ninth Supplemental Indenture, to

the Persons (the “Holders”) in whose names the applicable Notes are registered

in the Security Register applicable to the Notes at the close of business on

the 15th calendar day immediately prior to such payment date

regardless of whether such day is a Business Day (each, a “Regular Record

Date”).  Interest on the Notes shall be

computed on the basis of a 360-day year of twelve 30-day months.

 

                (d)           Sinking

Fund, Redemption or Repayment.  No

sinking fund shall be provided for the Notes and the Notes shall not be

repayable at the option of the Holders thereof prior to Stated Maturity.  The Notes may be redeemed at any time at the

option of the Issuer, in whole or from time to time in part, at a redemption

price equal to the sum of (i) 100% of the principal amount of the Notes being

redeemed plus accrued interest thereon to the redemption date and (ii) the

Make-Whole Amount, if any, with respect to such Notes (collectively, the

“Redemption Price”), all in accordance with the provisions of

Article Eleven of the Original Indenture.

 

                If notice of

redemption has been given as provided in the Original Indenture and

funds for the redemption of any Notes called for redemption shall have been

made available on the Redemption Date referred to in such notice, such Notes

shall cease to bear interest on the Redemption Date and the only right of the

Holders of the Notes from and after the Redemption Date shall be to receive

payment of the Redemption Price upon surrender of such Notes in accordance with

such notice.

 

                (e)           Registration

and Form.  The Notes shall be

issuable as Registered Securities in permanent global form, and the depositary

with respect to the Notes shall initially be DTC.  Principal and interest payments on Notes represented by a Global

Note shall be made to DTC or its nominee, as the case may be, as the registered

Holder of such Global Note.  All payments

of principal and interest in respect of the Notes shall be made by the Issuer

in immediately available funds so long as the Notes are in book-entry form.

 

                (f)            Defeasance

and Covenant Defeasance.  The

provisions for defeasance in Section 1402 of the Original Indenture, and

the provisions for covenant defeasance (which provisions shall apply, without

limitation, to the covenants set forth in Article Two of this Ninth

Supplemental Indenture) in Section 1403 of the Original Indenture, shall be

applicable to the Notes.

 

                (g)           Make-Whole

Amount Payable Upon Acceleration. Upon any acceleration of the Stated

Maturity of the Notes in accordance with Section 502 of the Original

Indenture, the Make-Whole Amount on the Notes shall become immediately due and

payable, subject to the terms and conditions of the Indenture.

 

                (h)           Further

Issues.  The Issuer may, from time

to time, without the consent of the Holders, create and issue further

securities having the same terms and conditions as the Notes in all respects, except

for issue date, issue price and the first payment of interest thereon.  Additional Notes issued in this manner shall

be consolidated with and shall form a single series with the previously

outstanding Notes.  Notice of any such

issuance shall be given to the Trustee and a new supplemental indenture shall

be executed in connection with the issuance of such securities.

 

                (i)            Other

Terms and Conditions.  The Notes

shall have such other terms and conditions as provided in the forms thereof

attached as Exhibit A and Exhibit B hereto.

 

 

ARTICLE TWO

 

Covenants for Benefit of Holders of Notes

 

                SECTION 2.01     Covenants for Benefit of Holders of

Notes.  The Operating

Partnership covenants and agrees, for the benefit of the Holders of the Notes,

as follows:

 

                (a)           Limitations

on Incurrence of Debt.  The

Operating Partnership shall not, and shall not permit any Subsidiary to, incur

any Debt (as defined below), other than intercompany debt (representing Debt to

which the only parties are the Company (as defined below), the Operating

Partnership and any of their Subsidiaries (but only so long as such Debt is

held solely by any of the Company, the Operating Partnership and any

Subsidiary) that is subordinate in right of payment to the Notes), if,

immediately after giving effect to the incurrence of such additional Debt, the

aggregate principal amount of all outstanding Debt would be greater than 60% of

the sum of (i) the Operating Partnership’s Adjusted Total Assets (as

defined below) as of the end of the fiscal quarter prior to the incurrence of

such additional Debt and (ii) any increase in Adjusted Total Assets from

the end of such quarter including, without limitation, any pro forma increase

from the application of the proceeds of such additional Debt.

 

                In addition, the

Operating Partnership shall not, and shall not permit any Subsidiary to, incur

any additional Secured Debt if, immediately after giving effect to the

incurrence of such additional Secured Debt, the aggregate principal amount of

all outstanding Secured Debt is greater than 55% of the sum of (i) the

Operating Partnership’s Adjusted Total Assets as of the end of the fiscal

quarter prior to the incurrence of such additional Secured Debt and (ii) any

increase in Adjusted Total Assets from the end of such quarter including,

without limitation, any pro forma increase from the application of the proceeds

of such additional Secured Debt.

 

                In addition, the Operating Partnership shall

not, and shall not permit any Subsidiary to, incur any Debt if the ratio of

Annualized EBITDA After Minority Interest to Interest Expense (in each case as

defined below) for the period consisting of the four consecutive fiscal

quarters most recently ended prior to the date on which such additional Debt is

to be incurred shall have been less than 1.75 to 1.00 on a pro forma

basis after giving effect to the incurrence of such Debt and to the application

of the proceeds therefrom, and calculated on the assumption that (i) such

Debt and any other Debt incurred since the first day of such four-quarter

period had been incurred, and the proceeds therefrom had been applied (to

whatever purposes such proceeds had been applied as of the date of calculation

of such ratio), at the beginning of such period, (ii) any other Debt that

has been repaid or retired since the first day of such four-quarter period had

been repaid or retired at the beginning of such period (except that, in making

such computation, the amount of Debt under any revolving credit facility shall

be computed based upon the average daily balance of such Debt during such

period), (iii) any income earned as a result of any assets having been

placed in service since the end of such four-quarter period had been earned, on

an annualized basis, during such period, and (iv) in the case of any

acquisition or disposition by the Operating Partnership, any Subsidiary or any

unconsolidated joint venture in which the Operating Partnership or any

Subsidiary owns an interest, of any assets since the first day of such

four-quarter period, including, without limitation, by merger, stock purchase

or sale, or asset purchase or sale, such acquisition or disposition and any

related repayment of Debt had occurred as of the first day of such period with

the appropriate adjustments with respect to such acquisition or disposition

being included in such pro forma calculation.

 

                For purposes of the foregoing provisions

regarding the limitation on the incurrence of Debt, Debt shall be deemed to be

“incurred” by the Operating Partnership, its Subsidiaries and by any unconsolidated

joint venture, whenever the Operating Partnership, any Subsidiary, or any

unconsolidated joint venture, as the case may be, shall create, assume,

guarantee or otherwise become liable in respect thereof.

 

                (b)           Maintenance

of Unencumbered Assets.  The

Operating Partnership is required to maintain Unencumbered Assets (as defined

below) of not less than 150% of the aggregate outstanding principal amount of

the Unsecured Debt (as defined below) of the Operating Partnership.

 

                SECTION

2.02     Definitions.  As used herein:

 

                “Adjusted

Total Assets” as of any date means the sum of (i) the amount

determined by multiplying the sum of the shares of common stock of SPG

Properties, Inc., a Maryland corporation (“Old SPG”) issued in the initial

public offering of Old SPG (the “IPO”) and the units of the Operating

Partnership not held by Old SPG outstanding on the date of the IPO, by $22.25

(the “IPO Price”), (ii) the principal amount of the outstanding

consolidated debt of Old SPG on the date of the IPO, less any portion

applicable to minority interests, (iii) the Operating Partnership’s

allocable portion, based on its ownership interest, of outstanding indebtedness

of unconsolidated joint ventures on the date of the IPO, (iv) the purchase

price or cost of any real estate assets acquired (including the value, at the

time of such acquisition, of any units of the Operating Partnership or shares

of common stock of the Company or Old SPG issued in connection therewith) or

developed after the IPO by the Operating Partnership or any Subsidiary, less

any portion attributable to minority interests, plus the Operating

Partnership’s allocable portion, based on its ownership interest, of the

purchase price or cost of any real estate assets acquired or developed after

the IPO by any unconsolidated joint venture, (v) the value of the DRC Merger

(as defined below) computed as the sum of (a) the purchase price including all

related closing costs and (b) the value of all outstanding indebtedness assumed

in the DRC Merger less any portion attributable to minority interests,

including the Operating Partnership’s allocable portion, based on its ownership

interest, of outstanding indebtedness of unconsolidated joint ventures assumed

in the DRC Merger at the DRC Merger date, and (vi) working capital of the

Operating Partnership; subject, however, to reduction by the

amount of the proceeds of any real estate assets disposed of after the IPO by

the Operating Partnership or any Subsidiary, less any portion applicable to

minority interests, and by the Operating Partnership’s allocable portion, based

on its ownership interest, of the proceeds of any real estate assets disposed

of after the IPO by unconsolidated joint ventures.

 

                “Annualized

EBITDA” means earnings before interest, taxes, depreciation and

amortization for all properties with other adjustments as are necessary to

exclude the effect of items classified as extraordinary items in accordance

with generally accepted accounting principles, adjusted to reflect the

assumption that (i) any income earned as a result of any assets having been

placed in service since the end of such period had been earned, on an

annualized basis, during such period, and (ii) in the case of any acquisition

or disposition by the Operating Partnership, any Subsidiary or any

unconsolidated joint venture in which the Operating Partnership or any

Subsidiary owns an interest, of any assets since the first day of such period,

such acquisition or disposition and any related repayment of Debt had occurred

as of the first day of such period with the appropriate adjustments with

respect to such acquisition or disposition.

 

                “Annualized

EBITDA After Minority Interest” means Annualized EBITDA after

distributions to third party joint venture partners.

 

                “Company”

means Simon Property Group, Inc., a Delaware corporation and the general

partner of the Operating Partnership.

 

                “Debt” means any indebtedness of the Operating

Partnership and its Subsidiaries on a consolidated basis, less any portion

attributable to minority interests, plus the Operating Partnership’s allocable

portion, based on its ownership interest, of indebtedness of unconsolidated

joint ventures, in respect of (i) borrowed money evidenced by bonds,

notes, debentures or similar instruments, as determined in accordance with

generally accepted accounting principles, (ii) indebtedness secured by any

mortgage, pledge, lien, charge, encumbrance or any security interest existing

on property owned by the Operating Partnership or any Subsidiary directly, or

indirectly through unconsolidated joint ventures, as determined in accordance

with generally accepted accounting principles, (iii) reimbursement

obligations, contingent or otherwise, in connection with any letters of credit

actually issued or amounts representing the balance deferred and unpaid of the

purchase price of any property, except any such balance that constitutes an

accrued expense or trade payable and (iv) any lease of property by the

Operating Partnership or any Subsidiary as lessee which is reflected in the Operating

Partnership’s consolidated balance sheet as a capitalized lease or any lease of

property by an unconsolidated joint venture as lessee which is reflected in

such joint venture’s balance sheet as a capitalized lease, in each case, in

accordance with generally accepted accounting principles; provided, that

Debt also includes, to the extent not otherwise included, any obligation by the

Operating Partnership or any Subsidiary to be liable for, or to pay, as

obligor, guarantor or otherwise, items of indebtedness of another Person (other

than the Operating Partnership or any Subsidiary) described in clauses (i)

through (iv) above (or, in the case of any such obligation made jointly with

another Person, the Operating Partnership’s or Subsidiary’s allocable portion

of such obligation based on its ownership interest in the related real estate

assets).

 

                “DRC Merger” means the merger of Old SPG and

DeBartolo Realty Corporation and related transactions consummated on August 9,

1996, pursuant to the Agreement and Plan of Merger between Old SPG and

DeBartolo Realty Corporation.

 

                “Interest

Expense” includes the Operating Partnership’s pro rata share of

joint venture interest expense and is reduced by amortization of debt issuance

costs.

 

                “Secured

Debt” means Debt secured by any mortgage, lien, pledge, encumbrance

or security interest of any kind upon any of the property of the Operating

Partnership or any Subsidiary, whether owned at the date of the Original

Indenture or thereafter acquired.

 

                “Unencumbered

Annualized EBITDA After Minority Interest” means Annualized EBITDA

After Minority Interest less any portion thereof attributable to assets serving

as collateral for Secured Debt.

 

                “Unencumbered

Assets” as of any date shall be equal to Adjusted Total Assets as of

such date multiplied by a fraction, the numerator of which is Unencumbered

Annualized EBITDA After Minority Interest and the denominator of which is

Annualized EBITDA After Minority Interest.

 

                “Unsecured

Debt” means Debt which is not secured by any mortgage, lien, pledge,

encumbrance or security interest of any kind.

 

 

ARTICLE THREE

 

Trustee

 

                SECTION 3.01     Trustee.  The Trustee shall not be responsible in any manner

whatsoever for or in respect of the validity or sufficiency of this Ninth

Supplemental Indenture or the due execution thereof by the Issuer.  The recitals of fact contained herein shall

be taken as the statements solely of the Issuer, and the Trustee assumes no

responsibility for the correctness thereof.

 

 

ARTICLE FOUR

 

Miscellaneous Provisions

 

                SECTION 4.01     Ratification of Original Indenture.  This Ninth Supplemental Indenture is

executed and shall be construed as an indenture supplemental to the Original

Indenture, and as supplemented and modified hereby, the Original Indenture is

in all respects ratified and confirmed, and the Original Indenture and this

Ninth Supplemental Indenture shall be read, taken and construed as one and the

same instrument.

 

                SECTION 4.02     Effect of Headings.  The Article and Section headings herein are

for convenience only and shall not affect the construction hereof.

 

                SECTION

4.03     Successors and Assigns.  All covenants and agreements in this Ninth

Supplemental Indenture by the Issuer shall bind its successors and assigns,

whether so expressed or not.

 

                SECTION 4.04     Separability Clause.  In case any one or more of the provisions

contained in this Ninth Supplemental Indenture shall for any reason be held to

be invalid, illegal or unenforceable in any respect, the validity, legality and

enforceability of the remaining provisions shall not in any way be affected or

impaired thereby.

 

                SECTION 4.05     Governing Law.  This Ninth Supplemental Indenture shall be

governed by and construed in accordance with the laws of the State of New

York.  This Ninth Supplemental Indenture

is subject to the provisions of the Trust Indenture Act that are required to be

part of this Ninth Supplemental Indenture and shall, to the extent applicable,

be governed by such provisions.

 

                SECTION 4.06     Counterparts.  This Ninth Supplemental Indenture may be

executed in any number of counterparts, and each of such counterparts shall for

all purposes be deemed to be an original, but all such counterparts shall

together constitute one and the same instrument.

 

 

* * * *

 

                IN WITNESS

WHEREOF, the parties hereto have caused this Ninth Supplemental

Indenture to be duly executed, and their respective corporate seals to be

hereunto affixed and attested, all as of the date first above written.

 

	

   

  	

   

  	

   

  	

   

  	

  SIMON

  PROPERTY GROUP, L.P.

  
	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

  Simon Property Group, Inc.,

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  as General Partner

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  By:

  	

  /s/ David

  Simon

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

  Name:  

  	

  David Simon

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

  Title:  

  	

  Chief

  Executive Officer

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Attest:

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  /s/ James M.

  Barkley

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Name:  

  	

  James M.

  Barkley

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Title:  

  	

  General

  Counsel

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  THE CHASE

  MANHATTAN BANK

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  as Trustee

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

  /s/ Gregory

  P. Shea

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Name:

  	

  Gregory P.

  Shea

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Title:  

  	

  Assistant

  Vice President

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Attest:

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

    /s/ 

  Virginia Dominguez

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Name:  

  	

  Virginia

  Dominguez

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Title:

  	

  Trust Offier

  	

   

  	

   

  	

   

  	

   

  
										

 

                

Exhibit A

 

UNLESS THIS CERTIFICATE IS PRESENTED BY AN

AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK

CORPORATION (“DTC”), TO THE ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER,

EXCHANGE OR PAYMENT AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF

CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED

REPRESENTATIVE OF DTC AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH

OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC, ANY

TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY

PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE &

CO., HAS AN INTEREST HEREIN.

 

UNLESS AND UNTIL THIS CERTIFICATE IS

EXCHANGED IN WHOLE OR IN PART FOR NOTES IN CERTIFICATED FORM, THIS CERTIFICATE

MAY NOT BE TRANSFERRED EXCEPT AS A WHOLE BY DTC TO A NOMINEE THEREOF OR BY A

NOMINEE THEREOF TO DTC OR ANOTHER NOMINEE OF DTC OR BY DTC OR ANY SUCH NOMINEE

TO A SUCCESSOR OF DTC OR A NOMINEE OF SUCH SUCCESSOR.

 

	

  REGISTERED

  	

  REGISTERED

  
	

  NO.

  	

  PRINCIPAL AMOUNT

  
	

   

  	

   

  
	

  CUSIP NO. 

  828807 AJ 6

  	

  $500,000,000

  

 

GLOBAL SECURITY

SIMON PROPERTY GROUP, L.P.

 

6 3/8% NOTE DUE 2007

 

                Simon Property Group, L.P., a Delaware

limited partnership (the “Issuer,” which term includes any successor under the

Indenture hereinafter referred to), for value received, hereby promises to pay

to Cede & Co. or its registered assigns, the principal sum of FIVE

HUNDRED MILLION Dollars on November 15, 2007 (the “Maturity Date”), and to pay

interest thereon from October 26, 2001, semi-annually in arrears on May 15 and

November 15 of each year (each, an “Interest Payment Date”), commencing on May

15, 2002, and on the Maturity Date, at the rate of 6 3/8% per annum, until

payment of said principal sum has been made or duly provided for.

 

                The interest so payable and punctually paid

or duly provided for on any Interest Payment Date and on the Maturity Date will

be paid to the Holder in whose name this Note (or one or more predecessor

Notes) is registered in the Security Register applicable to this Note at the

close of business on the “Record Date” for such payment, which will be the 15th

calendar day immediately prior to such payment date or the Maturity Date, as

the case may be, regardless of whether such day is a Business Day (as defined

below).  Any interest not so punctually

paid or duly provided for shall forthwith cease to be payable to the Holder on

such Regular Record Date, and may be paid to the Holder in whose name this Note

(or one or more predecessor Notes) is registered at the close of business on a

subsequent record date for the payment of such defaulted interest (which shall

be not less than 10 calendar days prior to the date of the payment of such

defaulted interest) established by notice given by mail by or on behalf of the

Issuer to the Holders of the Notes not less than 10 calendar days preceding

such subsequent record date, or may be paid at any time in any other lawful

manner not inconsistent with the requirements of any securities exchange on

which the Notes may be listed, and upon such notice as may be required by such

exchange, all as more fully provided in the Indenture (as defined below).  Interest on this Note will be computed on

the basis of a 360-day year of twelve 30-day months.

 

                The principal

of each Note payable on the Maturity Date will be paid against presentation and

surrender of this Note at the office or agency of the Issuer maintained for

that purpose in The Borough of Manhattan, The City of New York.  The Issuer hereby initially designates the

Corporate Trust Office of the Trustee in The City of New York as the office to

be maintained by it where Notes may be presented for payment, registration of

transfer or exchange, and where notices to or demands upon the Issuer in

respect of the Notes or the Indenture referred to on the reverse hereof may be

served.

 

                Interest payable on this Note on any Interest

Payment Date and on the Maturity Date, as the case may be, will be the amount

of interest accrued from and including the immediately preceding Interest

Payment Date (or from and including October 26, 2001, in the case of the

initial Interest Payment Date) to but excluding the applicable Interest Payment

Date or the Maturity Date, as the case may be. 

If any date for the payment of principal, premium, if any, interest on,

or any other amount with respect to, this Note (each a “Payment Date”) falls on

a day that is not a Business Day, the principal, premium, if any, or interest

payable with respect to such Payment Date will be made on the next succeeding

Business Day with the same force and effect as if made on such Payment Date,

and no interest shall accrue on the amount so payable for the period from and

after such Payment Date to such next succeeding Business Day.  “Business Day” means any day, other than a

Saturday or a Sunday, on which banking institutions in New York, New York are

open for business.

 

                Payments of principal and interest in respect

of this Note will be made by wire transfer of immediately available funds in

such coin or currency of the United States of America as at the time of payment

is legal tender for the payment of public and private debts.

 

                Reference is made to the further provisions

of this Note set forth on the reverse hereof after the Trustee’s Certificate of

Authentication.  Such further provisions

shall for all purposes have the same effect as though fully set forth at this

place.

 

                This Note shall not be entitled to the

benefits of the Indenture or be valid or obligatory for any purpose until the

Certificate of Authentication hereon shall have been signed by the Trustee

under such Indenture.

 

                Capitalized terms used herein which are not

otherwise defined shall have the respective meanings assigned to them in the

Indenture and the Ninth Supplemental Indenture hereinafter referred to.

 

                IN WITNESS

WHEREOF, the Issuer has caused this instrument to be signed manually or by

facsimile by its authorized officers.

 

Dated:  October 26, 2001

 

	

   

  	

   

  	

   

  	

   

  	

  SIMON

  PROPERTY GROUP, L.P.

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  as Issuer

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

  SIMON

  PROPERTY GROUP, INC.,

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

  as General

  Partner

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Name:

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Title:  

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Attest:

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Name:  

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Title:

  	

   

  	

   

  	

   

  	

   

  	

   

  
										

 

TRUSTEE’S CERTIFICATE OF AUTHENTICATION

 

                This is one of the Securities of the series

designated herein referred to in the within-mentioned Indenture.

 

	

   

  	

   

  	

   

  	

   

  	

  THE CHASE

  MANHATTAN BANK

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  as Trustee

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Authorized Officer

  
								

 

                

[REVERSE OF NOTE]

 

SIMON PROPERTY GROUP, L.P.

 

6 3/8% NOTE DUE 2007

 

                This security is one of a duly authorized issue

of debt securities of the Issuer (hereinafter called the “Securities”), issued

or to be issued under and pursuant to an Indenture dated as of November

26, 1996 (herein called the “Indenture”), duly executed and delivered by

the Issuer to The Chase Manhattan Bank, as Trustee (herein called the

“Trustee,” which term includes any successor trustee under the Indenture with

respect to the series of Securities of which this Note is a part), to which

Indenture and all indentures supplemental thereto relating to this Note

(including, without limitation, the Ninth Supplemental Indenture, dated as of

October 26, 2001, between the Issuer and the Trustee) reference is hereby made

for a description of the rights, limitations of rights, obligations, duties and

immunities thereunder of the Trustee, the Issuer and the Holders of the

Securities, and of the terms upon which the Securities are, and are to be,

authenticated and delivered and for the definition of capitalized terms used

hereby and not otherwise defined.  The

Securities may be issued in one or more series, which different series may be

issued in various aggregate principal amounts, may mature at different times,

may bear interest (if any) at different rates, may be subject to different

redemption provisions (if any), and may otherwise vary as provided in the

Indenture or any indenture supplemental thereto. This security is one of a

series designated as the Simon Property Group, L.P. 6 3/8% Notes due 2007,

initially limited in aggregate principal amount to $750,000,000 (the “Notes”).

 

                In case an Event of Default with respect to

the Notes shall have occurred and be continuing, the principal amount of the

Notes and the Make-Whole Amount may be declared accelerated and thereupon

become due and payable, in the manner, with the effect, and subject to the

conditions provided in the Indenture.

 

                The Notes may be redeemed at any time at the

option of the Issuer, in whole or from time to time in part, at a redemption

price equal to the sum of (i) 100% of the principal amount of the Notes being

redeemed plus accrued interest thereon to the Redemption Date and (ii) the

Make-Whole Amount, if any, with respect to such Notes.  Notice of any optional redemption will be

given to Holders at their addresses, as shown in the Security Register for the

Notes, not more than 60 nor less than 30 days prior to the date fixed for

redemption. The notice of redemption will specify, among other items, the

redemption price and the principal amount of the Notes to be redeemed.

 

                The Indenture contains

provisions permitting the Issuer and the Trustee, with the consent of the

Holders of not less than a majority of the aggregate principal amount of the

Securities at the time Outstanding of all series to be affected (voting as one

class), evidenced as provided in the Indenture, to execute supplemental

indentures adding any provisions to or changing in any manner or eliminating

any of the provisions of the Indenture or of any supplemental indenture or

modifying in any manner the rights of the Holders of the Securities of each

series; provided, however, that no such supplemental indenture

shall, without the consent of the Holder of each Outstanding Security so

affected, (i) change the Stated Maturity of the principal of, or premium,

(if any) or any installment of principal of or interest on, any Security, or

reduce the principal amount thereof or the rate or amount of interest thereon

or any premium payable upon the redemption or acceleration thereof, or

adversely affect any right of repayment at the option of the Holder of any

Security, or change any Place of Payment where, or the currency or currencies,

currency unit or units or composite currency or currencies in which, the

principal of any Security or any premium or interest thereon is payable, or impair

the right to institute suit for the enforcement of any such payment on or after

the Stated Maturity thereof, or (ii) reduce the aforesaid percentage of

Securities the Holders of which are required to consent to any such

supplemental indenture, or (iii) reduce the percentage of Securities the

Holders of which are required to consent to any waiver of compliance with

certain provisions of the Indenture or any waiver of certain defaults and

consequences thereunder or to reduce the quorum or voting requirements set

forth in the Indenture, or (iv) effect certain other changes to the

Indenture or any supplemental indenture or in the rights of Holders of the

Securities.  The Indenture also permits

the Holders of a majority in principal amount of the Outstanding Securities of

any series (or, in the case of certain defaults or Events of Default, all

series of Securities), on behalf of the Holders of all the Securities of such

series (or all of the Securities, as the case may be), to waive compliance by

the Issuer with certain provisions of the Indenture and certain past defaults

or Events of Default under the Indenture and their consequences, prior to any

declaration accelerating the maturity of such Securities, or subject to certain

conditions, rescind a declaration of acceleration and its consequences with

respect to such Securities.  Any such

consent or waiver by the Holder of this Note (unless revoked as provided in the

Indenture) shall be conclusive and binding upon such Holder and upon all future

Holders of this Note and of any Note that may be issued in exchange or

substitution hereof, irrespective of whether or not any notation thereof is

made upon this Note or such other Note.

 

                No reference herein to the Indenture and no

provision of this Note or of the Indenture shall alter or impair the obligation

of the Issuer which is absolute and unconditional, to pay the principal of,

premium, if any, and interest on this Note in the manner, at the respective

times, at the rate and in the coin or currency herein prescribed.

 

                Notwithstanding any other provision of the

Indenture to the contrary, no recourse shall be had, whether by levy or

execution or otherwise, for the payment of any sums due under the Securities,

including, without limitation, the principal of, premium, if any, or interest

payable under the Securities, or for the payment or performance of any

obligation under, or for any claim based on, the Indenture or otherwise in

respect thereof, against any partner of the Issuer, whether limited or general,

including Simon Property Group, Inc., or such partner’s assets or against any

principal, shareholder, officer, director, trustee or employee of such

partner.  It is expressly understood

that the sole remedies under the Securities and the Indenture or under any other

document with respect to the Securities, against such parties with respect to

such amounts, obligations or claims shall be against the Issuer.

 

                This Note is issuable only in registered form

without Coupons in denominations of $1,000 and integral multiples thereof. This

Note may be exchanged for a like aggregate principal amount of Notes of other

authorized denominations at the office or agency of the Issuer in The Borough

of Manhattan, The City of New York, in the manner and subject to the

limitations provided in the Indenture, but without the payment of any service

charge, except for any tax or other governmental charge imposed in connection

therewith.

 

                Upon due presentment for registration of

transfer of this Note at the office or agency of the Issuer in The Borough of

Manhattan, The City of New York, one or more new Notes of authorized

denominations in an equal aggregate principal amount will be issued to the

transferee in exchange therefor, subject to the limitations provided in the

Indenture, without charge, except for any tax or other governmental charge

imposed in connection therewith.

 

                The Issuer, the Trustee and any authorized

agent of the Issuer or the Trustee may deem and treat the Person in whose name

this Note is registered as the absolute owner of this Note (whether or not this

Note shall be overdue and notwithstanding any notation of ownership or other

writing hereon), for the purpose of receiving payment of, or on account of, the

principal and any premium hereof or hereon, and subject to the provisions on

the face hereof, interest hereon, and for all other purposes, and neither the

Issuer nor the Trustee nor any authorized agent of the Issuer or the Trustee

shall be affected by any notice to the contrary.

 

                This Note,

including the validity hereof, and the Indenture shall be governed by

and construed in accordance with the laws of the State of New York, and for all

purposes shall be construed in accordance with the laws of such state, except

as may otherwise be required by mandatory provisions of law.

 

                Capitalized terms used herein which are not

otherwise defined shall have the respective meanings assigned to them in the

Indenture and the Ninth Supplemental Indenture referred to herein.

 

                

 

Exhibit B

 

UNLESS THIS CERTIFICATE IS PRESENTED BY AN

AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK

CORPORATION (“DTC”), TO THE ISSUER OR ITS AGENT FOR REGISTRATION OF TRANSFER,

EXCHANGE OR PAYMENT AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF

CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED

REPRESENTATIVE OF DTC AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH

OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC, ANY

TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY

PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE &

CO., HAS AN INTEREST HEREIN.

 

UNLESS AND UNTIL THIS CERTIFICATE IS

EXCHANGED IN WHOLE OR IN PART FOR NOTES IN CERTIFICATED FORM, THIS CERTIFICATE

MAY NOT BE TRANSFERRED EXCEPT AS A WHOLE BY DTC TO A NOMINEE THEREOF OR BY A

NOMINEE THEREOF TO DTC OR ANOTHER NOMINEE OF DTC OR BY DTC OR ANY SUCH NOMINEE

TO A SUCCESSOR OF DTC OR A NOMINEE OF SUCH SUCCESSOR.

 

	

  REGISTERED

  	

  REGISTERED

  
	

  NO.

  	

  PRINCIPAL AMOUNT

  
	

   

  	

   

  
	

  CUSIP NO. 

  828807 AJ 6

  	

  $250,000,000

  

 

GLOBAL SECURITY

SIMON PROPERTY GROUP, L.P.

 

6 3/8% NOTE DUE 2007

 

                Simon Property Group, L.P., a Delaware

limited partnership (the “Issuer,” which term includes any successor under the

Indenture hereinafter referred to), for value received, hereby promises to pay

to Cede & Co. or its registered assigns, the principal sum of TWO

HUNDRED FIFTY MILLION Dollars on November 15, 2007 (the “Maturity Date”), and

to pay interest thereon from October 26, 2001, semi-annually in arrears on May

15 and November 15 of each year (each, an “Interest Payment Date”), commencing

on May 15, 2002, and on the Maturity Date, at the rate of 6 3/8% per annum,

until payment of said principal sum has been made or duly provided for.

 

                The interest so payable and punctually paid

or duly provided for on any Interest Payment Date and on the Maturity Date will

be paid to the Holder in whose name this Note (or one or more predecessor

Notes) is registered in the Security Register applicable to this Note at the

close of business on the “Record Date” for such payment, which will be the 15th

calendar day immediately prior to such payment date or the Maturity Date, as

the case may be, regardless of whether such day is a Business Day (as defined

below).  Any interest not so punctually

paid or duly provided for shall forthwith cease to be payable to the Holder on

such Regular Record Date, and may be paid to the Holder in whose name this Note

(or one or more predecessor Notes) is registered at the close of business on a

subsequent record date for the payment of such defaulted interest (which shall

be not less than 10 calendar days prior to the date of the payment of such

defaulted interest) established by notice given by mail by or on behalf of the

Issuer to the Holders of the Notes not less than 10 calendar days preceding

such subsequent record date, or may be paid at any time in any other lawful

manner not inconsistent with the requirements of any securities exchange on

which the Notes may be listed, and upon such notice as may be required by such

exchange, all as more fully provided in the Indenture (as defined below).  Interest on this Note will be computed on

the basis of a 360-day year of twelve 30-day months.

 

                The principal of

each Note payable on the Maturity Date will be paid against presentation

and surrender of this Note at the office or agency of the Issuer maintained for

that purpose in The Borough of Manhattan, The City of New York.  The Issuer hereby initially designates the

Corporate Trust Office of the Trustee in The City of New York as the office to

be maintained by it where Notes may be presented for payment, registration of

transfer or exchange, and where notices to or demands upon the Issuer in

respect of the Notes or the Indenture referred to on the reverse hereof may be

served.

 

                Interest payable on this Note on any Interest

Payment Date and on the Maturity Date, as the case may be, will be the amount

of interest accrued from and including the immediately preceding Interest

Payment Date (or from and including October 26, 2001, in the case of the

initial Interest Payment Date) to but excluding the applicable Interest Payment

Date or the Maturity Date, as the case may be. 

If any date for the payment of principal, premium, if any, interest on,

or any other amount with respect to, this Note (each a “Payment Date”) falls on

a day that is not a Business Day, the principal, premium, if any, or interest

payable with respect to such Payment Date will be made on the next succeeding

Business Day with the same force and effect as if made on such Payment Date,

and no interest shall accrue on the amount so payable for the period from and

after such Payment Date to such next succeeding Business Day.  “Business Day” means any day, other than a

Saturday or a Sunday, on which banking institutions in New York, New York are

open for business.

 

                Payments of principal and interest in respect

of this Note will be made by wire transfer of immediately available funds in

such coin or currency of the United States of America as at the time of payment

is legal tender for the payment of public and private debts.

 

                Reference is made to the further provisions

of this Note set forth on the reverse hereof after the Trustee’s Certificate of

Authentication.  Such further provisions

shall for all purposes have the same effect as though fully set forth at this

place.

 

                This Note shall not be entitled to the

benefits of the Indenture or be valid or obligatory for any purpose until the

Certificate of Authentication hereon shall have been signed by the Trustee

under such Indenture.

 

                Capitalized terms used herein which are not

otherwise defined shall have the respective meanings assigned to them in the

Indenture and the Ninth Supplemental Indenture hereinafter referred to.

 

                IN WITNESS

WHEREOF, the Issuer has caused this instrument to be signed manually or

by facsimile by its authorized officers.

 

Dated:  October 26, 2001

 

	

   

  	

   

  	

   

  	

   

  	

  SIMON

  PROPERTY GROUP, L.P.

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  as Issuer

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

  SIMON

  PROPERTY GROUP, INC.,

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

  as General

  Partner

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Name:

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Title:  

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Attest:

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Name:  

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

  Title:

  	

   

  	

   

  	

   

  	

   

  	

   

  
										

 

TRUSTEE’S CERTIFICATE OF AUTHENTICATION

 

                This is one of the Securities of the series

designated herein referred to in the within-mentioned Indenture.

 

	

   

  	

   

  	

   

  	

   

  	

  THE CHASE

  MANHATTAN BANK

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  as Trustee

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

  By:

  	

   

  
	

   

  	

   

  	

   

  	

   

  	

   

  	

  Authorized Officer

  
								

 

[REVERSE OF NOTE]

 

SIMON PROPERTY GROUP, L.P.

 

6 3/8% NOTE DUE 2007

 

                This security is one of a duly authorized

issue of debt securities of the Issuer (hereinafter called the “Securities”), issued

or to be issued under and pursuant to an Indenture dated as of November

26, 1996 (herein called the “Indenture”), duly executed and delivered by

the Issuer to The Chase Manhattan Bank, as Trustee (herein called the

“Trustee,” which term includes any successor trustee under the Indenture with

respect to the series of Securities of which this Note is a part), to which

Indenture and all indentures supplemental thereto relating to this Note

(including, without limitation, the Ninth Supplemental Indenture, dated as of

October 26, 2001, between the Issuer and the Trustee) reference is hereby made

for a description of the rights, limitations of rights, obligations, duties and

immunities thereunder of the Trustee, the Issuer and the Holders of the

Securities, and of the terms upon which the Securities are, and are to be,

authenticated and delivered and for the definition of capitalized terms used

hereby and not otherwise defined.  The

Securities may be issued in one or more series, which different series may be

issued in various aggregate principal amounts, may mature at different times,

may bear interest (if any) at different rates, may be subject to different

redemption provisions (if any), and may otherwise vary as provided in the

Indenture or any indenture supplemental thereto. This security is one of a

series designated as the Simon Property Group, L.P. 6 3/8% Notes due 2007,

initially limited in aggregate principal amount to $750,000,000 (the “Notes”).

 

                In case an Event of Default with respect to

the Notes shall have occurred and be continuing, the principal amount of the

Notes and the Make-Whole Amount may be declared accelerated and thereupon

become due and payable, in the manner, with the effect, and subject to the

conditions provided in the Indenture.

 

                The Notes may be redeemed at any time at the

option of the Issuer, in whole or from time to time in part, at a redemption

price equal to the sum of (i) 100% of the principal amount of the Notes being

redeemed plus accrued interest thereon to the Redemption Date and (ii) the

Make-Whole Amount, if any, with respect to such Notes.  Notice of any optional redemption will be

given to Holders at their addresses, as shown in the Security Register for the

Notes, not more than 60 nor less than 30 days prior to the date fixed for

redemption. The notice of redemption will specify, among other items, the

redemption price and the principal amount of the Notes to be redeemed.

 

                The Indenture contains provisions permitting

the Issuer and the Trustee, with the consent of the Holders of not less than a

majority of the aggregate principal amount of the Securities at the time

Outstanding of all series to be affected (voting as one class), evidenced as

provided in the Indenture, to execute supplemental indentures adding any provisions

to or changing in any manner or eliminating any of the provisions of the

Indenture or of any supplemental indenture or modifying in any manner the

rights of the Holders of the Securities of each series; provided, however,

that no such supplemental indenture shall, without the consent of the Holder of

each Outstanding Security so affected, (i) change the Stated Maturity of

the principal of, or premium, (if any) or any installment of principal of or

interest on, any Security, or reduce the principal amount thereof or the rate

or amount of interest thereon or any premium payable upon the redemption or

acceleration thereof, or adversely affect any right of repayment at the option

of the Holder of any Security, or change any Place of Payment where, or the

currency or currencies, currency unit or units or composite currency or

currencies in which, the principal of any Security or any premium or interest

thereon is payable, or impair the right to institute suit for the enforcement

of any such payment on or after the Stated Maturity thereof, or

(ii) reduce the aforesaid percentage of Securities the Holders of which

are required to consent to any such supplemental indenture, or

(iii) reduce the percentage of Securities the Holders of which are required

to consent to any waiver of compliance with certain provisions of the Indenture

or any waiver of certain defaults and consequences thereunder or to reduce the

quorum or voting requirements set forth in the Indenture, or (iv) effect

certain other changes to the Indenture or any supplemental indenture or in the

rights of Holders of the Securities. 

The Indenture also permits the Holders of a majority in principal amount

of the Outstanding Securities of any series (or, in the case of certain

defaults or Events of Default, all series of Securities), on behalf of the

Holders of all the Securities of such series (or all of the Securities, as the

case may be), to waive compliance by the Issuer with certain provisions of the

Indenture and certain past defaults or Events of Default under the Indenture

and their consequences, prior to any declaration accelerating the maturity of

such Securities, or subject to certain conditions, rescind a declaration of

acceleration and its consequences with respect to such Securities.  Any such consent or waiver by the Holder of

this Note (unless revoked as provided in the Indenture) shall be conclusive and

binding upon such Holder and upon all future Holders of this Note and of any

Note that may be issued in exchange or substitution hereof, irrespective of

whether or not any notation thereof is made upon this Note or such other Note.

 

                No reference

herein to the Indenture and no provision of this Note or of the Indenture shall

alter or impair the obligation of the Issuer which is absolute and

unconditional, to pay the principal of, premium, if any, and interest on this

Note in the manner, at the respective times, at the rate and in the coin or

currency herein prescribed.

 

                Notwithstanding any other provision of the

Indenture to the contrary, no recourse shall be had, whether by levy or

execution or otherwise, for the payment of any sums due under the Securities,

including, without limitation, the principal of, premium, if any, or interest

payable under the Securities, or for the payment or performance of any

obligation under, or for any claim based on, the Indenture or otherwise in

respect thereof, against any partner of the Issuer, whether limited or general,

including Simon Property Group, Inc., or such partner’s assets or against any

principal, shareholder, officer, director, trustee or employee of such

partner.  It is expressly understood

that the sole remedies under the Securities and the Indenture or under any

other document with respect to the Securities, against such parties with

respect to such amounts, obligations or claims shall be against the Issuer.

 

                This Note is issuable only in registered form

without Coupons in denominations of $1,000 and integral multiples thereof. This

Note may be exchanged for a like aggregate principal amount of Notes of other

authorized denominations at the office or agency of the Issuer in The Borough

of Manhattan, The City of New York, in the manner and subject to the

limitations provided in the Indenture, but without the payment of any service

charge, except for any tax or other governmental charge imposed in connection

therewith.

 

                Upon due presentment for registration of

transfer of this Note at the office or agency of the Issuer in The Borough of

Manhattan, The City of New York, one or more new Notes of authorized

denominations in an equal aggregate principal amount will be issued to the

transferee in exchange therefor, subject to the limitations provided in the

Indenture, without charge, except for any tax or other governmental charge

imposed in connection therewith.

 

                The Issuer, the Trustee and any authorized

agent of the Issuer or the Trustee may deem and treat the Person in whose name

this Note is registered as the absolute owner of this Note (whether or not this

Note shall be overdue and notwithstanding any notation of ownership or other

writing hereon), for the purpose of receiving payment of, or on account of, the

principal and any premium hereof or hereon, and subject to the provisions on

the face hereof, interest hereon, and for all other purposes, and neither the

Issuer nor the Trustee nor any authorized agent of the Issuer or the Trustee

shall be affected by any notice to the contrary.

 

                This Note,

including the validity hereof, and the Indenture shall be governed by and

construed in accordance with the laws of the State of New York, and for

all purposes shall be construed in accordance with the laws of such state,

except as may otherwise be required by mandatory provisions of law.

 

                Capitalized terms used herein which are not

otherwise defined shall have the respective meanings assigned to them in the

Indenture and the Ninth Supplemental Indenture referred to herein.<PDF>
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