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Indebtedness (Tables)
6 Months Ended
Jun. 30, 2022
Debt Disclosure [Abstract]  
Fair Value, Liabilities Measured on a Recurring Basis, Disclosure Only The following table summarizes the book value and changes in the fair value of our debt (in thousands):
Book Value at 12/31/2021Book Value at 6/30/2022Fair Value at 12/31/2021Issuances and
Assumptions
Payments/PayoffsAdjustments
to Fair Value
Fair Value at 6/30/2022
Fixed rate secured debt$58,422 $56,135 $59,989 $— $(2,143)$(6,067)$51,779 
Variable rate secured debt1,300 1,300 1,300 — — — 1,300 
Unsecured debt3,675,000 3,875,000 3,779,465 500,000 (300,000)(510,887)3,468,578 
Total$3,734,722 $3,932,435 $3,840,754 $500,000 $(302,143)$(516,954)$3,521,657 
Less: Deferred financing costs45,440 43,755 
Total indebtedness as reported on the consolidated balance sheets$3,689,282 $3,888,680 
Unsecured Line of Credit
Our unsecured line of credit at June 30, 2022 is described as follows (in thousands):
DescriptionBorrowing
Capacity
Maturity DateOutstanding Balance at June 30, 2022
Unsecured Line of Credit - Partnership$1,200,000 March 31, 2025$—