XML 28 R18.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Subsequent Events
6 Months Ended
Jun. 30, 2011
Subsequent Events  
Subsequent Events
11. Subsequent Events

Declaration of Distributions

The General Partner's board of directors declared the following distributions at its regularly scheduled board meeting held on July 27, 2011:

 

Class

   Quarterly
Amount/Unit
     Record Date      Payment Date  

Common

   $ 0.17         August 17, 2011         August 31, 2011   

Preferred (per depositary unit):

        

Series J

   $ 0.414063         August 17, 2011         August 31, 2011   

Series K

   $ 0.406250         August 17, 2011         August 31, 2011   

Series L

   $ 0.412500         August 17, 2011         August 31, 2011   

Series M

   $ 0.434375         September 16, 2011         September 30, 2011   

Series O

   $ 0.523438         September 16, 2011         September 30, 2011   

On June 17, 2011, the General Partner called for redemption all of its 434,520 outstanding 7.25% Series N Cumulative Redeemable Preferred Shares. The redemption took place on July 18, 2011 for $109.0 million, which included distributions accrued through the redemption date.