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Investments in Unconsolidated Entities and International Investments - Repayments of Mortgages (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Scheduled principal repayments on mortgage indebtedness    
2024 $ 2,946,165  
2025 2,639,816  
2026 4,759,916  
2027 2,466,364  
2028 1,153,921  
Thereafter 12,220,079  
Total principal maturities 26,186,261  
Debt issuance costs (140,442) $ (108,210)
Total mortgages 26,033,423 24,960,286
Equity Method Investees excluding Jamestown, Klepierre, TRG and other platform investments | Unconsolidated properties    
Scheduled principal repayments on mortgage indebtedness    
2024 2,069,780  
2025 2,437,450  
2026 2,832,212  
2027 2,288,445  
2028 2,170,056  
Thereafter 2,516,281  
Total principal maturities 14,314,224  
Debt issuance costs (31,385)  
Total mortgages $ 14,282,839 $ 14,569,921
Equity Method Investees excluding Jamestown, Klepierre, TRG and other platform investments | Unconsolidated properties    
Scheduled principal repayments on mortgage indebtedness    
Weighted average interest rate (as a percent) 4.61%  
Equity Method Investees excluding Jamestown, Klepierre, TRG and other platform investments | Unconsolidated properties | Minimum    
Scheduled principal repayments on mortgage indebtedness    
Interest rate on debt (as a percent) 0.21%  
Equity Method Investees excluding Jamestown, Klepierre, TRG and other platform investments | Unconsolidated properties | Maximum    
Scheduled principal repayments on mortgage indebtedness    
Interest rate on debt (as a percent) 15.25%