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Supplemental Cash Flow Information of the Company - Supplemental Cash Flow (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
SUPPLEMENTAL CASH FLOWS INFORMATION:      
Capitalized interest $ 74,052 $ 72,973 $ 75,802
Cash paid for interest, net of capitalized interest of $74,052, $72,973, and $75,802 as of December 31, 2023, 2022 and 2021, respectively 105,767 79,634 77,028
Cash paid for amounts included in the measurement of ground lease liabilities 6,733 6,447 6,209
NON-CASH INVESTING TRANSACTIONS:      
Accrual for expenditures for operating properties and development and redevelopment properties 95,575 97,729 119,829
Tenant improvements funded directly by tenants 7,364 6,772 20,070
Assumption of accrued liabilities in connection with acquisitions 0 0 37,572
Initial measurement of operating right of use ground lease assets (Note 19) 0 0 46,430
Initial measurement of operating ground lease liabilities (Note 19) 0 0 46,430
NON-CASH FINANCING TRANSACTIONS:      
Accrual of dividends and distributions payable to common stockholders and common unitholders (Notes 14 and 26) $ 64,440 $ 64,285 $ 61,850