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Debt (Tables)
6 Months Ended
Jun. 30, 2021
Debt Disclosure [Abstract]  
Schedule of Debt
The following is a summary of our debt:
(Amounts in thousands)Weighted Average Interest Rate at June 30, 2021Balance as of
June 30, 2021December 31, 2020
Mortgages Payable:
Fixed rate3.09%$3,140,000 $3,012,643 
Variable rate1.78%2,445,015 2,595,815 
Total2.52%5,585,015 5,608,458 
Deferred financing costs, net and other(37,410)(27,909)
Total, net$5,547,605 $5,580,549 
Unsecured Debt:
Senior unsecured notes3.02%$1,200,000 $450,000 
Deferred financing costs, net and other(10,139)(3,315)
Senior unsecured notes, net1,189,861 446,685 
Unsecured term loan3.70%800,000 800,000 
Deferred financing costs, net and other(2,713)(3,238)
Unsecured term loan, net797,287 796,762 
Unsecured revolving credit facilities1.00%575,000 575,000 
Total, net$2,562,148 $1,818,447