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Debt - Long-Term Debt Maturities (Detail) - USD ($)
$ in Thousands
Jun. 30, 2022
Dec. 31, 2021
Debt Instrument [Line Items]    
2022 [1] $ 324,540  
2023 [1] 318,796  
2024 [2] 907,152  
2025 179,108  
2026 [3] 1,662,446  
Thereafter 14,725,741  
Subtotal 18,117,783  
Unamortized premiums (discounts), net 5,201  
Unamortized debt issuance costs, net (82,152)  
Total 18,040,832 $ 17,715,054
Credit Facilities [Member]    
Debt Instrument [Line Items]    
2022 [1] 0  
2023 [1] 0  
2024 [2] 496,294  
2025 0  
2026 [3] 115,973  
Thereafter 0  
Subtotal 612,267  
Unamortized premiums (discounts), net 0  
Unamortized debt issuance costs, net 0  
Total 612,267 491,393
Senior Notes [Member]    
Debt Instrument [Line Items]    
2022 [1] 311,610  
2023 [1] 0  
2024 [2] 311,610  
2025 36,693  
2026 [3] 919,229  
Thereafter 14,049,349  
Subtotal 15,628,491  
Unamortized premiums (discounts), net (4,832)  
Unamortized debt issuance costs, net (76,869)  
Total 15,546,790 14,981,690
Term Loans and Unsecured Other [Member]    
Debt Instrument [Line Items]    
2022 [1] 9,239  
2023 [1] 131,921  
2024 [2] 0  
2025 0  
2026 [3] 623,778  
Thereafter 601,763  
Subtotal 1,366,701  
Unamortized premiums (discounts), net 0  
Unamortized debt issuance costs, net (4,408)  
Total 1,362,293 1,825,195
Secured Mortgage [Member]    
Debt Instrument [Line Items]    
2022 [1] 3,691  
2023 [1] 186,875  
2024 [2] 99,248  
2025 142,415  
2026 [3] 3,466  
Thereafter 74,629  
Subtotal 510,324  
Unamortized premiums (discounts), net 10,033  
Unamortized debt issuance costs, net (875)  
Total $ 519,482 $ 416,776
[1]

We expect to repay the amounts maturing in the next twelve months with cash generated from operations, proceeds from dispositions of real estate properties, or as necessary, with additional borrowings.

[2]

Included in the 2024 maturities is the 2021 Global Facility that can be extended until 2025.

[3] Included in the 2026 maturities is the 2022 Global Facility that can be extended until 2027.