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DEBT (Details) (USD $)
0 Months Ended
Jun. 30, 2014
Dec. 31, 2013
Jan. 09, 2014
Amended and Restated Credit Facility
Jan. 09, 2014
Amended and Restated Credit Facility
Subject to meeting specified requirements and obtaining additional commitments
Jan. 09, 2014
Line of credit
Amended and Restated Credit Facility
Jan. 09, 2014
Line of credit
Amended and Restated Credit Facility
Revolving Credit Facility
Extension_Option
Jan. 09, 2014
Line of credit
Amended and Restated Credit Facility
London Interbank Offered Rate (LIBOR)
Revolving Credit Facility
Jan. 09, 2014
Line of credit
Amended and Restated Credit Facility
Base Rate
Jan. 09, 2014
Term loan
Amended and Restated Credit Facility
Extension_Option
Jan. 09, 2014
Term loan
Amended and Restated Credit Facility
London Interbank Offered Rate (LIBOR)
Jan. 09, 2014
Minimum
Amended and Restated Credit Facility
Base Rate
Revolving Credit Facility
Jan. 09, 2014
Minimum
Line of credit
Amended and Restated Credit Facility
London Interbank Offered Rate (LIBOR)
Revolving Credit Facility
Jan. 09, 2014
Minimum
Term loan
Amended and Restated Credit Facility
London Interbank Offered Rate (LIBOR)
Jan. 09, 2014
Minimum
Term loan
Amended and Restated Credit Facility
Base Rate
Jan. 09, 2014
Maximum
Amended and Restated Credit Facility
Base Rate
Revolving Credit Facility
Jan. 09, 2014
Maximum
Line of credit
Amended and Restated Credit Facility
London Interbank Offered Rate (LIBOR)
Revolving Credit Facility
Jan. 09, 2014
Maximum
Term loan
Amended and Restated Credit Facility
London Interbank Offered Rate (LIBOR)
Jan. 09, 2014
Maximum
Term loan
Amended and Restated Credit Facility
Base Rate
Jan. 09, 2014
Future Year Period Two
Line of credit
Jan. 09, 2014
Future Year Period Two
Line of credit
Amended and Restated Credit Facility
Jan. 09, 2014
Future Year Period One
Line of credit
Amended and Restated Credit Facility
Jan. 09, 2014
Interest Rate Swap
Cash Flow Hedging
Debt Instrument [Line Items]                                            
Revolving credit facility borrowing limit, maximum borrowing capacity     $ 350,000,000     $ 250,000,000     $ 100,000,000                          
Maximum leverage ratio of revolving credit facility (in percent)         60.00%                                  
Maximum Leverage Ratio, Material Acquisition Period         65.00%                                  
Minimum fixed charge coverage ratio on revolving credit facility (in percent)                                     1.5      
Maximum secured leverage ratio on revolving credit facility (in percent)                                       40.00% 45.00%  
Percent of net proceeds of any additional equity issuances in relation to net proceeds as of Offering         75.00%                                  
Maximum Recourse Indebtedness of Total Asset Value         15.00%                                  
Line of Credit Facility, Allowable Additional Borrowing Capacity       250,000,000                                    
Debt Instrument, Description of Variable Rate Basis             LIBOR base rate   LIBOR                        
Debt Instrument, Variable Rate Basis, One               prime rate                            
Debt Instrument, Basis Spread on Variable Rate                     0.35% 1.35% 1.30% 0.30% 0.95% 1.95% 1.90% 0.90%        
Debt Instrument, Spread on Variable Rate Basis, Two               0.50%                            
Debt Instrument, Spread on Variable Rate Basis, Three               1.00%                            
Minimum Unsecured Interest Coverage Ratio                                     175.00%      
Debt Instrument, Variable Rate Basis, Two               federal funds rate                            
Debt Instrument, Variable Rate Basis, Three               Eurodollar                            
Debt Instrument, Extension Options           2     3                          
Debt Instrument, Extension Term           6 months     12 months                          
Line of credit 0 93,000,000 100,000,000                                      
Interest rate on derivative                                           3.08%
Maximum Secured Leverage Ratio, Material Acquisition Period                                       45.00% 50.00%  
Maximum Unsecured Leverage Ratio         60.00%                                  
Maximum Unsecured Leverage Ratio, Material Acquisition Period         65.00%                                  
Minimum Tangible Net Worth         $ 721,160,000                                  
Percentage Limit On Annual Distributions In Relation To Funds From Operations         95.00%