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Consolidated Statements of Changes in Equity - USD ($)
shares in Thousands, $ in Thousands
Total
Cumulative Effect, Period of Adoption, Adjustment
Common Stock
Class A Common Stock
Common Stock
Class B Common Stock
Additional Paid- in-Capital
Treasury Stock
Retained Earnings (Dividends in Excess of Earnings)
Retained Earnings (Dividends in Excess of Earnings)
Cumulative Effect, Period of Adoption, Adjustment
Accumulated Other Comprehensive Income (Loss)
Operating Partnership
Consolidated Joint Ventures
Beginning Balance (in shares) at Dec. 31, 2018     103,941 13,118              
Beginning Balance at Dec. 31, 2018 $ 1,643,635   $ 105 $ 13 $ 1,471,157 $ (32,815) $ 11,342   $ (4,649) $ 188,427 $ 10,055
Increase Decrease in Stockholders' Equity                      
Contributions 498                   498
Distributions (18,475)                 (17,262) (1,213)
Amortization of equity based compensation 21,777       21,777            
Grants of restricted stock (in shares)     1,478                
Grants of restricted stock     $ 1   (1)            
Purchase of treasury stock (in shares)     (40)                
Purchase of treasury stock (637)         (637)          
Re-issuance of treasury stock (in shares)     92                
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (in shares)     (526)                
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (9,247)         (9,247)          
Forfeitures (in shares)     (9)                
Dividends declared (145,910)           (145,910)        
Stock dividends (in shares)     1,434 181              
Stock dividends     $ 1   23,822   (23,823)        
Exchange of noncontrolling interest for common stock (in shares)     1,139 (1,139)              
Exchange of noncontrolling interest for common stock $ 405   $ 1 $ (1) 16,449       65 (16,109)  
Accounting Standards Update [Extensible List] Accounting Standards Update 2016-13                    
Net income (loss) $ 137,001           122,645     15,050 (694)
Other comprehensive income (loss) 9,930               8,785 1,145  
Rebalancing of ownership percentage between Company and Operating Partnership         (820)       17 803  
Ending Balance (in shares) at Dec. 31, 2019     107,509 12,160              
Ending Balance at Dec. 31, 2019 1,638,977 $ (5,797) $ 108 $ 12 1,532,384 (42,699) (35,746) $ (5,797) 4,218 172,054 8,646
Increase Decrease in Stockholders' Equity                      
Contributions 860                   860
Distributions (16,485)                 (6,698) (9,787)
Amortization of equity based compensation 42,728       42,728            
Issuance of common stock (in shares)     4,000                
Issuance of common stock 32,000   $ 4   31,996            
Issuance of Purchase Right 8,425       8,425            
Purchase of treasury stock (in shares)     (384)                
Purchase of treasury stock (3,035)         (3,035)          
Re-issuance of treasury stock (in shares)     4,423                
Re-issuance of treasury stock     $ 4   (4)            
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (in shares)     (1,301)                
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (17,126)   $ (1)     (17,125)          
Forfeitures (in shares)     (28)                
Dividends declared (107,729)           (107,729)        
Exchange of noncontrolling interest for common stock (in shares)     12,159 (12,160)              
Exchange of noncontrolling interest for common stock 223   $ 12 $ (12) 165,788       (6,952) (158,613)  
Net income (loss) (9,458)           (14,445)     (557) 5,544
Other comprehensive income (loss) (15,158)               (9,950) (5,208)  
Rebalancing of ownership percentage between Company and Operating Partnership         (1,243)       2,221 (978)  
Ending Balance (in shares) at Dec. 31, 2020     126,378 0              
Ending Balance at Dec. 31, 2020 1,548,425 [1]   $ 127 $ 0 1,780,074 (62,859) (163,717)   (10,463) $ 0 5,263
Increase Decrease in Stockholders' Equity                      
Contributions 1,631                   1,631
Distributions (908)       (125)           (783)
Amortization of equity based compensation 15,300       15,300            
Purchase of treasury stock (in shares)     (823)                
Purchase of treasury stock (9,008)   $ (1)     (9,007)          
Re-issuance of treasury stock (in shares)     748                
Re-issuance of treasury stock     $ 1     (1)          
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (in shares)     (440)                
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (4,457)         (4,457)          
Forfeitures (in shares)     (410)                
Forfeitures (1)   $ (1)                
Dividends declared (100,607)           (100,607)        
Net income (loss) 56,893           56,522       371
Other comprehensive income (loss) 6,351               6,351    
Ending Balance (in shares) at Dec. 31, 2021     125,453                
Ending Balance at Dec. 31, 2021 $ 1,513,619 [1]   $ 126   $ 1,795,249 $ (76,324) $ (207,802)   $ (4,112)   $ 6,482
[1] Includes amounts relating to consolidated variable interest entities. Refer to Note 2 and Note 10.