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Debt (Details)
0 Months Ended 6 Months Ended 0 Months Ended 0 Months Ended 6 Months Ended 0 Months Ended 6 Months Ended
Jun. 30, 2014
USD ($)
Dec. 31, 2013
USD ($)
Jun. 30, 2014
Line of Credit and Term Loan
Jun. 30, 2014
Bank Line of Credit
USD ($)
Jun. 30, 2014
Bank Line of Credit
USD ($)
Mar. 31, 2014
Bank Line of Credit
USD ($)
Jul. 30, 2012
2012 Term Loan
GBP (£)
Jun. 30, 2014
2012 Term Loan
USD ($)
Jun. 30, 2014
2012 Term Loan
GBP (£)
Jul. 30, 2012
2012 Term Loan
Interest-rate swap contracts
Jun. 30, 2014
Senior Unsecured Notes
USD ($)
Jun. 30, 2014
Senior Unsecured Notes
Minimum
Jun. 30, 2014
Senior Unsecured Notes
Maximum
Feb. 12, 2014
Senior Unsecured, 4.20% notes due 2024
USD ($)
Feb. 01, 2014
Senior unsecured notes, 2.7%
USD ($)
Dec. 16, 2013
Senior unsecured notes, 5.65%
USD ($)
Nov. 12, 2013
Senior Unsecured, 4.25% notes due 2023
USD ($)
Feb. 28, 2013
Senior Unsecured, 5.625%
USD ($)
Jun. 30, 2014
Mortgage Debt
USD ($)
item
Jun. 30, 2014
Mortgage Debt
Minimum
Jun. 30, 2014
Mortgage Debt
Maximum
Jun. 30, 2014
Other Debt
USD ($)
item
Debt Instrument                                            
Increased maximum borrowing capacity           $ 500,000,000                                
Line of credit facility, maximum borrowing capacity           2,000,000,000                                
Length of debt instrument extension period         1 year   1 year                              
Debt instrument, variable rate basis         LIBOR   GBP LIBOR                              
Debt instrument, basis spread on variable rate (as a percent)       0.925%     1.20%                              
Debt instrument, facility fee (as a percent)       0.15%                                    
Line of credit facility additional aggregate amount, maximum       500,000,000                                    
Line of credit facility, amount outstanding       310,000,000 310,000,000                                  
Debt instrument, covenant debt to assets (as a percent)     60.00%                                      
Debt instrument, covenant secured debt to assets (as a percent)     30.00%                                      
Debt instrument, covenant unsecured debt to unencumbered assets (as a percent)     60.00%                                      
Debt instrument, covenant minimum fixed charge coverage ratio     1.5                                      
Debt instrument, covenant net worth       9,500,000,000 9,500,000,000                                  
Debt instrument, effective interest rate (as a percent)                           4.257%     4.307%          
Weighted-average interest rate (as a percent)       1.42% 1.42%           5.06%               6.20%      
Weighted-average maturity                     6 years               3 years      
Issuance of senior unsecured notes                           350,000,000     800,000,000          
Debt issuance price as a percentage of principal amount                           99.537%     99.54%          
Repayment of senior unsecured notes                             400,000,000 400,000,000   150,000,000        
Net proceeds from issuance of senior unsecured notes                           346,000,000     789,000,000          
Stated interest rate (as a percent)                       2.79% 6.99% 4.20% 2.70% 5.65% 4.25% 5.625%   0.44% 8.69%  
2014 (Six months) 11,573,000                                   11,573,000      
2015 708,421,000                   400,000,000               308,421,000      
2016 1,426,088,000             234,352,000     900,000,000               291,736,000      
2017 1,300,477,000                   750,000,000               550,477,000      
2018 916,583,000     310,000,000 310,000,000           600,000,000               6,583,000      
Thereafter 4,265,242,000                   4,200,000,000               65,242,000      
Total debt before discount, net 8,628,384,000     310,000,000 310,000,000     234,352,000     6,850,000,000               1,234,032,000      
Discounts, net (27,375,000)                   (23,116,000)               (4,259,000)      
Debt instruments, carrying amount 8,601,009,000     310,000,000 310,000,000   137,000,000 234,352,000 137,000,000   6,826,884,000               1,229,773,000      
Number of healthcare facilities used to secure debt                                     94      
Debt instrument, collateral, healthcare facilities carrying value                                     1,500,000,000      
Maturity period of debt instruments             4 years                              
Term of the interest rate swap agreement                   4 years                        
Debt instrument, fixed interest rate (as a percent)                   1.81%                        
Portion of other debt and occupancy fee deposits excluded from schedule of debt maturities $ 73,020,000 $ 74,909,000                                       $ 73,000,000
Number of CCRC issuing non-interest life care bonds                                           2
Non-interest bearing occupancy fee deposits                                           2