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Disclosure about Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2012
Disclosure about Fair Value of Financial Instruments (Tables) [Abstract]  
Carrying amounts and estimated fair values of financial instruments

The carrying amounts and estimated fair values of our financial instruments are as follows (in thousands):

   December 31, 2012 December 31, 2011
   Carrying Fair Carrying Fair
   Amount Value Amount Value
Financial Assets:            
 Mortgage loans receivable $ 87,955 $ 88,975 $ 63,934 $ 64,194
 Other real estate loans receivable   807,710   820,195   228,573   231,308
 Available-for-sale equity investments   1,384   1,384   980   980
 Cash and cash equivalents   1,033,764   1,033,764   163,482   163,482
              
Financial Liabilities:            
 Borrowings under unsecured lines of credit arrangements $ 0 $ 0 $ 610,000 $ 610,000
 Senior unsecured notes   6,114,151   6,793,424   4,434,107   4,709,736
 Secured debt   2,336,196   2,515,145   2,112,649   2,297,278
 Interest rate swap agreements   264   264   2,854   2,854
 Foreign currency forward contracts   7,247   7,247  0  0
The Market approach utilized to measure fair value of financial assets and liabilities on recurring basis
  Fair Value Measurements as of December 31, 2012
  Total Level 1 Level 2 Level 3
Available-for-sale equity investments(1) $ 1,384 $ 1,384 $ 0 $ 0
Interest rate swap agreements(2)   (264)   0   (264)   0
Foreign currency forward contract(2)   (7,247)   0   (7,247)   0
Totals $ (6,127) $ 1,384 $ (7,511) $ 0
             
             
(1) Unrealized gains or losses on equity investments are recorded in accumulated other comprehensive income (loss) at each measurement date.
(2) Please see Note 11 for additional information.