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Disclosure about Fair Value of Financial Instruments (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Financial Assets:        
Loans receivable, Carrying Amount $ 895,665 $ 292,507    
Available-for-sale equity investments, Carrying Amount 1,384 980    
Available-for-sale equity investments, Fair Value 1,384 980    
Cash and cash equivalents, Carrying Amount 1,033,764 163,482 131,570 35,476
Cash and cash equivalents 1,033,764 163,482    
Financial Liabilities:        
Borrowings under unsecured lines of credit arrangements, Carrying Amount 0 610,000 300,000  
Borrowings under unsecured lines of credit arrangements, Fair Value 0 610,000    
Senior unsecured notes, Carrying Amount 6,114,151 4,434,107    
Senior unsecured notes, Fair Value 6,793,424 4,709,736    
Secured debt, Carrying Amount 2,336,196 2,112,649    
Secured debt, Fair Value 2,515,145 2,297,278    
Interest rate swap agreements, Carrying Amount (264) [1] 2,854    
Interest rate swap agreements, Fair Value 264 2,854    
Foreign currency forward contract (7,247) [1]      
Mortgage Loans [Member]
       
Financial Assets:        
Loans receivable, Carrying Amount 87,955 63,934    
Loans receivable, Fair value 88,975 64,194    
Other Real Estate Loans Receivable [Member]
       
Financial Assets:        
Loans receivable, Carrying Amount 807,710 228,573    
Loans receivable, Fair value $ 820,195 $ 231,308    
[1] (2) Please see Note 11 for additional information.