XML 25 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
Disclosure about Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2013
Disclosure about Fair Value of Financial Instruments (Tables) [Abstract]  
Carrying amounts and estimated fair values of financial instruments
September 30, 2013December 31, 2012
Carrying AmountFair ValueCarrying AmountFair Value
Financial assets:
Mortgage loans receivable$ 131,138$ 133,554$ 87,955$ 88,975
Other real estate loans receivable 176,239 182,153 807,710 820,195
Available-for-sale equity investments 1,037 1,037 1,384 1,384
Cash and cash equivalents 164,838 164,838 1,033,764 1,033,764
Foreign currency forward contracts 7,669 7,669 0 0
Financial liabilities:
Borrowings under unsecured line of credit arrangements$ 847,670$ 847,670$ 0$ 0
Senior unsecured notes 6,395,638 6,806,353 6,114,151 6,793,424
Secured debt 3,115,862 3,262,955 2,336,196 2,515,145
Interest rate swap agreements 68 68 264 264
Foreign currency forward contracts 79,544 79,544 7,247 7,247
The Market approach utilized to measure fair value of financial assets and liabilities on recurring basis
Fair Value Measurements as of September 30, 2013
TotalLevel 1Level 2Level 3
Available-for-sale equity investments(1)$ 1,037$ 1,037$ 0$ 0
Interest rate swap agreements(2) (68) 0 (68) 0
Foreign currency forward contracts(2) (71,875) 0 (71,875) 0
Totals$ (70,906)$ 1,037$ (71,943)$ 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.