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Basis of Presentation and Summary of Significant Accounting Policies (Tables)
3 Months Ended
Mar. 31, 2014
Schedule of Equity [Line Items]  
Reconciliation of consolidated temporary equity accounts
Balance, December 31, 2013
$
79,953

Distributions to preferred unitholders
(1,605
)
Redemption of preferred units and other
(832
)
Net income
1,605

Balance, March 31, 2014
$
79,121

Reconciliation of consolidated permanent equity accounts
 
Aimco
Equity
 
Noncontrolling
interests in
consolidated real estate
partnerships
 
Common
noncontrolling
interests in
Aimco Operating
Partnership
 
Total
Equity
Balance, December 31, 2013
$
967,457

 
$
233,008

 
$
(27,721
)
 
$
1,172,744

Contributions

 
458

 

 
458

Repurchase of preferred stock
(9,500
)
 

 

 
(9,500
)
Preferred stock dividends
(696
)
 

 

 
(696
)
Common dividends and distributions
(37,970
)
 
(20,999
)
 
(2,032
)
 
(61,001
)
Redemptions of common OP Units

 

 
(2,921
)
 
(2,921
)
Amortization of stock-based compensation cost
1,753

 

 

 
1,753

Stock option exercises
21

 

 

 
21

Effect of changes in ownership for consolidated entities
(3,575
)
 
(76
)
 
3,607

 
(44
)
Change in accumulated other comprehensive loss
101

 
26

 
5

 
132

Other
578

 

 

 
578

Net income
64,927

 
11,389

 
3,611

 
79,927

Balance, March 31, 2014
$
983,096

 
$
223,806

 
$
(25,451
)
 
$
1,181,451

AIMCO PROPERTIES, L.P
 
Schedule of Equity [Line Items]  
Reconciliation of consolidated permanent equity accounts
 
Partners’ capital
 attributable to
the Partnership
Balance, December 31, 2013
$
939,736

Repurchase of Preferred Units from Aimco
(9,500
)
Distributions to preferred units held by Aimco
(696
)
Distributions to common units held by Aimco
(37,970
)
Distributions to common units held by Limited Partners
(2,032
)
Redemption of common OP Units
(2,921
)
Amortization of Aimco stock-based compensation cost
1,753

Common OP Units issued to Aimco in connection with Aimco stock option exercises
21

Effect of changes in ownership for consolidated entities
32

Change in accumulated other comprehensive loss
106

Other
578

Net income
68,538

Balance, March 31, 2014
$
957,645