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CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY - USD ($)
$ in Thousands
Preferred Stock
Common Stock
Paid-in Capital
Distributions in Excess of Net Income
Adjustment
Distributions in Excess of Net Income
Accumulated Other Comprehensive Income/(Loss), net
Noncontrolling Interest
Adjustment
Total
Consolidated Statements of Changes in Equity                  
Cumulative effect upon adoption of ASC 326 $ 46,201 $ 2,946 $ 5,781,975 $ (2,182) $ (2,462,132) $ (10,448) $ 30,772 $ (2,182) $ 3,389,314
Beginning Balance at Dec. 31, 2019 46,201 2,946 5,781,975 $ (2,182) (2,462,132) (10,448) 30,772 $ (2,182) 3,389,314
Consolidated Statements of Changes in Equity                  
Net income/(loss) attributable to UDR, Inc.         62,992       62,992
Net income/(loss) attributable to noncontrolling interests             9   9
Long Term Incentive Plan Unit grants/(vestings), net             (13,158)   (13,158)
Other comprehensive income/(loss)           (1,492)     (1,492)
Issuance/(forfeiture) of common and restricted shares, net   1 (229)           (228)
Conversion of Series E Cumulative Convertible Shares (1,436) 1 1,435            
Adjustment for conversion of noncontrolling interest of unitholders in the Operating Partnership and DownREIT Partnership   3 11,247           11,250
Common stock distributions declared         (212,422)       (212,422)
Preferred stock distributions declared-Series E         (2,128)       (2,128)
Adjustment to reflect redemption value of redeemable noncontrolling interests         182,990       182,990
Ending Balance at Jun. 30, 2020 44,765 2,951 5,794,428   (2,432,882) (11,940) 17,623   3,414,945
Consolidated Statements of Changes in Equity                  
Cumulative effect upon adoption of ASC 326 46,201 2,949 5,788,471   (2,360,636) (12,870) 14,275   3,478,390
Beginning Balance at Mar. 31, 2020 46,201 2,949 5,788,471   (2,360,636) (12,870) 14,275   3,478,390
Consolidated Statements of Changes in Equity                  
Net income/(loss) attributable to UDR, Inc.         57,771       57,771
Net income/(loss) attributable to noncontrolling interests             19   19
Long Term Incentive Plan Unit grants/(vestings), net             3,329   3,329
Other comprehensive income/(loss)           930     930
Issuance/(forfeiture) of common and restricted shares, net     1,103           1,103
Conversion of Series E Cumulative Convertible Shares (1,436) 1 1,435            
Adjustment for conversion of noncontrolling interest of unitholders in the Operating Partnership and DownREIT Partnership   1 3,419           3,420
Common stock distributions declared         (106,232)       (106,232)
Preferred stock distributions declared-Series E         (1,062)       (1,062)
Adjustment to reflect redemption value of redeemable noncontrolling interests         (22,723)       (22,723)
Ending Balance at Jun. 30, 2020 44,765 2,951 5,794,428   (2,432,882) (11,940) 17,623   3,414,945
Consolidated Statements of Changes in Equity                  
Cumulative effect upon adoption of ASC 326 44,765 2,951 5,794,428   (2,432,882) (11,940) 17,623   3,414,945
Cumulative effect upon adoption of ASC 326 44,765 2,966 5,881,383   (2,685,770) (9,144) 24,391   3,258,591
Beginning Balance at Dec. 31, 2020 44,765 2,966 5,881,383   (2,685,770) (9,144) 24,391   3,258,591
Consolidated Statements of Changes in Equity                  
Net income/(loss) attributable to UDR, Inc.         14,824       14,824
Net income/(loss) attributable to noncontrolling interests             16   16
Redemption of noncontrolling interests in consolidated real estate             (125)   (125)
Long Term Incentive Plan Unit grants/(vestings), net             (3,379)   (3,379)
Other comprehensive income/(loss)           843     843
Issuance/(forfeiture) of common and restricted shares, net   1 1,510           1,511
Issuance of common shares through public offering, net     (393)           (393)
Adjustment for conversion of noncontrolling interest of unitholders in the Operating Partnership and DownREIT Partnership   1 5,338           5,339
Common stock distributions declared         (215,260)       (215,260)
Preferred stock distributions declared-Series E         (2,113)       (2,113)
Adjustment to reflect redemption value of redeemable noncontrolling interests         (254,681)       (254,681)
Ending Balance at Jun. 30, 2021 44,765 2,968 5,887,838   (3,143,000) (8,301) 20,903   2,805,173
Consolidated Statements of Changes in Equity                  
Cumulative effect upon adoption of ASC 326 44,765 2,968 5,885,682   (2,923,073) (8,614) 14,673   3,016,401
Beginning Balance at Mar. 31, 2021 44,765 2,968 5,885,682   (2,923,073) (8,614) 14,673   3,016,401
Consolidated Statements of Changes in Equity                  
Net income/(loss) attributable to UDR, Inc.         11,720       11,720
Net income/(loss) attributable to noncontrolling interests             8   8
Long Term Incentive Plan Unit grants/(vestings), net             6,222   6,222
Other comprehensive income/(loss)           313     313
Issuance/(forfeiture) of common and restricted shares, net     1,707           1,707
Issuance of common shares through public offering, net     (393)           (393)
Adjustment for conversion of noncontrolling interest of unitholders in the Operating Partnership and DownREIT Partnership     842           842
Common stock distributions declared         (107,609)       (107,609)
Preferred stock distributions declared-Series E         (1,057)       (1,057)
Adjustment to reflect redemption value of redeemable noncontrolling interests         (122,981)       (122,981)
Ending Balance at Jun. 30, 2021 44,765 2,968 5,887,838   (3,143,000) (8,301) 20,903   2,805,173
Consolidated Statements of Changes in Equity                  
Cumulative effect upon adoption of ASC 326 $ 44,765 $ 2,968 $ 5,887,838   $ (3,143,000) $ (8,301) $ 20,903   $ 2,805,173