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Condensed Consolidated Statements Of Equity (USD $)
Total
Common shares of beneficial interest
Additional paid-in capital
Distributions in excess of net income
Treasury shares, at cost
Accumulated other comprehensive loss
Non-controlling interests
Beginning balance at Dec. 31, 2012 $ 2,626,708,000 $ 962,000 $ 3,587,505,000 $ (598,951,000) $ (425,355,000) $ (1,062,000) $ 63,609,000
Net income 139,370,000     135,648,000     3,722,000
Other comprehensive income 27,000         27,000  
Common shares issued 40,182,000 6,000 40,176,000        
Net share awards 9,232,000 (1,000) (3,320,000)   12,553,000    
Employee share purchase plan 367,000   187,000   180,000    
Common share options exercised 2,621,000   664,000   1,957,000    
Conversions of operating partnership units 0   71,000       (71,000)
Cash distributions declared to equity holders (113,377,000)     (110,983,000)     (2,394,000)
Ending balance at Jun. 30, 2013 2,705,130,000 967,000 3,625,283,000 (574,286,000) (410,665,000) (1,035,000) 64,866,000
Beginning balance at Dec. 31, 2013 2,760,181,000 967,000 3,596,069,000 (494,167,000) (410,227,000) (1,106,000) 68,645,000
Net income 77,357,000     75,308,000     2,049,000
Other comprehensive income 29,000         29,000  
Net share awards 9,880,000    (1,255,000)   11,135,000    
Employee share purchase plan 886,000   555,000   331,000    
Common share options exercised 647,000 1,000 359,000   287,000    
Change in classification of deferred compensation plan (2,156,000)   (2,156,000)        
Change in redemption value of non-qualified share awards (14,819,000)     (14,819,000)      
Diversification of share awards within deferred compensation plan 2,428,000   1,770,000 658,000      
Cash distributions declared to equity holders (119,536,000)     (117,030,000)     (2,506,000)
Other (28,000) (1,000) (27,000)        
Ending balance at Jun. 30, 2014 $ 2,714,869,000 $ 967,000 $ 3,595,315,000 $ (550,050,000) $ (398,474,000) $ (1,077,000) $ 68,188,000