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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net Loss $ (115) $ (9,014)
Adjustments to Reconcile Net Loss to Net Cash Provided by Operating Activities:    
Depreciation 75,888 70,655
Amortization of Deferred Financing Costs 2,593 3,237
Other Amortization 23,903 26,742
Impairment of Real Estate, Net 1,246 (2,303)
Provision for Bad Debt 667 1,019
Mark-to-Market Loss on Interest Rate Protection Agreements 334 1,560
Loss from Retirement of Debt 6,646 4,604
Prepayment Penalties and Fees Associated with Retirement of Debt (440) (1,268)
Equity in Income of Joint Ventures (156) (907)
Distributions from Joint Ventures 27 949
Gain on Sale of Real Estate (15,782) (14,721)
Gain on Change in Control of Interests (776) (689)
Decrease (Increase) in Tenant Accounts Receivable, Prepaid Expenses and Other Assets, Net 1,609 (633)
Increase in Deferred Rent Receivable (2,384) (5,746)
Increase (Decrease) in Accounts Payable, Accrued Expenses, Other Liabilities, Rents Received in Advance and Security Deposits 1,190 (4,338)
Decrease in Restricted Cash   117
Payments of Premiums and Discounts Associated with Senior Unsecured Notes (3,619) (5,157)
Net Cash Provided by Operating Activities 90,831 64,107
CASH FLOWS FROM INVESTING ACTIVITIES:    
Purchases of and Additions to Investment in Real Estate and Lease Costs (113,032) (60,950)
Net Proceeds from Sales of Investments in Real Estate 77,944 70,080
Contributions to and Investments in Joint Ventures (184) (26)
Distributions from Joint Ventures   717
Repayments of Notes Receivable 14,226 10,173
Increase in Lender Escrows   (318)
Net Cash (Used In) Provided by Investing Activities (21,046) 19,676
CASH FLOWS FROM FINANCING ACTIVITIES:    
Debt and Equity Issuance Costs (1,465) (3,304)
Proceeds from the Issuance of Common Stock, Net of Underwriter's Discount 134,905 202,845
Repurchase and Retirement of Restricted Stock (855) (1,001)
Preferred Dividends (13,871) (15,254)
Payments on Interest Rate Swap Agreement (819) (381)
Proceeds from Origination of Mortgage Loans Payable 100,599 255,900
Repayments on Mortgage and Other Loans Payable (21,468) (66,927)
Repayments on Senior Unsecured Notes (152,170) (217,522)
Proceeds from Unsecured Credit Facility 261,000 235,500
Repayments on Unsecured Credit Facility (383,000) (451,553)
Net Cash Used in Financing Activities (77,144) (61,697)
Net Effect of Exchange Rate Changes on Cash and Cash Equivalents 14 (136)
Net (Decrease) Increase in Cash and Cash Equivalents (7,359) 22,086
Cash and Cash Equivalents, Beginning of Period 10,153 25,963
Cash and Cash Equivalents, End of Period $ 2,808 $ 47,913