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CONSOLIDATED STATEMENT OF CHANGES IN EQUITY - USD ($)
$ in Thousands
Total
Urban Edge Properties LP
Urban Edge Properties LP
Accumulated Earnings (Deficit)
Urban Edge Properties LP
Consolidated Subsidiaries
Urban Edge Properties LP
General Partner
Urban Edge Properties LP
Limited Partners
Common Shares
Additional Paid-In Capital
Accumulated Earnings (Deficit)
Operating Partnership
Consolidated Subsidiaries
Beginning balance (in shares) at Dec. 31, 2015         99,290,952 6,150,224 99,290,952        
Beginning balance at Dec. 31, 2015 $ 471,454 $ 471,454 $ (40,813) $ 357 $ 476,362 $ 35,548 $ 993 $ 475,369 $ (38,442) $ 33,177 $ 357
Increase (Decrease) in Stockholders' Equity [Roll Forward]                      
Net income attributable to common shareholders 90,815 96,627 96,627           90,815    
Net income attributable to noncontrolling interests 5,815 3   3           5,812 3
Common units issued as a result of common shares issued by Urban Edge (in shares)         465,534            
Common units issued as a result of common shares issued by Urban Edge   8,949 (348)   $ 9,297            
Limited partnership units issued, net (in shares)           228,480          
Limited partnership units issued, net   0                  
Common shares issued (in shares)             465,534        
Common shares issued 8,949           $ 4 9,293 (348)    
Dividends to common shareholders ($0.66 per share) (81,240)               (81,240)    
Distributions to redeemable NCI ($0.66 per unit) (5,071)                 (5,071)  
Distributions to Partners ($0.66 per unit)   (86,311) (86,311)                
Share-based compensation expense 5,433 5,433 149   $ 3,751 $ 1,533   3,751 149 1,533  
Share-based awards retained for taxes (in shares)         (1,586)   (1,586)        
Share-based awards retained for taxes (38) (38)     $ (38)     (38)      
Ending balance (in shares) at Dec. 31, 2016         99,754,900 6,378,704 99,754,900        
Ending balance at Dec. 31, 2016 496,117 496,117 (30,696) 360 $ 489,372 $ 37,081 $ 997 488,375 (29,066) 35,451 360
Increase (Decrease) in Stockholders' Equity [Roll Forward]                      
Net income attributable to common shareholders 67,070 72,894 72,894           67,070    
Net income attributable to noncontrolling interests 5,868 44   44           5,824 44
Common units issued as a result of common shares issued by Urban Edge (in shares)         14,083,137            
Common units issued as a result of common shares issued by Urban Edge   348,404 (319)   $ 348,723            
Limited partnership units issued, net (in shares)           6,434,250          
Limited partnership units issued, net 171,084 171,084     105,200 $ 65,884   105,200   65,884  
Common shares issued (in shares)             14,083,137        
Common shares issued 348,404           $ 141 348,582 (319)    
Dividends to common shareholders ($0.66 per share) (95,381)               (95,381)    
Distributions to redeemable NCI ($0.66 per unit) (9,471)                 (9,471)  
Distributions to Partners ($0.66 per unit)   (104,852) (104,852)                
Share-based compensation expense 7,137 7,137 75   $ 4,532 $ 2,530   4,532 75 2,530  
Share-based awards retained for taxes (in shares)         (10,508)   (10,508)        
Share-based awards retained for taxes $ (287) $ (287)     $ (287)     (287)      
Ending balance (in shares) at Dec. 31, 2017 113,827,529 113,827,529     113,827,529 12,812,954 113,827,529        
Ending balance at Dec. 31, 2017 $ 990,541 $ 990,541 (62,898) 404 $ 947,540 $ 105,495 $ 1,138 946,402 (57,621) 100,218 404
Increase (Decrease) in Stockholders' Equity [Roll Forward]                      
Net income attributable to common shareholders 105,150 116,918 116,918           105,150    
Net income attributable to noncontrolling interests 11,813 45   45           11,768 45
Common units issued as a result of common shares issued by Urban Edge (in shares)         106,116            
Common units issued as a result of common shares issued by Urban Edge   477 (172)   $ 649            
Units redeemed for common shares (in shares)         429,110 (429,110) 429,110        
Units redeemed for common shares 3,504 3,504     $ 3,504   $ 4 3,500      
Limited partnership units issued, net (in shares)           352,789          
Limited partnership units issued, net   0                  
Reallocation of noncontrolling interests (3,504) (3,504)     1,263 $ (4,767)   1,263   (4,767)  
Common shares issued (in shares)             106,116        
Common shares issued 477           $ 2 647 (172)    
Dividends to common shareholders ($0.66 per share) (100,244)               (100,244)    
Distributions to redeemable NCI ($0.66 per unit) (11,116)                 (11,116)  
Distributions to Partners ($0.66 per unit)   (111,360) (111,360)                
Share-based compensation expense 9,741 9,741 30   $ 4,992 $ 4,719   4,992 30 4,719  
Share-based awards retained for taxes (in shares)         (17,190)   (17,190)        
Share-based awards retained for taxes $ (385) $ (385)     $ (385)   $ (1) (384)      
Ending balance (in shares) at Dec. 31, 2018 114,345,565 114,345,565     114,345,565 12,736,633 114,345,565        
Ending balance at Dec. 31, 2018 $ 1,005,977 $ 1,005,977 $ (57,482) $ 449 $ 957,563 $ 105,447 $ 1,143 $ 956,420 $ (52,857) $ 100,822 $ 449