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Supplemental Disclosure of Cash Flow Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
SUPPLEMENTAL DISCLOSURE OF CASH FLOW INFORMATION:      
Cash paid for interest, net of amounts capitalized $ 507,495 $ 452,726 $ 118,365
Cash paid for income taxes, net of refunds 14,476 53,017 7,190
SUPPLEMENTAL DISCLOSURE OF NONCASH INVESTING AND FINANCING ACTIVITIES:      
Dividends and distributions payable 84,013 188,202 65,972
Net assets of CLNY Investment Entities deconsolidated, net of cash and restricted cash contributed (Note 4) 936,547 0 0
Redemption of OP Units for common stock 29,034 22,831 18,571
Improvements in operating real estate in accrued and other liabilities 2,249 18,221 0
Deconsolidation of net assets of securitization trusts (Note 15) 131,386 0 0
Increase in contributions receivable from noncontrolling interests 29,721 0 0
Assets held for sale contributed to equity method investee 20,350 0 0
Deferred tax liabilities assumed by buyer of related real estate 26,629 0 0
Debt assumed by buyer in sale of real estate 196,416 1,258,558 0
Foreclosures and exchanges of loans receivable for real estate 47,097 54,615 128,124
Share repurchase payable 7,567 0 0
Proceeds from loan repayments and asset sales held in escrow 19,425 27,426 0
Distributions payable to noncontrolling interests included in other liabilities 19,297 10,786 0
Net assets of investment entity deconsolidated, net of cash and restricted cash contributed 0 153,368 0
Investment deposits applied to acquisition of loans receivable, real estate and CPI Group 0 66,020 0
Assets acquired in Merger, net of cash and restricted cash assumed (Note 3) 0 16,684,675 0
Liabilities assumed in Merger (Note 3) 0 11,249,183 0
Noncontrolling interests assumed in Merger (Note 3) 0 592,690 0
Common stock issued for acquisition of NSAM and NRF (Note 3) 0 5,710,134 0
Preferred stock issued for acquisition of NRF (Note 3) 0 1,010,320 0
Net assets acquired in CPI restructuring, net of cash and restricted cash assumed (Note 3) 0 219,278 0
Net assets acquired in THL Hotel Portfolio, net of cash and restricted cash assumed (Note 3) 0 326,679 0
Net assets of sponsored fund consolidated, net of cash and restricted cash assumed (Note 15) 0 13,370 0
Contributions receivable from noncontrolling interests 25,501 0
Exchange of notes for class A common shares 0 3,279 0
Assets of consolidated securitization trust 0 58,296 0
Liabilities of consolidated securitization trust 0 56,928 0
Net settlement of redemption and investment in equity method investee $ 0 $ 0 $ 117,241