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Derivative Instruments - Narrative (Details)
3 Months Ended 9 Months Ended
Nov. 17, 2015
USD ($)
Apr. 01, 2015
USD ($)
Mar. 04, 2015
USD ($)
Aug. 22, 2013
USD ($)
Jul. 31, 2013
USD ($)
Feb. 11, 2011
USD ($)
Sep. 30, 2016
USD ($)
derivative
Sep. 30, 2015
USD ($)
Sep. 30, 2016
USD ($)
derivative
Sep. 30, 2015
USD ($)
Jul. 31, 2016
Jul. 01, 2016
Jun. 01, 2016
May 03, 2016
USD ($)
Dec. 31, 2015
USD ($)
derivative
May 01, 2015
Aug. 21, 2013
USD ($)
Jan. 11, 2012
Mar. 16, 2011
Derivative                                      
Notes payable             $ 2,427,440,000   $ 2,427,440,000           $ 2,278,445,000        
Derivative assets             0   0           2,061,000        
Derivative liabilities             22,413,000   22,413,000           2,010,000        
Cash flow hedge adjustment                 7,700,000                    
Level 2                                      
Derivative                                      
Derivative assets             0   0           2,061,000        
Derivative liabilities             22,413,000   22,413,000           2,010,000        
Unsecured Debt                                      
Derivative                                      
Notes payable             1,845,000,000   $ 1,845,000,000           1,555,000,000        
5 Year Term Loan Facility 2015 | Unsecured Debt                                      
Derivative                                      
Term of loan facility   5 years                                  
5 Year Term Loan Facility 2015 | Unsecured Debt | LIBOR | Minimum                                      
Derivative                                      
Adjusted interest rate                       2.75%       2.66%      
5 Year Term Loan Facility 2015 | Unsecured Debt | LIBOR | Maximum                                      
Derivative                                      
Adjusted interest rate                       3.65%       3.56%      
New Credit Agreement - Term Loan | Unsecured Debt | LIBOR | Minimum                                      
Derivative                                      
Basis spread on variable rate   1.30%                                  
New Credit Agreement - Term Loan | Unsecured Debt | LIBOR | Maximum                                      
Derivative                                      
Basis spread on variable rate   2.20%                                  
7 Year Term Loan Facility 2015 | Unsecured Debt                                      
Derivative                                      
Term of loan facility   7 years                                  
Face amount   $ 350,000,000                                  
7 Year Term Loan Facility 2015 | Unsecured Debt | LIBOR | Minimum                                      
Derivative                                      
Adjusted interest rate                       3.36%       3.21%      
7 Year Term Loan Facility 2015 | Unsecured Debt | LIBOR | Maximum                                      
Derivative                                      
Adjusted interest rate                       4.31%       4.16%      
7-Year Term Loan due November 2022 | Unsecured Debt                                      
Derivative                                      
Term of loan facility 7 years               7 years                    
Face amount $ 125,000,000                                    
Notes payable             $ 125,000,000   $ 125,000,000           $ 0        
7-Year Term Loan due November 2022 | Unsecured Debt | LIBOR | Minimum                                      
Derivative                                      
Adjusted interest rate                         3.03%            
Basis spread on variable rate                 1.60%                    
7-Year Term Loan due November 2022 | Unsecured Debt | LIBOR | Maximum                                      
Derivative                                      
Adjusted interest rate                         3.98%            
Basis spread on variable rate                 2.55%                    
Sunset Gower Sunset Bronson                                      
Derivative                                      
Term of loan facility           5 years                          
Notes payable       $ 97,000,000   $ 92,000,000                     $ 92,000,000    
Increase in borrowing capacity     $ 160,000,000                                
Sunset Gower Sunset Bronson | LIBOR                                      
Derivative                                      
Basis spread on variable rate       2.25%   3.50%                          
Met Park North                                      
Derivative                                      
Term of loan facility         7 years                            
Adjusted interest rate             3.71%   3.71%                    
Notes payable         $ 64,500,000                            
Met Park North | LIBOR                                      
Derivative                                      
Basis spread on variable rate         1.55%                            
Interest Rate Cap | Sunset Gower Sunset Bronson | LIBOR                                      
Derivative                                      
Interest rate cap                                   2.00% 3.715%
Interest Rate Cap | Sunset Gower Sunset Bronson, Loan A                                      
Derivative                                      
Notional amount of interest rate cash flow hedge derivatives       $ 50,000,000                              
Fixed interest rate       5.97%                              
Interest Rate Cap | Sunset Gower Sunset Bronson, Loan B                                      
Derivative                                      
Notional amount of interest rate cash flow hedge derivatives       $ 42,000,000                              
Fixed interest rate       4.25%                              
Interest Rate Contract                                      
Derivative                                      
Notional amount   $ 300,000,000                                  
Interest Rate Contract | 5 Year Term Loan Facility 2015                                      
Derivative                                      
Fixed interest rate                               1.36%      
Interest Rate Contract | 7 Year Term Loan Facility 2015                                      
Derivative                                      
Fixed interest rate                               1.61%      
Unrealized gain on ineffective portion of derivative instruments             $ 900,000                        
Unrealized loss on ineffective portion of derivative instruments               $ 0 $ 1,600,000 $ 0                  
Interest Rate Contract | 7-Year Term Loan due November 2022                                      
Derivative                                      
Notional amount                           $ 125,000,000          
Fixed interest rate                           1.43%          
Interest Rate Contract | Met Park North | LIBOR                                      
Derivative                                      
Interest rate cap         2.16%                            
Interest Rate Floor | 5 Year Term Loan Facility 2015                                      
Derivative                                      
Derivative, interest rate floor                     0.00%                
Interest Rate Floor | 7-Year Term Loan due November 2022 | LIBOR                                      
Derivative                                      
Derivative, interest rate floor                     0.00%                
Designated as Hedging Instrument | Interest Rate Cap                                      
Derivative                                      
Number of derivative instruments held | derivative             6   6           2        
Notional amount of interest rate cash flow hedge derivatives             $ 839,500,000   $ 839,500,000           $ 92,000,000        
Designated as Hedging Instrument | Interest Rate Swap                                      
Derivative                                      
Number of derivative instruments held | derivative                             5        
Notional amount of interest rate cash flow hedge derivatives                             $ 714,500,000