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Consolidated Statements of Changes in Equity - USD ($)
$ in Thousands
Total
Class A Common Stock
Class B Common Stock
Common Stock
Class A Common Stock
Common Stock
Class B Common Stock
Additional Paid- in-Capital
Treasury Stock
Retained Earnings (Dividends in Excess of Earnings)
Accumulated Other Comprehensive Income (Loss)
Operating Partnership
Consolidated Joint Ventures
Beginning Balance (in shares) at Dec. 31, 2018       103,941,000 13,118,000            
Beginning Balance at Dec. 31, 2018 $ 1,643,635     $ 105 $ 13 $ 1,471,157 $ (32,815) $ 11,342 $ (4,649) $ 188,427 $ 10,055
Increase Decrease in Stockholders' Equity                      
Contributions 77                   77
Distributions (4,309)                 (4,253) (56)
Amortization of equity based compensation 11,292         11,292          
Grants of restricted stock (in shares)       1,478,000              
Grants of restricted stock       $ 1   (1)          
Re-issuance of treasury stock (in shares)       63,000              
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (in shares)       (455,000)              
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (7,984)           (7,984)        
Dividends (36,243)             (36,243)      
Net income (loss) 24,530             22,175   2,802 (447)
Other comprehensive income (loss) 13,193               11,731 1,462  
Rebalancing of ownership percentage between Company and Operating Partnership           689     3 (692)  
Stock dividends (in shares)       1,434,000 181,000            
Stock dividends       $ 1   23,822   (23,823)      
Exchange of noncontrolling interest for common stock (in shares)   101,000 (101,000) 101,000 (101,000)            
Exchange of noncontrolling interest for common stock 52         1,493     (5) (1,436)  
Ending Balance (in shares) at Mar. 31, 2019       106,562,000 13,198,000            
Ending Balance at Mar. 31, 2019 1,644,243     $ 107 $ 13 1,508,452 (40,799) (26,549) 7,080 186,310 9,629
Beginning Balance (in shares) at Dec. 31, 2019       107,509,000 12,160,000            
Beginning Balance at Dec. 31, 2019 1,638,977 [1]     $ 108 $ 12 1,532,384 (42,699) (35,746) 4,218 172,054 8,646
Increase Decrease in Stockholders' Equity                      
Contributions 302                   302
Distributions (7,429)                 (4,133) (3,296)
Amortization of equity based compensation 14,026         14,026          
Purchase of treasury stock (in shares)       (146,000)              
Purchase of treasury stock (1,206)           (1,206)        
Re-issuance of treasury stock (in shares)       1,466,000              
Re-issuance of treasury stock       $ 1   (1)          
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (in shares)       (486,000)              
Shares acquired to satisfy minimum required federal and state tax withholding on vesting restricted stock and units (9,078)     $ 0     (9,078)        
Forfeitures       (6,000)              
Dividends (36,900)             (36,900)      
Net income (loss) (14,061)             (15,728)   148 1,519
Other comprehensive income (loss) (78,007)               (70,142) (7,865)  
Rebalancing of ownership percentage between Company and Operating Partnership 0         (266)     4 262  
Ending Balance (in shares) at Mar. 31, 2020       108,337,000 12,160,000            
Ending Balance at Mar. 31, 2020 $ 1,500,827 [1]     $ 109 $ 12 $ 1,546,143 $ (52,983) $ (94,171) $ (65,920) $ 160,466 $ 7,171
[1]
Includes amounts relating to consolidated variable interest entities. See Note 1.