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Supplemental Information to Statements of Cash Flows (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Supplemental Cash Flows [Line Items]        
Cash and cash equivalents $ 409,809 $ 516,675 $ 481,316  
Restricted cash reserves 23,516 38,652 55,070  
Cash, cash equivalents, and restricted cash reserves 433,325 555,327 536,386 $ 713,869
Interest Paid, Excluding Capitalized Interest, Operating Activities 103,711 89,827 87,180  
Income taxes paid 2,220 2,538 1,255  
Operating cash flow lease payments for operating leases 15,226 16,899 15,742  
Right-of-Use Asset Obtained in Exchange for Operating Lease Liability 0 (5,016) 0  
Right-of-Use Asset and Operating Lease Liability. Remeasurement Adjustment (1,165) 0 (2,473)  
Right-of-use asset and lease liability reclassifications to land due to acquisition 1,187 0 0  
Supplemental Cash Flow Information, Hotel Acquisitions [Abstract]        
Purchase prices 160,500 0 59,000  
Increase (Decrease) in Deposit Assets (2,400) 0 0  
Asset Acquisition, Consideration Transferred, Transaction Cost 892 0 1,110  
Operating prorations (243) 0 (802)  
Acquisitions, net 158,749 0 59,308  
In connection with the sales of hotel properties, the Company recorded the following:        
Sales prices 20,778 0 49,900  
Transaction costs (1,116) 0 (834)  
Operating prorations (159) 0 (991)  
Proceeds from sales of hotel properties, net 19,503 0 48,075  
Supplemental non-cash transactions        
Change in fair market value of designated interest rate swaps (8,874) (17,929) 63,570  
Accrued capital expenditures 27,172 22,144 17,645  
Distributions payable 30,634 22,500 14,622  
Accumulated Other Comprehensive Loss        
Supplemental non-cash transactions        
Change in fair market value of designated interest rate swaps $ (8,874) $ (17,929) $ 63,570