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Basis of Presentation and Summary of Significant Accounting Policies - Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
SUPPLEMENTAL CASH FLOW INFORMATION:      
Interest paid, net of amounts capitalized $ 47,554 $ 32,795 $ 45,171
Cash paid for income taxes 931 1,711 22,930
Non-cash transactions associated with the acquisitions      
Buildings and improvements     11,109
Intangible assets, net     13,377
Mark to market adjustment on an assumed construction loan     363
Right-of-use lease assets - finance leases     15,036
Other assets, net     5,629
Accrued liabilities and other     (1,854)
Lease liabilities - finance leases     15,151
Contributions from redeemable noncontrolling interests in consolidated real estate partnerships     13,756
Other non-cash investing and financing transactions:      
Right-of-use lease assets - operating leases   718 2,336
Lease liabilities - operating leases   718 1,587
Issuance of seller financing in connection with disposition of real estate   17,432  
Contribution of real estate to unconsolidated real estate partnerships   5,700  
Accrued capital expenditures (at end of year) $ 11,962 $ 40,340 $ 41,435