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Segment Reporting (Tables)
3 Months Ended
Mar. 31, 2022
Segment Reporting [Abstract]  
Schedule of segment reporting information
 For the Three Months Ended March 31, 2022
 Office PortfolioSHOPNon-SegmentConsolidated
Revenues:    
Rental income$54,997 $— $10,288 $65,285 
Residents fees and services— 245,448 — 245,448 
Total revenues54,997 245,448 10,288 310,733 
Expenses:    
Property operating expenses23,447 245,295 — 268,742 
Depreciation and amortization18,390 35,983 2,886 57,259 
General and administrative— — 7,285 7,285 
Acquisition and certain other transaction related costs
— — 928 928 
Total expenses41,837 281,278 11,099 334,214 
Gain on sale of properties327,542 252 — 327,794 
Losses on equity securities, net— — (8,553)(8,553)
Interest and other income— 199 196 395 
Interest expense(365)(494)(56,272)(57,131)
Loss on modification or early extinguishment of debt— — (483)(483)
Income (loss) from continuing operations before income tax expense and equity in earnings of investees340,337 (35,873)(65,923)238,541 
Income tax expense— — (1,472)(1,472)
Equity in earnings of investees3,354 — — 3,354 
Net income (loss)$343,691 $(35,873)$(67,395)$240,423 
 As of March 31, 2022
 Office PortfolioSHOP Non-SegmentConsolidated
Total assets$1,991,516 $2,981,824 $1,802,039 $6,775,379 
 For the Three Months Ended March 31, 2021
 Office PortfolioSHOPNon-SegmentConsolidated
Revenues:    
Rental income$93,323 $— $9,435 $102,758 
Residents fees and services— 259,966 — 259,966 
Total revenues93,323 259,966 9,435 362,724 
Expenses:    
Property operating expenses31,293 256,098 — 287,391 
Depreciation and amortization31,938 31,361 2,854 66,153 
General and administrative— — 7,542 7,542 
Impairment of assets— (174)— (174)
Total expenses63,231 287,285 10,396 360,912 
Loss on sale of properties(122)— — (122)
Losses on equity securities, net— — (8,339)(8,339)
Interest and other income— 2,433 402 2,835 
Interest expense(5,939)(528)(53,624)(60,091)
Loss on modification or early extinguishment of debt— — (2,040)(2,040)
Income (loss) from continuing operations before income tax expense24,031 (25,414)(64,562)(65,945)
Income tax expense— — (238)(238)
Net income (loss)24,031 (25,414)(64,800)(66,183)
Net income attributable to noncontrolling interest
(1,322)— — (1,322)
Net income (loss) attributable to common shareholders
$22,709 $(25,414)$(64,800)$(67,505)
 As of December 31, 2021
Office PortfolioSHOP Non-SegmentConsolidated
Total assets$2,282,652 $2,995,819 $1,345,043 $6,623,514