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CONSOLIDATED STATEMENTS OF EQUITY (USD $)
In Thousands
PREFERRED SHARES [Member]
COMMON SHARES [Member]
ACCUMULATED DISTRIBUTIONS IN EXCESS OF NET INCOME [Member]
Noncontrolling Interests [Member]
Total
Preferred Series A [Member]
ACCUMULATED DISTRIBUTIONS IN EXCESS OF NET INCOME [Member]
Preferred Series A [Member]
Preferred Series B [Member]
ACCUMULATED DISTRIBUTIONS IN EXCESS OF NET INCOME [Member]
Preferred Series B [Member]
Balance at Apr. 30, 2013 $ 138,674 $ 784,454 $ (310,341) $ 142,657 $ 755,444        
Balance (in shares) at Apr. 30, 2013 5,750 101,488              
Net income attributable to Investors Real Estate Trust and nonredeemable interests     11,865 1,541 13,406        
Distributions - common shares and units     (26,883)   (32,554)        
Distributions - common shares and units       (5,671)          
Distributions - preferred shares         (5,757) (1,186) (1,186) (4,571) (4,571)
Distribution reinvestment and share purchase plan   33,021     33,021        
DRIP Discount   3,893              
Share-based compensation   112     112        
Share-based compensation (in shares)   13              
Partnership units issued       3,480 3,480        
Redemption of units for common shares   946   (946) 0        
Redemption of units for common shares, shares (in shares)   160              
Contributions from nonredeemable noncontrolling interests - consolidated real estate entities       3,316 3,316        
Other   (17)   (560) (577)        
Other, shares (in shares)   0              
Balance at Oct. 31, 2013 138,674 818,516 (331,116) 143,817 769,891        
Balance, shares (in shares) at Oct. 31, 2013 5,750 105,554              
Balance at Apr. 30, 2014 138,674 843,268 (389,758) 128,362 720,546        
Balance (in shares) at Apr. 30, 2014 5,750 109,019              
Net income attributable to Investors Real Estate Trust and nonredeemable interests     4,963 538 5,501        
Distributions - common shares and units     (29,484)   (34,362)        
Distributions - common shares and units       (4,878)          
Distributions - preferred shares         (5,757) (1,186) (1,186) (4,571) (4,571)
Distribution reinvestment and share purchase plan   34,821     34,821        
DRIP Discount   4,212              
Share-based compensation   2,432     2,432        
Share-based compensation (in shares)   204              
Partnership units issued       100 100        
Redemption of units for common shares   37,700   (37,700) 0        
Redemption of units for common shares, shares (in shares)   6,374              
Contributions from nonredeemable noncontrolling interests - consolidated real estate entities       3,757 3,757        
Other       (370) (370)        
Balance at Oct. 31, 2014 $ 138,674 $ 918,221 $ (420,036) $ 89,809 $ 726,668        
Balance, shares (in shares) at Oct. 31, 2014 5,750 119,809