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CONSOLIDATED STATEMENTS OF EQUITY (DEFICIT) - USD ($)
shares in Thousands, $ in Thousands
Total
Cumulative Effect, Period of Adoption, Adjustment
Preferred Stock, Series D
Preferred Stock, Series F
Preferred Stock, Series G
Preferred Stock, Series H
Preferred Stock, Series I
Preferred Stock
Preferred Stock, Series D
Preferred Stock
Preferred Stock, Series F
Preferred Stock
Preferred Stock, Series G
Preferred Stock
Preferred Stock, Series H
Preferred Stock
Preferred Stock, Series I
Common Stock
Additional Paid-in Capital
Accumulated Deficit
Accumulated Deficit
Cumulative Effect, Period of Adoption, Adjustment
Accumulated Deficit
Preferred Stock, Series D
Accumulated Deficit
Preferred Stock, Series F
Accumulated Deficit
Preferred Stock, Series G
Accumulated Deficit
Preferred Stock, Series H
Accumulated Deficit
Preferred Stock, Series I
Noncontrolling Interests in Consolidated Entities
Redeemable Noncontrolling Interest in Operating Partnership
Beginning balance, shares (in shares) at Dec. 31, 2018               2,389 4,800 6,200 3,800 5,400 1,010                    
Beginning balance, value at Dec. 31, 2018 $ 453,105 $ 1,755           $ 24 $ 48 $ 62 $ 38 $ 54 $ 10 $ 1,815,273 $ (1,363,020) $ 1,755           $ 616 $ 80,743
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                              
Purchases of common stock (in shares)                         (2)                    
Purchases of common stock (1,031)                         (1,031)                  
Equity-based compensation 12,413                         12,413                 7,304
Forfeitures of restricted shares (in shares)                         (1)                    
Issuance of restricted shares/units (in shares)                         14                    
Issuance of restricted shares/units 0                                           28
Common stock issuance costs (91)                         (91)                  
Issuance of units for hotel acquisition 7,854                                           7,854
Dividends declared - common shares (31,116)                           (31,116)                
Dividends declared - preferred shares     $ (5,048) $ (8,849) $ (11,430) $ (7,125) $ (10,125)                   $ (5,048) $ (8,849) $ (11,430) $ (7,125) $ (10,125)    
Distributions to noncontrolling interests                                             (6,572)
Redemption value adjustment (9,445)                           (9,445)               9,445
Net income (loss) (113,747)                           (113,635)             (112) (28,932)
Ending balance, shares (in shares) at Dec. 31, 2019               2,389 4,800 6,200 3,800 5,400 1,021                    
Ending balance, value at Dec. 31, 2019 269,266             $ 24 $ 48 $ 62 $ 38 $ 54 $ 10 1,826,564 (1,558,038)             504 69,870
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                              
Purchases of common stock (in shares)                         (3)                    
Purchases of common stock (399)                         (399)                  
Equity-based compensation 5,916                         5,916                 4,830
Forfeitures of restricted shares (in shares)                         (5)                    
Issuance of restricted shares/units (in shares)                         19                    
Issuance of common stock, net (in shares)                         1,267                    
Issuance of common stock, net 31,872                       $ 13 31,859                  
Issuance of units for hotel acquisition 0                                            
PSU dividend claw back upon cancellation and forfeiture 606                           606               1,401
Dividends declared - preferred shares     (1,262) (2,212) (2,858) (1,781) (2,531)                   (1,262) (2,212) (2,858) (1,781) (2,531)    
Conversion of operating partnership units (in shares)                         20                    
Conversion of operating partnership units 959                         959                 (959)
Redemption value adjustment (36,817)                           (36,817)               36,817
Extinguishment of preferred stock (in shares)               (598) (1,909) (1,777) (1,131) (2,009) 4,117                    
Extinguishment of preferred stock 0             $ (6) $ (19) $ (18) $ (11) $ (20) $ (41) 55,444 (55,477)                
Net income (loss) (544,214)                           (543,876)             (338) (89,008)
Ending balance, shares (in shares) at Dec. 31, 2020               1,791 2,891 4,423 2,669 3,391 6,436                    
Ending balance, value at Dec. 31, 2020 (283,455)             $ 18 $ 29 $ 44 $ 27 $ 34 $ 64 1,809,455 (2,093,292)             166 22,951
Increase (Decrease) in Stockholders' Equity [Roll Forward]                                              
Purchases of common stock (in shares)                         (1)                    
Purchases of common stock (46)                         (46)                  
Equity-based compensation 7,429                         7,429                 2,596
Forfeitures of restricted shares (in shares)                         (4)                    
Issuance of restricted shares/units (in shares)                         251                    
Issuance of restricted shares/units 0                       $ 3 (3)                  
Issuance of common stock, net (in shares)                         20,031                    
Issuance of common stock, net 562,719                       $ 200 562,519                  
Issuance of units for hotel acquisition 0                                            
PSU dividend claw back upon cancellation and forfeiture 349                           349               518
Dividends declared - preferred shares     $ (4,342) $ (4,036) $ (4,943) $ (4,293) $ (4,111)                   $ (4,342) $ (4,036) $ (4,943) $ (4,293) $ (4,111)    
Conversion of operating partnership units (in shares)                         1                    
Conversion of operating partnership units 43                         43                 (43)
Redemption value adjustment (690)                           (690)               690
Extinguishment of preferred stock (in shares)               (617) (1,640) (2,891) (1,361) (2,138) 7,776                    
Extinguishment of preferred stock 0             $ (6) $ (17) $ (29) $ (14) $ (21) $ (78) (616) 607                
Acquisition of noncontrolling interest in consolidated entity (200)                         (107)               (93)  
Net income (loss) (267,078)                           (267,005)             (73) (3,970)
Ending balance, shares (in shares) at Dec. 31, 2021               1,174 1,251 1,532 1,308 1,253 34,490                    
Ending balance, value at Dec. 31, 2021 $ (2,654)             $ 12 $ 12 $ 15 $ 13 $ 13 $ 345 $ 2,379,906 $ (2,382,970)             $ 0 $ 22,742