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Consolidated Statements Of Equity (USD $)
Preferred Stock [Member]
Common Stock [Member]
Treasury Stock, At Cost [Member]
Additional Paid-In Capital [Member]
Cumulative Distributions In Excess Of Net Income [Member]
Accumulated Other Comprehensive (Loss) [Member]
Cedar Shopping Centers, Inc. [Member]
Minority Interests In Consolidated Joint Ventures [Member]
Limited Partners' Interest In Operating Partnership [Member]
Noncontrolling Interests [Member]
Total
Balance at Dec. 31, 2011 $ 158,575,000 $ 4,076,000 $ (10,528,000) $ 718,974,000 $ (373,741,000) $ (3,513,000) $ 493,843,000 $ 56,511,000 $ 5,418,000 $ 61,929,000 $ 555,772,000
Balance, shares at Dec. 31, 2011 6,400,000 67,928,000                  
Net loss         (5,809,000)   (5,809,000)       (5,809,000)
Net loss, Noncontrolling Interests               1,046,000 (87,000) 959,000 (4,850,000)
Unrealized gain on change in fair value of cash flow hedges           287,000 287,000   1,000 1,000 288,000
Unrealized gain on change in fair value of cash flow hedge - unconsolidated joint venture           54,000 54,000       54,000
Share-based compensation, net   32,000 (983,000) 1,607,000     656,000       656,000
Share-based compensation, net, shares   527,000                  
Stock issuance expenses, net       (56,000)     (56,000)       (56,000)
Preferred distribution requirements         (3,531,000)   (3,531,000)       (3,531,000)
Distributions to common shareholders/ noncontrolling interests         (3,526,000)   (3,526,000) (1,623,000) (38,000) (1,661,000) (5,187,000)
Conversion of OP units into common stock   51,000   5,896,000     5,947,000   (2,050,000) (2,050,000) 3,897,000
Conversion of OP units into common stock, shares   851,000                  
Reallocation adjustment of limited partners' interest       48,000     48,000   (21,000) (21,000) 27,000
Balance at Mar. 31, 2012 $ 158,575,000 $ 4,159,000 $ (11,511,000) $ 726,469,000 $ (386,607,000) $ (3,172,000) $ 487,913,000 $ 55,934,000 $ 3,223,000 $ 59,157,000 $ 547,070,000
Balance, shares at Mar. 31, 2012 6,400,000 69,306,000