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Consolidated Statement 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' OP Units [Member]
Noncontrolling Interests [Member]
Total
Balance at Dec. 31, 2010 $ 158,575,000 $ 3,991,000 $ (10,367,000) $ 712,548,000 $ (231,275,000) $ (3,406,000) $ 630,066,000 $ 62,050,000 $ 6,355,000 $ 68,405,000 $ 698,471,000
Balance, shares at Dec. 31, 2010 6,400,000 66,520,000                  
Net income (loss)         (103,561,000)   (103,561,000) (2,507,000) (1,320,000) (3,827,000) (107,388,000)
Unrealized gain (loss) on change in fair value of cash flow hedges           11,000 11,000   (5,000) (5,000) 6,000
Unrealized gain (loss) on change in fair value of cash flow hedge - unconsolidated joint venture           (118,000) (118,000)       (118,000)
Share-based compensation, net   41,000 (161,000) 1,753,000     1,633,000       1,633,000
Share-based compensation, net, shares   676,000                  
Net proceeds from the sale of shares   2,000   223,000     225,000       225,000
Net proceeds from the sale of shares, shares   39,000                  
Net proceeds from dividend reinvestment and direct stock purchase plan   42,000   4,038,000     4,080,000       4,080,000
Net proceeds from dividend reinvestment and direct stock purchase plan, shares   693,000                  
Preferred stock dividends         (14,200,000)   (14,200,000)       (14,200,000)
Distributions to common shareholders/ noncontrolling interests         (24,705,000)   (24,705,000) (3,301,000) (276,000) (3,577,000) (28,282,000)
Contribution from minority interest partners               269,000   269,000 269,000
Reallocation adjustment of limited partners' interest       412,000     412,000   664,000 664,000 1,076,000
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 income (loss)         29,706,000   29,706,000 4,335,000 (35,000) 4,300,000 34,006,000
Unrealized gain (loss) on change in fair value of cash flow hedges           835,000 835,000   1,000 1,000 836,000
Unrealized gain (loss) on change in fair value of cash flow hedge - unconsolidated joint venture           118,000 118,000       118,000
Share-based compensation, net   165,000 (11,174,000) 14,631,000     3,622,000       3,622,000
Share-based compensation, net, shares   2,754,000                  
Net proceeds from the sale of shares 128,787,000     (4,417,000)     124,370,000       124,370,000
Net proceeds from the sale of shares, shares 5,429,000                    
Redemptions/repurchases of Series A shares (123,693,000)     3,754,000 (4,998,000)   (124,937,000)       (124,937,000)
Redemptions/repurchases of Series A shares, shares (4,992,000)                    
Common stock sales and issuance expenses, net       (172,000)     (172,000)       (172,000)
Common stock sales and issuance expenses, net, shares   1,000                  
Preferred stock dividends         (14,819,000)   (14,819,000)       (14,819,000)
Distributions to common shareholders/ noncontrolling interests         (14,402,000)   (14,402,000) (4,182,000) (74,000) (4,256,000) (18,658,000)
Conversions of OP Units into common stock   68,000   7,827,000     7,895,000   (3,998,000) (3,998,000) 3,897,000
Conversions of OP Units into common stock, shares   1,134,000                  
Reallocation adjustment of limited partners' interest       2,000     2,000   78,000 78,000 80,000
Acquisition of noncontrolling interest       7,595,000     7,595,000 (13,743,000)   (13,743,000) (6,148,000)
Disposition of noncontrolling interest               (36,840,000)   (36,840,000) (36,840,000)
Balance at Dec. 31, 2012 163,669,000 4,309,000 (21,702,000) 748,194,000 (378,254,000) (2,560,000) 513,656,000 6,081,000 1,390,000 7,471,000 521,127,000
Balance, shares at Dec. 31, 2012 6,837,000 71,817,000                  
Net income (loss)         14,448,000   14,448,000 (247,000) 3,000 (244,000) 14,204,000
Unrealized gain (loss) on change in fair value of cash flow hedges           1,257,000 1,257,000   3,000 3,000 1,260,000
Unrealized gain (loss) on change in fair value of cash flow hedge - unconsolidated joint venture                       
Share-based compensation, net   23,000 1,511,000 1,814,000     3,348,000       3,348,000
Share-based compensation, net, shares   378,000                  
Net proceeds from the sale of shares 61,874,000     (2,025,000)     59,849,000       59,849,000
Net proceeds from the sale of shares, shares 2,521,000                    
Redemptions/repurchases of Series A shares (34,882,000)     1,056,000 (1,166,000)   (34,992,000)       (34,992,000)
Redemptions/repurchases of Series A shares, shares (1,408,000)                    
Common stock sales and issuance expenses, net       (64,000)     (64,000)       (64,000)
Common stock sales and issuance expenses, net, shares   2,000                  
Preferred stock dividends         (14,413,000)   (14,413,000)       (14,413,000)
Distributions to common shareholders/ noncontrolling interests         (14,434,000)   (14,434,000) (665,000) (38,000) (703,000) (15,137,000)
Conversions of OP Units into common stock       24,000     24,000   (24,000) (24,000)  
Conversions of OP Units into common stock, shares   3,000                  
Issuance of OP Units                 1,500,000 1,500,000 1,500,000
Redemptions of OP Units                 (10,000) (10,000) (10,000)
Reallocation adjustment of limited partners' interest       (498,000)     (498,000)   531,000 531,000 33,000
Acquisition of noncontrolling interest       (504,000)     (504,000) (1,048,000)   (1,048,000) (1,552,000)
Disposition of noncontrolling interest               81,000   81,000 81,000
Balance at Dec. 31, 2013 $ 190,661,000 $ 4,332,000 $ (20,191,000) $ 747,997,000 $ (393,819,000) $ (1,303,000) $ 527,677,000 $ 4,202,000 $ 3,355,000 $ 7,557,000 $ 535,234,000
Balance, shares at Dec. 31, 2013 7,950,000 72,200,000