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Consolidated Statement of Equity (Unaudited) (USD $)
In Thousands, except Share data, unless otherwise specified
Total
$0.001 Par Value Common Stock
Additional Paid-in Capital
Distributions in Excess of Accumulated Earnings
Deferred Compensation Obligation
Accumulated Other Comprehensive Income (Loss)
Treasury Stock
Total W.P. Carey Members
Noncontrolling interest
Balance - beginning of period at Dec. 31, 2012 $ 2,257,323 $ 69 $ 2,175,820 $ (172,182) $ 8,358 $ (4,649) $ (20,270) $ 1,987,146 $ 270,177
Beginning equity balance - shares at Dec. 31, 2012   68,485,525              
W.P. Carey Stockholders                  
Reclassification of Estate shareholder shares 40,000   40,000         40,000  
Exercise of stock options and employee purchase under the employee share purchase plan, value 2,312   2,312         2,312  
Exercise of stock options and employee purchase under the employee share purchase plan, shares   55,423              
Grants issued in connection with services rendered, shares   295,304              
Shares issued under share incentive plans, value (9,183)   (9,183)         (9,183)  
Shares issued under share incentive plans, shares   47,289              
Contributions from noncontrolling interest 65,145               65,145
Windfall tax benefits - share incentive plan 12,817   12,817         12,817  
Amortization of stock-based compensation expense 37,196   34,737   2,459     37,196  
Distributions to noncontrolling interests (71,820)               (71,820)
Distributions declared (244,734)     (245,271) 537     (244,734)  
Purchase of treasury stock from related party, value (40,000)           (40,000) (40,000)  
Purchase of treasury stock from related party, shares   (616,971)              
Foreign currency translation (5)               (5)
Net income 131,812     98,876       98,876 32,936
Other comprehensive income (loss):                  
Foreign currency translation adjustments 21,848         19,965   19,965 1,883
Realized and unrealized gain (loss) on derivative instruments 20         20   20  
Balance - end of period at Dec. 31, 2013 2,202,731 69 2,256,503 (318,577) 11,354 15,336 (60,270) 1,904,415 298,316
Ending equity balance - shares at Dec. 31, 2013 68,266,570 68,266,570              
W.P. Carey Stockholders                  
Shares issued to stockholders of CPA:16 in connection with the CPA:16 Merger, value 1,815,521 31 1,815,490         1,815,521  
Shares issued to stockholders of CPA:16 in connection with the CPA:16 Merger, shares   30,729,878              
Purchase of the remaining interests in less-than-wholly-owned investments that we already consolidate in connection with the CPA®:16 Merger (281,577)   (42,015)         (42,015) (239,562)
Purchase of noncontrolling interests in connection with the CPA®:16 Merger 99,469               99,469
Exercise of stock options and employee purchase under the employee share purchase plan, value 91   91         91  
Exercise of stock options and employee purchase under the employee share purchase plan, shares   2,961              
Grants issued in connection with services rendered, shares, value (15,735)   (15,735)         (15,735)  
Grants issued in connection with services rendered, shares   352,188              
Shares issued under share incentive plans, value (146)   (146)         (146)  
Shares issued under share incentive plans, shares   7,735              
Deferral of vested shares     (14,146)   14,146        
Contributions from noncontrolling interest 123                
Windfall tax benefits - share incentive plan 5,449   5,449         5,449  
Amortization of stock-based compensation expense 7,043   7,043         7,043  
Redemption value adjustment 306   306         306  
Distributions to noncontrolling interests (6,045)               (6,045)
Distributions declared (90,093)   3,179 (97,114) 3,842     (90,093)  
Purchase of treasury stock from related party, value (678)           (678) (678)  
Purchase of treasury stock from related party, shares   (11,037)              
Foreign currency translation (7)               (7)
Net income 114,470     112,892       112,892 1,578
Other comprehensive income (loss):                  
Foreign currency translation adjustments 4,551         4,887   4,887 (336)
Realized and unrealized gain (loss) on derivative instruments (2,797)         (2,797)   (2,797)  
Change in unrealized appreciation on marketable securities 17         17   17  
Balance - end of period at Mar. 31, 2014 $ 3,852,570 $ 100 $ 4,016,019 $ (302,799) $ 29,342 $ 17,443 $ (60,948) $ 3,699,157 $ 153,413
Ending equity balance - shares at Mar. 31, 2014 99,348,295 99,348,295