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Financial Instruments: Derivatives and Hedging (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2017
Jun. 30, 2018
Jun. 30, 2017
Financial Instruments: Derivatives and Hedging      
Interest reclassified from accumulated other comprehensive income into interest expense   $ 700,000  
Amount estimated to be reclassified into earnings within next 12 months   6,700,000  
Hedge ineffectiveness $ 129,000   $ 151,000
Cash flow hedges      
Financial Instruments: Derivatives and Hedging      
Unrealized gains or losses on derivative financial instruments in accumulated other comprehensive income   $ 9,700,000  
BMO Term Loan | BAML Term Loan      
Financial Instruments: Derivatives and Hedging      
Percentage floor of spread payable to the counterparty   0.00%  
2017 Interest Rate Swap | Cash flow hedges      
Financial Instruments: Derivatives and Hedging      
Notional Value   $ 400,000,000  
Strike Rate (as a percent)   1.12%  
Fair Value   $ 19,824,000  
BMO Interest Rate Swap | Cash flow hedges      
Financial Instruments: Derivatives and Hedging      
Notional Value   $ 220,000,000  
Strike Rate (as a percent)   2.32%  
Fair Value   $ 1,372,000