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Consolidated Statements of Changes in Equity (USD $)
In Thousands
Total
USD ($)
Preferred Units [Member]
USD ($)
Class A Units Owned By Vornado [Member]
Common Stock Including Additional Paid in Capital [Member]
USD ($)
Earnings Less Than Distributions [Member]
USD ($)
Accumulated Other Comprehensive Income (Loss) [Member]
USD ($)
Non-controlling Interests [Member]
USD ($)
Real Estate Fund [Member]
USD ($)
Real Estate Fund [Member]
Non-controlling Interests [Member]
USD ($)
All Other Except Real Estate Fund [Member]
USD ($)
All Other Except Real Estate Fund [Member]
Non-controlling Interests [Member]
USD ($)
Beginning balance, value at Dec. 31, 2009$ 6,649,406$ 823,686 $ 6,968,225$ (1,577,591)$ 28,449$ 406,637    
Beginning balance, units at Dec. 31, 2009 33,952181,214        
Net income425,887   424,397 1,490    
Net (income) attributable to redeemable partnership units(33,487)   (33,487)      
Distributions to Vornado(354,937)   (354,937)      
Distributions to preferred unitholders(42,100)   (42,100)      
Redemption of preferred shares, shares (1,600)         
Redemption of preferred shares, value(35,600)(39,982)  4,382      
Class A Units Issued To Vornado:           
Upon redemption of redeemable Class A units, at redemption value, units  822        
Upon redemption of redeemable Class A units, at redemption value, value62,606  62,606       
Under Vornado's employees' share option plan, units  596        
Under Vornado's employees' share option plan, value(14,637)  10,946(25,583)      
Under Vornado's dividend reinvestment plan, units  17        
Under Vornado's dividend reinvestment plan, value1,232  1,232       
Contributions:           
Contributions       37,69837,698188188
Conversion Of Series A Preferred units To Class A units, units (3)5        
Conversion of Series A preferred units to Class A units, value0(177) 177       
Deferred compensation units and options, units  17        
Deferred compensation units and options, value6,156  6,156       
Change in unrealized net gain on securities available-for-sale34,497    34,497     
Pro rata share of other comprehensive income of nonconsolidated subsidiaries(12,080)    (12,080)     
Change in value of interest rate swap0          
Adjustment to carry redeemable Class A units at redemption value(232,099)  (232,099)       
Other(4,955)  (61)30(5,594)670    
Ending balance, value at Sep. 30, 20106,487,775783,527 6,817,182(1,604,889)45,272446,683    
Ending balance, units at Sep. 30, 2010 32,349182,671        
Beginning balance, value at Dec. 31, 20106,830,405783,088 6,940,045(1,480,876)73,453514,695    
Beginning balance, units at Dec. 31, 2010 32,340183,662        
Net income643,013   622,370 20,643    
Net (income) attributable to redeemable partnership units(47,364)   (47,364)      
Distributions to Vornado(381,382)   (381,382)      
Distributions to preferred unitholders(47,905)   (47,905)      
Issuance of Series J preferred units, units 9,850         
Issuance of Series J preferred units, value239,037239,037         
Class A Units Issued To Vornado:           
Upon redemption of redeemable Class A units, at redemption value, units  435        
Upon redemption of redeemable Class A units, at redemption value, value38,220  38,220       
Under Vornado's employees' share option plan, units  369        
Under Vornado's employees' share option plan, value21,221  21,618(397)      
Under Vornado's dividend reinvestment plan, units  15        
Under Vornado's dividend reinvestment plan, value1,330  1,330       
Contributions:           
Contributions       109,241109,241364364
Distributions to Limited Partners       (22,713)(22,713)(15,604)(15,604)
Conversion Of Series A Preferred units To Class A units, units (3)5        
Conversion of Series A preferred units to Class A units, value0(165) 165       
Deferred compensation units and options, units  10        
Deferred compensation units and options, value7,866  7,866       
Change in unrealized net gain on securities available-for-sale(120,334)    (120,334)     
Pro rata share of other comprehensive income of nonconsolidated subsidiaries26,477    26,477     
Change in value of interest rate swap(42,458)    (42,458)     
Adjustment to carry redeemable Class A units at redemption value114,628  114,628       
Redeemable partnership units' share of above adjustments8,957    8,957     
Other(30)(105) (4,518)5,149(5,114)4,558    
Ending balance, value at Sep. 30, 2011$ 7,362,969$ 1,021,855 $ 7,119,354$ (1,330,405)$ (59,019)$ 611,184    
Ending balance, units at Sep. 30, 2011 42,187184,496