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Fair Value Measurements (Details) - USD ($)
$ in Thousands
1 Months Ended 3 Months Ended 9 Months Ended
May 31, 2018
Sep. 30, 2018
Sep. 30, 2017
Sep. 30, 2018
Sep. 30, 2017
Dec. 31, 2017
Fair Value of Financial Instruments            
Marketable securities   $ 28,538   $ 28,538   $ 28,579
Interest rate cap and swap agreements (included in other assets)   27,547   27,547   16,692
Purchase price and other fair value adjustments   (3,057) $ 0 57,385 $ 0  
Debt and preferred equity investments   1,977,057   1,977,057   2,114,041
Equity method investments   3,070,825   3,070,825   2,362,989
Additional amount of financing receivables included in other assets   84,800   84,800   65,500
Carrying Value            
Fair Value of Financial Instruments            
Debt and preferred equity investments   1,977,057   1,977,057   2,114,041
Fixed rate debt   3,506,466   3,506,466   4,305,165
Variable rate debt   2,126,550   2,126,550   1,605,431
Total   5,633,016   5,633,016   5,910,596
Fair Value            
Fair Value of Financial Instruments            
Marketable securities   28,538   28,538   28,579
Total   5,665,698   5,665,698   6,034,090
Estimated fair value of debt and preferred equity investments, low end of range   2,000,000   2,000,000   2,100,000
Estimated fair value of debt and preferred equity investments, high end of range   2,200,000   2,200,000   2,300,000
Level 1            
Fair Value of Financial Instruments            
Interest rate cap and swap agreements (included in other assets)   0   0   0
Level 2            
Fair Value of Financial Instruments            
Interest rate cap and swap agreements (included in other assets)   27,547   27,547   16,692
Level 3            
Fair Value of Financial Instruments            
Marketable securities   0   0   0
Interest rate cap and swap agreements (included in other assets)   0   0   0
Level 3 | Fair Value            
Fair Value of Financial Instruments            
Fixed rate debt   3,516,292   3,516,292   4,421,866
Variable rate debt   2,149,406   2,149,406   1,612,224
Equity marketable securities | Level 1            
Fair Value of Financial Instruments            
Marketable securities   0   0   0
Commercial mortgage-backed securities            
Fair Value of Financial Instruments            
Marketable securities   28,538   28,538   28,579
Commercial mortgage-backed securities | Level 2            
Fair Value of Financial Instruments            
Marketable securities   28,538   28,538   28,579
Total fixed rate | Mezzanine/Jr. Mortgage Loan with an Initial Maturity Date of April 2017            
Fair Value of Financial Instruments            
Notes receivable   250,500   250,500    
Accrued interest   7,700   7,700    
Joint venture            
Fair Value of Financial Instruments            
Equity method investments   3,070,825   $ 3,070,825   $ 2,362,989
919 Third Avenue | Joint venture | 919 Third Avenue            
Fair Value of Financial Instruments            
Purchase price and other fair value adjustments   $ 49,300        
2 Herald Square            
Fair Value of Financial Instruments            
Business combination, fair value adjustment $ 8,100