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Corporate Indebtedness - Junior Subordinated Deferrable Interest Debentures and Principal Maturities (Details) - USD ($)
1 Months Ended 6 Months Ended
Jun. 30, 2005
Jun. 30, 2019
Principal Repayments and Joint Venture Debt    
Remaining 2019   $ 31,233,000
2020   568,772,000
2021   590,718,000
2022   1,307,926,000
2023   2,092,851,000
Thereafter   1,545,407,000
Total principal repayments   $ 6,136,907,000
Trust Preferred Securities    
Debt Instrument [Line Items]    
Proceeds from issuance of debt $ 100,000,000.0  
LIBOR | Trust Preferred Securities    
Debt Instrument [Line Items]    
Interest rate added to base rate (as a percent)   1.25%
Joint venture    
Principal Repayments and Joint Venture Debt    
Remaining 2019   $ 13,814,000
2020   251,823,000
2021   604,326,000
2022   220,749,000
2023   277,931,000
Thereafter   2,431,246,000
Total principal repayments   3,799,889,000
Joint venture | Trust Preferred Securities    
Principal Repayments and Joint Venture Debt    
Remaining 2019   0
2020   0
2021   0
2022   0
2023   0
Thereafter   100,000,000
Total principal repayments   100,000,000
Joint venture | Mortgages and other loans payable    
Scheduled Amortization    
Remaining 2019   3,733,000
2020   11,118,000
2021   11,638,000
2022   9,430,000
2023   7,301,000
Thereafter   9,291,000
Total amortization of debt   52,511,000
Principal Repayments and Joint Venture Debt    
Remaining 2019   27,500,000
2020   307,654,000
2021   229,080,000
2022   498,496,000
2023   115,550,000
Thereafter   1,136,116,000
Total principal repayments   2,314,396,000
Joint venture | Revolving Credit Facility    
Principal Repayments and Joint Venture Debt    
Remaining 2019   0
2020   0
2021   0
2022   0
2023   670,000,000
Thereafter   0
Total principal repayments   670,000,000
Joint venture | Unsecured Term Loans    
Principal Repayments and Joint Venture Debt    
Remaining 2019   0
2020   0
2021   0
2022   0
2023   1,300,000,000
Thereafter   200,000,000
Total principal repayments   1,500,000,000
Joint venture | Senior Unsecured Notes    
Principal Repayments and Joint Venture Debt    
Remaining 2019   0
2020   250,000,000
2021   350,000,000
2022   800,000,000
2023   0
Thereafter   100,000,000
Total principal repayments   $ 1,500,000,000