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Capital and Accumulated Other Comprehensive Loss (Tables)
3 Months Ended
Mar. 31, 2019
Class of Stock [Line Items]  
Schedule of Distributions
We have declared and paid the following dividends on our common and preferred stock for the three months ended March 31, 2019 (in thousands, except per share data): 
Date dividend declared
Dividend
payment date

Series C Preferred Stock
 
Series G Preferred Stock
 
Series H Preferred Stock
 
Series I Preferred Stock
 
Series J Preferred Stock
 
Common
Stock
February 21, 2019
March 29, 2019
 
$
3,333

 
$
3,672

 
$
6,730

 
$
3,969

 
$
2,625

 
$
224,802

 
 
 
 
 
 
 
 
 
 
 
 
 
 
Annual rate of dividend per share
 
 
$
1.65625

 
$
1.46875

 
$
1.84375

 
$
1.58750

 
$
1.31250

 
$
4.32000

Schedule of Accumulated Other Comprehensive Income, Net
The accumulated balances for each item within other comprehensive income (loss), net are as follows (in thousands):

Foreign currency
translation
adjustments

Cash flow hedge
adjustments
 
Foreign currency net investment hedge adjustments

Accumulated other
comprehensive 
income (loss), net
Balance as of December 31, 2018
$
(158,649
)

$
17,264

 
$
25,738


$
(115,647
)
Net current period change
7,880

 
(3,614
)
 


4,266

Reclassification of foreign currency translation
adjustment due to deconsolidation of Ascenty
21,687

 

 

 
21,687

Reclassification to interest expense from interest
rate swaps


(2,005
)
 


(2,005
)
Balance as of March 31, 2019
$
(129,082
)

$
11,645

 
$
25,738


$
(91,699
)


Digital Realty Trust, L.P.  
Class of Stock [Line Items]  
Schedule of Distributions
The Operating Partnership has declared and paid the following distributions on its common and preferred units for the three months ended March 31, 2019 (in thousands, except for per unit data):
Date distribution declared
Distribution
payment date
 
Series C Preferred Units
 
Series G Preferred Units
 
Series H Preferred Units
 
Series I Preferred Units
 
Series J Preferred Units

Common
Units
February 21, 2019
March 29, 2019
 
$
3,333

 
$
3,672

 
$
6,730

 
$
3,969

 
$
2,625

 
$
235,256

 
 
 
 
 
 
 
 
 
 
 
 
 
 
Annual rate of distribution per unit
 
 
$
1.65625

 
$
1.46875

 
$
1.84375

 
$
1.58750

 
$
1.31250

 
$
4.32000

Schedule of Accumulated Other Comprehensive Income, Net
The accumulated balances for each item within other comprehensive income are as follows (in thousands):

Foreign currency
translation
adjustments
 
Cash flow hedge
adjustments
 
Foreign currency net investment hedge adjustments
 
Accumulated other
comprehensive loss
Balance as of December 31, 2018
$
(163,531
)

$
16,986

 
$
26,152


$
(120,393
)
Net current period change
9,193

 
(3,775
)
 


5,418

Reclassification of foreign currency translation
adjustment due to deconsolidation of Ascenty
21,687

 

 

 
21,687

Reclassification to interest expense from interest rate swaps


(2,094
)
 


(2,094
)
Balance as of March 31, 2019
$
(132,651
)

$
11,117

 
$
26,152


$
(95,382
)