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Debt of the Operating Partnership (Schedule of Debt Maturities And Principal Maturities) (Details) - Digital Realty Trust, L.P.
$ in Thousands
3 Months Ended
Jan. 15, 2016
extension
Mar. 31, 2019
USD ($)
extension
Dec. 31, 2018
USD ($)
Debt Instrument [Line Items]      
Remainder of 2019   $ 140,713  
2020   501,133  
2021   400,000  
2022   800,000  
2023   2,340,982  
Thereafter   6,172,373  
Subtotal   10,355,201  
Unamortized discounts, net of premiums   (18,584)  
Unamortized premium   7,188  
Long-term debt, net of discount (premium)   10,343,805  
Global revolving credit facilities      
Debt Instrument [Line Items]      
Remainder of 2019   0  
2020   0  
2021   0  
2022   0  
2023   684,278  
Thereafter   172,933  
Subtotal   857,211 $ 1,663,156
Unamortized discounts, net of premiums   0  
Unamortized premium   0  
Long-term debt, net of discount (premium)   $ 857,211  
Number of extension options | extension 2 2  
Revolving credit facility commitments extension 6 months 6 months  
Unsecured Term Loans      
Debt Instrument [Line Items]      
Remainder of 2019   $ 0  
2020   0  
2021   0  
2022   0  
2023   811,654  
Thereafter   0  
Subtotal   811,654  
Unamortized discounts, net of premiums   0  
Unamortized premium   0  
Long-term debt, net of discount (premium)   811,654  
Senior Notes      
Debt Instrument [Line Items]      
Remainder of 2019   140,225  
2020   500,000  
2021   400,000  
2022   800,000  
2023   741,050  
Thereafter   5,999,440  
Subtotal   8,580,715  
Unamortized discounts, net of premiums   (18,584)  
Unamortized premium   7,064  
Long-term debt, net of discount (premium)   8,569,195 7,629,679
Secured Debt      
Debt Instrument [Line Items]      
Remainder of 2019   488  
2020   1,133  
2021   0  
2022   0  
2023   104,000  
Thereafter   0  
Subtotal   105,621  
Unamortized discounts, net of premiums   0  
Unamortized premium   124 148
Long-term debt, net of discount (premium)   $ 105,745 $ 705,924