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Acquired Intangible Assets and Liabilities
6 Months Ended
Jun. 30, 2022
Acquired Intangible Assets and Liabilities  
Acquired Intangible Assets and Liabilities

7. Acquired Intangible Assets and Liabilities

The following table summarizes our acquired intangible assets and liabilities:

Balance as of

June 30, 2022

December 31, 2021

(Amounts in thousands)

Gross Carrying Amount

Accumulated Amortization

Net Carrying Amount

Gross Carrying Amount

Accumulated Amortization

Net Carrying Amount

Customer relationship value

$

2,735,560

$

(789,285)

$

1,946,275

$

2,838,842

$

(721,983)

$

2,116,859

Acquired in-place lease value

1,267,777

(1,016,192)

251,585

1,278,012

(995,883)

282,129

Other

94,121

(20,059)

74,062

101,869

(14,688)

87,181

Acquired above-market leases

265,367

(250,626)

14,741

268,724

(247,135)

21,589

Acquired below-market leases

(347,781)

252,627

(95,154)

(351,052)

247,877

(103,175)

Amortization of customer relationship value, acquired in-place lease value and other intangibles (a component of depreciation and amortization expense) was approximately $57.3 million and $66.4 million for the three months ended June 30, 2022 and 2021 respectively, and approximately $118.9 million and $134.1 million for the six months ended June 30, 2022 and 2021, respectively.

Amortization of acquired below-market leases, net of acquired above-market leases, resulted in an increase in rental and other services revenue of $0.3 million and a decrease of $(1.1) million for the three months ended June 30, 2022 and 2021, respectively and $0.6 million and $(2.6) million for the six months ended June 30, 2022 and 2021, respectively.

Estimated annual amortization for each of the five succeeding years and thereafter, commencing July 1, 2022 is as follows:

    

(Amounts in thousands)

Customer relationship value

Acquired in-place lease value

Other (1)

Acquired above-market leases

Acquired below-market leases

Remainder of 2022

$

81,641

$

24,499

$

4,560

$

4,363

$

(6,683)

2023

 

162,614

 

43,327

 

3,021

 

4,758

 

(12,507)

2024

 

162,034

 

37,709

 

1,677

 

2,584

 

(11,214)

2025

 

161,532

 

34,679

 

1,638

 

1,452

 

(10,225)

2026

 

161,097

 

30,619

 

1,442

 

684

 

(8,663)

Thereafter

 

1,217,357

 

80,752

 

19,941

 

900

 

(45,862)

Total

$

1,946,275

$

251,585

$

32,279

$

14,741

$

(95,154)

(1)Excludes power grid rights in the amount of approximately $41.8 million that are currently not being amortized. Amortization of these assets will begin once the data centers associated with the power grid rights are placed into service.