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Debt (Narratives) (Details)
3 Months Ended
Aug. 26, 2015
USD ($)
Mar. 31, 2016
USD ($)
loan
Mar. 31, 2015
USD ($)
Dec. 31, 2015
USD ($)
Additional Debt Disclosures        
Mortgage notes payable, collateral   $ 2,900,000,000   $ 2,800,000,000
Non-recourse mortgage loans   69,200,000    
Unamortized discount   $ 600,000    
Debt, weighted average interest rate   2.00%    
Debt instrument terms (years)   7 years 6 months    
Payments of mortgage principal   $ 21,767,000 $ 6,639,000  
Line of credit, maximum borrowing capacity $ 250,000,000 $ 224,307,500    
Commitment fee threshold   50.00%    
Credit facility fees 1,900,000      
Line of credit outstanding   $ 25,338,000   $ 112,834,000
Restriction payment threshold   100,000,000.0    
Effects of foreign currency translation on balance sheet item   $ 31,328,000 $ (88,730,000)  
Minimum        
Additional Debt Disclosures        
Debt maturity date   Aug. 31, 2016    
Credit facility fee, rate   0.15%    
Maximum        
Additional Debt Disclosures        
Debt maturity date   Aug. 31, 2039    
Credit facility fee, rate   0.30%    
Investments made in prior years        
Additional Debt Disclosures        
Non-recourse mortgage loans   $ 57,200,000    
Current        
Additional Debt Disclosures        
Non-recourse mortgage loans   $ 12,000,000    
Fixed interest rate        
Additional Debt Disclosures        
Mortgage loan real estate, minimum interest rate   2.00%    
Mortgage loan real estate, maximum interest rate   7.50%    
Variable interest rate        
Additional Debt Disclosures        
Mortgage loan real estate, minimum interest rate   1.30%    
Mortgage loan real estate, maximum interest rate   6.10%    
Mortgages        
Additional Debt Disclosures        
Debt, weighted average interest rate   4.20%    
Debt instrument terms (years)   6 years 8 months 12 days    
Loans repaid | loan   1    
Payments of mortgage principal   $ 15,000,000    
Non-recourse debt        
Additional Debt Disclosures        
Effects of foreign currency translation on balance sheet item   24,800,000    
Revolver        
Additional Debt Disclosures        
Line of credit, maximum borrowing capacity $ 200,000,000 174,300,000.0    
Debt maturity date Aug. 26, 2018      
Line of credit outstanding   25,700,000    
Term Loan        
Additional Debt Disclosures        
Line of credit, maximum borrowing capacity $ 50,000,000 $ 50,000,000.0    
Base Rate | Revolver | Minimum        
Additional Debt Disclosures        
Interest rate on debt   0.50%    
Base Rate | Revolver | Maximum        
Additional Debt Disclosures        
Interest rate on debt   1.25%    
Base Rate | Term Loan | Minimum        
Additional Debt Disclosures        
Interest rate on debt   0.45%    
Base Rate | Term Loan | Maximum        
Additional Debt Disclosures        
Interest rate on debt   1.20%    
Accordion | Revolver        
Additional Debt Disclosures        
Line of credit, maximum borrowing capacity $ 250,000,000      
LIBOR | Euro Currency Rate | Revolver | Minimum        
Additional Debt Disclosures        
Interest rate on debt   1.50%    
LIBOR | Euro Currency Rate | Revolver | Maximum        
Additional Debt Disclosures        
Interest rate on debt   2.25%    
LIBOR | Euro Currency Rate | Term Loan | Minimum        
Additional Debt Disclosures        
Interest rate on debt   1.45%    
LIBOR | Euro Currency Rate | Term Loan | Maximum        
Additional Debt Disclosures        
Interest rate on debt   2.20%