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Condensed Consolidated Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2016
Sep. 30, 2015
Cash Flow - Operating Activities    
Net Cash Provided by Operating Activities $ 151,716 $ 185,087
Cash Flows — Investing Activities    
Proceeds from sale of real estate 258,339 0
Acquisitions of real estate and direct financing leases (79,528) (191,414)
Changes in investing restricted cash (42,892) 5,016
Return of capital from equity investments in real estate 29,997 20,434
Value added taxes refunded in connection with acquisition of real estate 23,769 15,049
Capital expenditures on owned real estate (9,585) (5,661)
Capital contributions to equity investments in real estate (8,348) (33,951)
Funding for build-to-suit projects (2,649) (21,440)
Payment of deferred acquisition fees to an affiliate (2,283) (5,894)
Other investing activities, net 1,852 928
Proceeds from sale of securities 610 0
Value added taxes paid in connection with acquisition of real estate (232) (21,229)
Funding of loans receivable 0 (42,600)
Net Cash Provided by (Used in) Investing Activities 169,050 (280,762)
Cash Flows — Financing Activities    
Proceeds from Senior Credit Facility 225,693 108,451
Repayments of Senior Credit Facility (289,558) (55,000)
Proceeds from mortgage financing 204,018 108,181
Distributions paid (165,296) (161,481)
Scheduled payments and prepayments of mortgage principal (155,183) (114,867)
Proceeds from issuance of shares, net of issuance costs 77,717 77,681
Repurchase of shares (30,219) (28,303)
Distributions to noncontrolling interests (28,178) (25,535)
Payment of financing costs and mortgage deposits, net of deposits refunded (1,962) (2,713)
Changes in financing restricted cash (455) (1,098)
Contributions from noncontrolling interest 6 15,928
Proceeds from notes payable to affiliate 0 25,000
Repayment of notes payable to affiliate 0 (25,000)
Net Cash Used in Financing Activities (163,417) (78,756)
Change in Cash and Cash Equivalents During the Period    
Effect of exchange rate changes on cash 500 (6,485)
Net increase (decrease) in cash and cash equivalents 157,849 (180,916)
Cash and cash equivalents, beginning of period 152,889 275,719
Cash and cash equivalents, end of period $ 310,738 $ 94,803