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Supplemental Information to Statements of Cash Flows (Tables)
12 Months Ended
Dec. 31, 2022
Supplemental Cash Flow Elements [Abstract]  
Summary of Supplemental Information to Statements of Cash Flows
(in thousands)
 For the year ended December 31,
 202220212020
Interest paid, net of capitalized interest$82,851 $84,453 $90,655 
Interest capitalized$1,434 $1,391 $1,247 
Income taxes paid (refunded)$(2,303)$(258)$3,469 
Non-Cash Investing and Financing Activities:
Convertible debt discount adjustment$— $113,099 $— 
Distributions payable on common shares/units$1,316 $1,537 $1,749 
Distributions payable on preferred shares/units$10,902 $10,219 $7,558 
Issuance of common shares for Board of Trustees compensation$738 $516 $637 
Issuance of common shares for executive and employee bonuses$— $1,446 $— 
Issuance of common shares for LTIP units redemption$— $— $2,831 
Issuance of common units in connection with hotel acquisition$390 $— $— 
Issuance of preferred units in connection with hotel acquisition$77,610 $— $— 
Accrued additions and improvements to hotel properties$(2,759)$3,110 $9,164 
Right of use assets obtained in exchange for lease liabilities$1,005 $65,599 $— 
Write-off of fully depreciated building, furniture, fixtures and equipment$72,532 $— $— 
Write-off of deferred financing costs$19,595 $6,574 $1,979 
Mortgage loans assumed in connection with acquisition of hotel properties$— $223,177 $— 
Below (above) market contracts assumed in connection with acquisition of hotel properties$— $3,071 $—