XML 50 R35.htm IDEA: XBRL DOCUMENT v3.22.0.1
Cash Distributions and Dividends (Tables)
12 Months Ended
Dec. 31, 2021
Cash Distributions and Dividends  
Schedule of quarterly distributions and dividends paid

The following table details the amount of distributions and dividends paid with respect to the quarter indicated (in thousands, except per share data):

Distributions/

Distribution/

Distributions/

Dividends

Period

    

Record Date

    

Dividend Date

    

Dividends

    

per Share

Q4 2018

February 1, 2019

February 21, 2019

$

30,543

$

0.1640

Q1 2019

April 26, 2019

May 8, 2019

152,082

0.3025

*

May 15, 2019

May 15, 2019

98

*

Q2 2019

July 26, 2019

August 7, 2019

154,146

0.3075

*

August 14, 2019

September 18, 2019

138

*

Q3 2019

November 1, 2019

November 13, 2019

153,033

0.3075

*

November 14, 2019

November 14, 2019

138

*

**

December 31, 2019

December 31, 2019

2,299

**

Total 2019

$

492,477

Q4 2019

January 31, 2020

February 12, 2020

$

148,876

$

0.3075

*

February 14, 2020

February 14, 2020

138

*

Q1 2020

April 30, 2020

May 12, 2020

147,519

0.3075

*

May 15, 2020

May 15, 2020

137

*

Q2 2020

July 30, 2020

August 12, 2020

146,664

0.3075

*

August 14, 2020

August 14, 2020

138

*

Q3 2020

October 29, 2020

November 12, 2020

146,581

0.3075

*

November 16, 2020

November 16, 2020

137

*

Total 2020

$

590,190

Q4 2020

February 3, 2021

February 11, 2021

$

147,194

$

0.3075

*

February 16, 2021

February 16, 2021

138

*

Q1 2021

April 28, 2021

May 12, 2021

108,799

0.2250

*

May 17, 2021

May 17, 2021

137

*

Q2 2021

July 28, 2021

August 11, 2021

107,719

0.2250

*

August 16, 2021

August 16, 2021

138

*

Q3 2021

October 27, 2021

November 10, 2021

107,459

0.2250

*

November 15, 2021

November 15, 2021

137

*

Total 2021

$

471,721

*

Dividends are paid in accordance with the terms of the Series A Preferred Stock as discussed in Note 14—Equity and Earnings Per Common Share.

**

Distributions declared on unvested Series B Units prior to the closing date of the Transactions that were paid upon the vesting date to the holders of the Exchanged B Units