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Financial Instruments and Fair Value Measurements - Summary of Fair Value (Details) - USD ($)
$ in Thousands
Dec. 31, 2019
Dec. 31, 2018
Carrying value    
Fair value of financial assets and liabilities    
Mortgages payable assumed in connection with acquisitions $ 408,400 $ 298,400
Notes and bonds payable 6,317,600 5,400,000
Estimated fair value    
Fair value of financial assets and liabilities    
Mortgages payable assumed in connection with acquisitions 417,700 305,700
Notes and bonds payable 6,826,100 5,430,000
Mortgages Payable    
Fair value of financial assets and liabilities    
Unamortized balance of non-cash net premiums 3,000 4,400
Remaining balance of deferred financing costs at period end 1,300 183
Notes and bonds payable    
Fair value of financial assets and liabilities    
Unamortized balance of non-cash net premiums 6,300 10,500
Remaining balance of deferred financing costs at period end $ 35,900 $ 33,700