XML 41 R128.htm IDEA: XBRL DOCUMENT v3.19.3.a.u2
DEBT, NET (UNITED DOMINION REALTY, L.P.) - Additional Information (Details) - USD ($)
$ in Thousands
Dec. 31, 2019
Dec. 31, 2018
Fixed and variable rate debt    
Borrowings outstanding $ 2,900 $ 3,300
Commercial Paper    
Fixed and variable rate debt    
Borrowings outstanding $ 300,000 $ 101,115
Interest rate at the end of the period 2.00% 2.90%
United Dominion Realty L.P. | Financial Guarantee    
Fixed and variable rate debt    
Guarantor borrowing capacity $ 1,100,000  
United Dominion Realty L.P. | Unsecured Commercial Bank Credit Facility    
Fixed and variable rate debt    
Long-term commercial paper 500,000  
United Dominion Realty L.P. | Commercial Paper    
Fixed and variable rate debt    
Borrowings outstanding $ 300,000 $ 101,100
United Dominion Realty L.P. | Mortgages Notes Payable | Variable Rate Debt    
Fixed and variable rate debt    
Interest rate at the end of the period 1.79%  
United Dominion Realty L.P. | 1.93% Term Loan due September 2023    
Fixed and variable rate debt    
Guarantor borrowing capacity $ 350,000  
United Dominion Realty L.P. | 3.75% Medium-Term Notes Due July 2024    
Fixed and variable rate debt    
Guarantor borrowing capacity 300,000  
United Dominion Realty L.P. | 2.95% Medium-Term Note due September 2026    
Fixed and variable rate debt    
Guarantor borrowing capacity 300,000  
United Dominion Realty L.P. | 4.00% Medium-Term Note due October 2025    
Fixed and variable rate debt    
Guarantor borrowing capacity 300,000  
United Dominion Realty L.P. | 3.50 Medium-Term Note due July 2027    
Fixed and variable rate debt    
Guarantor borrowing capacity 300,000  
United Dominion Realty L.P. | Medium-Term Note due January 2028    
Fixed and variable rate debt    
Guarantor borrowing capacity 300,000  
United Dominion Realty L.P. | Medium-Term Note due January 2029    
Fixed and variable rate debt    
Guarantor borrowing capacity 300,000  
United Dominion Realty L.P. | Medium Term Notes Due January 2030    
Fixed and variable rate debt    
Guarantor borrowing capacity 400,000  
United Dominion Realty L.P. | Medium-Term Notes Due August 2031    
Fixed and variable rate debt    
Guarantor borrowing capacity 400,000  
United Dominion Realty L.P. | Medium Term Notes Due January 2034    
Fixed and variable rate debt    
Guarantor borrowing capacity 300,000  
Credit facilities    
Fixed and variable rate debt    
Borrowings outstanding $ 204,590 $ 90,000
Interest rate at the end of the period 4.90% 4.00%