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SECURED AND UNSECURED DEBT, NET - Summary (Details)
$ in Thousands
3 Months Ended
Mar. 31, 2020
USD ($)
community
Feb. 29, 2020
USD ($)
Dec. 31, 2019
USD ($)
Secured debt instruments      
Unamortized net premium $ 32,700   $ 35,300
Interest rate at end of the period 3.28%    
Long-term Debt $ 4,885,138   4,707,524
Unsecured Debt 3,740,937   3,558,083
Borrowings outstanding $ 2,500   2,900
Weighted Average      
Secured debt instruments      
Years to maturity 7 years 1 month 6 days    
Commercial Paper      
Secured debt instruments      
Borrowings outstanding at end of period $ 215,000   300,000
Mortgages Note Payable | Fixed Rate Debt      
Secured debt instruments      
Principal outstanding $ 883,249   884,869
Interest rate at end of the period 3.61%    
Number of Communities Encumbered | community 15    
Mortgages Note Payable | Fixed Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 5 years 10 months 24 days    
Tax-exempt secured notes payable | Variable Rate Debt      
Secured debt instruments      
Principal outstanding $ 27,000   27,000
Interest rate at end of the period 1.91%    
Number of Communities Encumbered | community 1    
Tax-exempt secured notes payable | Variable Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 12 years    
Credit facilities | Fixed Rate Debt      
Secured debt instruments      
Principal outstanding $ 203,429   204,590
Interest rate at end of the period 4.90%    
Number of Communities Encumbered | community 4    
Credit facilities | Fixed Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 2 years 9 months 18 days    
Secured Debt      
Secured debt instruments      
Principal outstanding $ 1,144,201   1,149,441
Interest rate at end of the period 3.80%    
Long-term Debt $ 1,144,201    
Number of Communities Encumbered | community 20    
Secured Debt | Weighted Average      
Secured debt instruments      
Years to maturity 5 years 6 months    
Secured Debt | Fixed Rate Debt      
Secured debt instruments      
Principal outstanding $ 1,117,263   1,122,505
Interest rate at end of the period 3.85%    
Long-term Debt $ 1,117,263    
Number of Communities Encumbered | community 19    
Deferred financing costs and other non-cash adjustments $ (30,585)   (33,046)
Secured Debt | Fixed Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 5 years 3 months 18 days    
Secured Debt | Variable Rate Debt      
Secured debt instruments      
Principal outstanding $ 26,938   26,936
Interest rate at end of the period 1.91%    
Long-term Debt $ 26,938    
Number of Communities Encumbered | community 1    
Deferred finance costs, net $ (62)   (64)
Secured Debt | Variable Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 12 years    
Unsecured Revolving credit facility due 2023      
Secured debt instruments      
Interest rate at end of the period 1.75%    
Borrowings outstanding $ 50,000    
Unsecured Revolving credit facility due 2023 | Weighted Average      
Secured debt instruments      
Years to maturity 2 years 9 months 18 days    
Unsecured Revolving credit facility due 2020 | Commercial Paper      
Secured debt instruments      
Interest rate at end of the period 1.58%    
Borrowings outstanding at end of period $ 215,000   300,000
Unsecured Revolving credit facility due 2020 | Commercial Paper | Weighted Average      
Secured debt instruments      
Years to maturity 1 month 6 days    
Unsecured Working Capital Credit Facility      
Secured debt instruments      
Interest rate at end of the period 1.82%    
Borrowings outstanding $ 24,797   16,583
Unsecured Working Capital Credit Facility | Weighted Average      
Secured debt instruments      
Years to maturity 9 months 18 days    
Term Loan due September 2023      
Secured debt instruments      
Interest rate at end of the period 2.48%    
Senior Notes $ 35,000   35,000
Term Loan due September 2023 | Weighted Average      
Secured debt instruments      
Years to maturity 3 years 6 months    
1.93% Term Loan due September 2023      
Secured debt instruments      
Interest rate at end of the period 1.93%    
Senior Notes $ 315,000   315,000
1.93% Term Loan due September 2023 | Weighted Average      
Secured debt instruments      
Years to maturity 3 years 6 months    
3.75% Medium-Term Notes Due July 2024      
Secured debt instruments      
Unamortized discount $ 443   470
Interest rate at end of the period 3.75%    
Senior Notes $ 299,557   299,530
3.75% Medium-Term Notes Due July 2024 | Weighted Average      
Secured debt instruments      
Years to maturity 4 years 3 months 18 days    
8.50% Debentures, Due September 2024      
Secured debt instruments      
Interest rate at end of the period 8.50%    
Senior Notes $ 15,644   15,644
8.50% Debentures, Due September 2024 | Weighted Average      
Secured debt instruments      
Years to maturity 4 years 6 months    
4.00% Medium-Term Note due October 2025      
Secured debt instruments      
Unamortized discount $ 379   396
Interest rate at end of the period 4.00%    
Senior Notes $ 299,621   299,604
4.00% Medium-Term Note due October 2025 | Weighted Average      
Secured debt instruments      
Years to maturity 5 years 6 months    
2.95% Medium-Term Note due September 2026      
Secured debt instruments      
Interest rate at end of the period 2.95%    
Senior Notes $ 300,000   300,000
2.95% Medium-Term Note due September 2026 | Weighted Average      
Secured debt instruments      
Years to maturity 6 years 4 months 24 days    
3.50 Medium-Term Note due July 2027      
Secured debt instruments      
Unamortized discount $ 511   529
Interest rate at end of the period 3.50%    
Senior Notes $ 299,489   299,471
3.50 Medium-Term Note due July 2027 | Weighted Average      
Secured debt instruments      
Years to maturity 7 years 3 months 18 days    
3.50% Medium-Term Notes Due January 2028      
Secured debt instruments      
Unamortized discount $ 924   954
Interest rate at end of the period 3.50%    
Senior Notes $ 299,076   299,046
3.50% Medium-Term Notes Due January 2028 | Weighted Average      
Secured debt instruments      
Years to maturity 7 years 9 months 18 days    
4.40% Medium-Term Notes due January 2029      
Secured debt instruments      
Unamortized discount $ 5   5
Interest rate at end of the period 4.40%    
Senior Notes $ 299,995   299,995
4.40% Medium-Term Notes due January 2029 | Weighted Average      
Secured debt instruments      
Years to maturity 8 years 9 months 18 days    
3.20% Medium-Term Notes due January 2030      
Secured debt instruments      
Unamortized discount $ 13,442   2,281
Interest rate at end of the period 3.20%    
Senior Notes $ 613,442 $ 600,000 402,281
3.20% Medium-Term Notes due January 2030 | Weighted Average      
Secured debt instruments      
Years to maturity 9 years 9 months 18 days    
3.00% Medium-Term Notes due August 2031      
Secured debt instruments      
Unamortized discount $ 1,099   1,123
Interest rate at end of the period 3.00%    
Senior Notes $ 398,901   398,877
3.00% Medium-Term Notes due August 2031 | Weighted Average      
Secured debt instruments      
Years to maturity 11 years 4 months 24 days    
3.10% Medium-Term Notes due November 2034      
Secured debt instruments      
Principal outstanding $ 298,713    
Unamortized discount $ 1,287   1,309
Interest rate at end of the period 3.10%    
Senior Notes     298,691
3.10% Medium-Term Notes due November 2034 | Weighted Average      
Secured debt instruments      
Years to maturity 14 years 7 months 6 days    
Other      
Secured debt instruments      
Senior Notes $ 12   13
Unsecured Debt      
Secured debt instruments      
Interest rate at end of the period 3.29%    
Long-term Debt $ 3,740,937    
Unsecured Debt 3,740,937   3,558,083
Deferred finance costs, net $ (23,310)   (21,652)
Unsecured Debt | Weighted Average      
Secured debt instruments      
Years to maturity 7 years 6 months    
Credit facilities      
Secured debt instruments      
Principal outstanding $ 203,400    
Credit facilities | Fixed Rate Debt      
Secured debt instruments      
Interest rate at end of the period 4.90%    
United Dominion Realty L.P.      
Secured debt instruments      
Interest rate at end of the period 2.83%    
Long-term Debt $ 99,082   99,071
Number of Communities Encumbered | community 2    
United Dominion Realty L.P. | Weighted Average      
Secured debt instruments      
Years to maturity 10 years 4 months 24 days    
United Dominion Realty L.P. | Fixed Rate Debt      
Secured debt instruments      
Interest rate at end of the period 3.10%    
Long-term Debt $ 72,144   72,135
Number of Communities Encumbered | community 1    
United Dominion Realty L.P. | Fixed Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 9 years 9 months 18 days    
United Dominion Realty L.P. | Variable Rate Debt      
Secured debt instruments      
Interest rate at end of the period 1.91%    
Long-term Debt $ 26,938   26,936
Number of Communities Encumbered | community 1    
Deferred finance costs, net $ (62)   (64)
United Dominion Realty L.P. | Variable Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 12 years    
United Dominion Realty L.P. | Mortgages Note Payable      
Secured debt instruments      
Principal outstanding $ 72,500    
United Dominion Realty L.P. | Mortgages Note Payable | Fixed Rate Debt      
Secured debt instruments      
Principal outstanding $ 72,500   72,500
Interest rate at end of the period 3.10%    
Number of Communities Encumbered | community 1    
Deferred finance costs, net $ (356)   (365)
United Dominion Realty L.P. | Mortgages Note Payable | Fixed Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 9 years 9 months 18 days    
United Dominion Realty L.P. | Tax-exempt secured notes payable | Variable Rate Debt      
Secured debt instruments      
Principal outstanding $ 27,000   $ 27,000
Interest rate at end of the period 1.91%    
Number of Communities Encumbered | community 1    
United Dominion Realty L.P. | Tax-exempt secured notes payable | Variable Rate Debt | Weighted Average      
Secured debt instruments      
Years to maturity 12 years