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Disclosures About Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2013
Disclosures About Fair Value of Financial Instruments  
Summary of the carrying values and fair values of financial instruments

The table below summarizes the carrying values and fair values of the Company’s financial instruments (in thousands):

 

 

 

June 30, 2013

 

December 31, 2012

 

 

 

Carrying
Value

 

Fair Value

 

Carrying
Value

 

Fair Value

 

Loans receivable, net(2)

 

$

555,791

 

$

567,280

 

$

276,030

 

$

279,850

 

Marketable debt securities(3)

 

225,285

 

255,961

 

222,809

 

234,137

 

Marketable equity securities(1)

 

 

 

24,829

 

24,829

 

Warrants(3)

 

452

 

452

 

670

 

670

 

Bank line of credit(2)

 

261,582

 

261,582

 

 

 

Term loan(2)

 

208,418

 

208,418

 

222,694

 

222,694

 

Senior unsecured notes(1)

 

6,564,842

 

7,003,556

 

6,712,624

 

7,432,012

 

Mortgage debt(2)

 

1,653,426

 

1,696,918

 

1,676,544

 

1,771,155

 

Other debt(2)

 

78,633

 

78,633

 

81,958

 

81,958

 

Interest-rate swap assets(2)

 

1,487

 

1,487

 

89

 

89

 

Interest-rate swap liabilities(2)

 

9,610

 

9,610

 

12,699

 

12,699

 

Currency swap asset(2)

 

2,218

 

2,218

 

 

 

Currency swap liabilities(2)

 

 

 

2,641

 

2,641

 

 

(1)          Level 1: Fair value calculated based on quoted prices in active markets.

(2)          Level 2: Fair value based on quoted prices for similar or identical instruments in active or inactive markets, respectively, or calculated utilizing model derived valuations in which significant inputs or value drivers are observable in active markets.

(3)          Level 3: Fair value determined based on significant unobservable market inputs using standardized derivative pricing models.