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Supplemental Cash Flow Information (Tables)
9 Months Ended
Sep. 30, 2023
Supplemental Cash Flow Elements [Abstract]  
Schedule of Supplemental Cash Flow Information
The following table provides supplemental cash flow information (in thousands):
 Nine Months Ended September 30,
 20232022
Supplemental cash flow information:  
Interest paid, net of capitalized interest$151,753 $138,972 
Income taxes paid (refunded)1,258 (2,003)
Capitalized interest42,879 26,970 
Supplemental schedule of non-cash investing and financing activities:
Increase in ROU asset in exchange for new lease liability related to operating leases1,160 954 
Accrued construction costs116,931 160,937 
Net noncash impact from the consolidation of property previously held in an unconsolidated joint venture993 — 
Retained investment in connection with South San Francisco JVs transaction— 293,265 
The following table summarizes certain cash flow information related to discontinued operations (in thousands):
Nine Months Ended September 30,
20232022
Leasing costs, tenant improvements, and recurring capital expenditures$— $21 
Development, redevelopment, and other major improvements of real estate— 18 
Depreciation and amortization of real estate, in-place lease, and other intangibles— — 
Schedule of Cash, Cash Equivalents and Restricted Cash
The following table summarizes cash, cash equivalents, and restricted cash (in thousands):
Nine Months Ended September 30,
202320222023202220232022
Continuing operationsDiscontinued operationsTotal
Beginning of period:
Cash and cash equivalents$72,032 $158,287 $— $7,707 $72,032 $165,994 
Restricted cash54,802 53,454 — — 54,802 53,454 
Cash, cash equivalents, and restricted cash$126,834 $211,741 $— $7,707 $126,834 $219,448 
End of period:
Cash and cash equivalents$63,478 $112,452 $— $2,172 $63,478 $114,624 
Restricted cash50,449 54,500 — — 50,449 54,500 
Cash, cash equivalents, and restricted cash$113,927 $166,952 $— $2,172 $113,927 $169,124