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Disclosure about Fair Value of Financial Instruments (Items Measured at Fair Value on a Recurring Basis) (Details) - USD ($)
$ in Thousands
Dec. 31, 2018
Dec. 31, 2017
The Market approach utilized to measure fair value of financial assets and liabilities on recurring basis    
Equity securities $ 11,286 $ 7,269
Foreign currency forward contracts and cross currency swaps, net asset (liability) 23,620  
Redeemable OP unitholder interests 103,071  
Totals 137,977  
Level 1    
The Market approach utilized to measure fair value of financial assets and liabilities on recurring basis    
Equity securities 11,286  
Foreign currency forward contracts and cross currency swaps, net asset (liability) 0  
Redeemable OP unitholder interests 0  
Totals 11,286  
Level 2    
The Market approach utilized to measure fair value of financial assets and liabilities on recurring basis    
Equity securities 0  
Foreign currency forward contracts and cross currency swaps, net asset (liability) 23,620  
Redeemable OP unitholder interests 103,071  
Totals 126,691  
Level 3    
The Market approach utilized to measure fair value of financial assets and liabilities on recurring basis    
Equity securities 0  
Foreign currency forward contracts and cross currency swaps, net asset (liability) 0  
Redeemable OP unitholder interests 0  
Totals $ 0