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Condensed Consolidated Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2018
Sep. 30, 2017
Cash flow from operating activities:    
Net income $ 410,516 $ 355,105
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation and amortization 236,114 275,787
Impairment charges 33,855 34,280
Deferred Taxes (238)
Early extinguishment of debt charges 12,762 1,753
Equity award expense 14,455 17,836
Gain on sale of operating properties/change in control of interests (180,461) (62,102)
Gain on change in control of interests (71,160)
Equity in income of joint ventures, net (52,486) (37,044)
Equity in income of other real estate investments, net (24,638) (61,952)
Distributions from joint ventures and other real estate investments 80,900 41,071
Change in accounts and notes receivable 6,317 (189)
Change in accounts payable and accrued expenses 26,072 37,884
Change in Canadian withholding tax receivable 4,138
Change in other operating assets and liabilities (47,075) (41,353)
Net cash flow provided by operating activities 516,331 493,816
Cash flow from investing activities:    
Acquisition of operating real estate and other related net assets (5,407) (110,802)
Improvements to operating real estate (193,445) (136,534)
Acquisition of real estate under development (4,592) (10,010)
Improvements to real estate under development (175,129) (121,764)
Investments in marketable securities (63) (9,822)
Proceeds from sale/repayments of marketable securities 677 2,442
Investments in and advances to real estate joint ventures (25,781) (26,788)
Reimbursements of investments in and advances to real estate joint ventures 7,358 17,529
Investments in and advances to other real estate investments (353) (666)
Reimbursements of investments in and advances to other real estate investments 10,464 40,514
Investment in other financing receivable (65)
Collection of mortgage loans receivable 7,446 760
Investment in other investments (357)
Proceeds from sale of operating properties 596,502 76,869
Proceeds from insurance casualty claims 13,500
Net cash flow provided by/(used for) investing activities 230,755 (278,272)
Cash flow from financing activities:    
Principal payments on debt, excluding normal amortization of rental property debt (202,725) (678,939)
Principal payments on rental property debt (10,025) (11,508)
Proceeds from mortgage and construction loan financings 30,366 206,000
Proceeds/repayments under the unsecured revolving credit facility, net 122,254 (42)
Proceeds from issuance of unsecured notes 1,250,000
Repayments under unsecured notes/term loan (315,095) (460,988)
Financing origination costs (1,208) (22,975)
Payment of early extinguishment of debt charges (13,308) (2,461)
Contributions from noncontrolling interests 109 1,422
Redemption/distribution of noncontrolling interests (6,046) (95,410)
Dividends paid (397,232) (381,182)
Proceeds from issuance of stock, net 33,601 218,750
Repurchase of common stock (75,126)
Redemption of preferred stock (225,000)
Change in other financing liabilities (4,778) 891
Net cash flow used for financing activities (839,213) (201,442)
Net change in cash and cash equivalents (92,127) 14,102
Cash and cash equivalents, beginning of the period 238,513 142,486
Cash and cash equivalents, end of the period 146,386 156,588
Interest paid during the period including payment of early extinguishment of debt charges of $12,762 and $0, respectively (net of capitalized interest of $13,319 and $10,671 respectively) $ 141,371 $ 118,736