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SUPPLEMENTAL DISCLOSURE TO CONSOLIDATED STATEMENTS OF CASH FLOWS (Detail) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Reconciliation of cash and cash equivalents and restricted cash:        
Cash and cash equivalents $ 20,534 $ 163,535 $ 24,117  
Restricted cash 3,877 4,023 9,263  
Cash, cash equivalents and restricted cash at end of year 24,411 167,558 33,380 $ 11,671
Supplemental Information:        
Interest paid during the period, net of amounts capitalized 214,406 216,206 205,943  
Taxes paid during the period 6,288 6,974 5,097  
Non cash investing activities        
Non cash acquisition of a business 0 (1,826) (566,966)  
Non cash acquisition of real estate (58,595) 0 (531,801)  
Non cash proceeds from sale of real estate investments 0 83,910 0  
Non cash placement of mortgage principal (7,000) (86,936) 0  
Non cash collection of mortgage principal 58,595 0 0  
Non cash surrender of mortgage 0 0 11,874  
Non cash investment in other investments 0 (121,139) (27,408)  
Non cash proceeds from other investments 7,000 68,025 149,542  
Non cash settlement of direct financing lease 0 0 4,970  
Initial non cash right of use asset - ground leases 0 0 5,593  
Initial non cash lease liability - ground leases 0 0 (5,593)  
Non cash financing activities        
Debt assumed in merger 0 0 285,100  
Stock exchanged in merger 0 0 281,865  
Acquisition of other long term borrowings 0 0 388,627  
Non cash borrowing (repayment) of other long term debt (20,000) 6,459 (6,459)  
Change in fair value of cash flow hedges 23,457 19,788 (7,757)  
Remeasurement of debt denominated in a foreign currency $ 3,010 $ 8,911 $ 4,490