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Restatement of Previously Issued Consolidated Financial Statements - Consolidated Statement of Cash Flows (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Dec. 31, 2020
Sep. 30, 2020
Jun. 30, 2020
Mar. 31, 2020
Jun. 30, 2021
Jun. 30, 2020
Sep. 30, 2021
Sep. 30, 2020
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
CASH FLOWS FROM OPERATING ACTIVITIES                              
Net income (loss)                       $ 26,030 $ (65,718) $ 23,234  
Adjustments to reconcile net income (loss) to net cash provided by operating activities:                              
Depreciation and amortization                       123,439 147,229 122,580  
Straight-line rents                       (6,726) (4,869) (4,185)  
Noncash lease expense                       3,721 3,392 0  
Net unrealized holding gains on investments                       (51,925) (72,391) 0  
Distributions Of Operating Income From Unconsolidated Affiliates                       3,828 3,286 11,273  
Equity in (earnings) losses of unconsolidated affiliates                       (5,330) 3,057 (5,899)  
Stock compensation expense                       12,430 10,912 10,006  
Amortization Of Financing Costs                       4,396 5,038 6,718  
Impairment charges                       9,925 85,598 1,721  
Gain on disposition of properties                       (10,521) (683) (30,324)  
Allowance for credit loss                       (2,796) 24,569 2,742  
Adjustments To Straight Line Rent Reserves                       2,682 21,871 1,961  
Gain on debt extinguishment                       0 18,339 0  
Deferred Gain Loss On Tax Credits                       0 0 5,034  
Other, net                       (5,304) (8,155) (11,575)  
Changes in assets and liabilities:                              
Other liabilities                       7,856 (3,959) (4,850)  
Lease liability - operating leases                       (3,636) (1,579) 2,014  
Prepaid expenses and other assets                       (7,427) 4 8,206  
Rents receivable                       7,384 (28,321) 1,089  
Accounts payable and accrued expenses                       572 3,005 1,705  
Net cash provided by operating activities                       104,983 103,947 131,382  
CASH FLOWS FROM INVESTING ACTIVITIES                              
Acquisition of real estate                       (161,846) (21,208) (319,673)  
Development, construction and property improvement costs                       (40,671) (36,579) (89,385)  
Proceeds from the disposition of properties, net                       63,901 20,930 88,738  
Investments In And Advances To Unconsolidated Affiliates And Other                       14,835 14,483 164,922  
Return Of Capital From Unconsolidated Affiliates And Other                       17,722 14,686 106,005  
Issuance of notes receivable                       (57,895) (59,000) (3,608)  
Return of deposits for properties under contract                       0 187 2,870  
Payment of deferred leasing costs                       (4,914) (6,407) (6,782)  
Change in control of previously unconsolidated affiliate                       0 950 0  
Net cash used in investing activities                       (198,538) (100,924) (410,538)  
CASH FLOWS FROM FINANCING ACTIVITIES                              
Principal payments on mortgage and other notes                       (98,602) (51,949) (158,211)  
Principal payments on unsecured debt                       (206,781) (136,490) (521,600)  
Proceeds received on mortgage and other notes                       56,847 5,351 324,995  
Proceeds from unsecured debt                       323,200 236,804 526,400  
Payments of finance lease obligations                       (63) (903) (2,749)  
Proceeds from the sale (repurchase) of Common Shares                       63,876 (22,386) 145,498  
Capital contributions from noncontrolling interests                       30,164 52,174 161,365  
Distributions to noncontrolling interests                       (30,410) (31,461) (101,364)  
Dividends paid to Common Shareholders                       (39,476) (50,182) (93,902)  
Deferred financing and other costs                       (7,436) (2,215) (6,476)  
Net cash used in financing activities                       91,319 (1,257) 273,956  
Increase in cash and restricted cash                       (2,236) 1,766 (5,200)  
Cash of $14,149 and restricted cash of $13,880 beginning of period       $ 29,795               27,559 29,795 28,029 $ 33,229
Cash of $18,699 and restricted cash of $11,096 end of period       29,795               27,559 29,795 28,029 33,229
Supplemental disclosure of cash flow information                              
Cash paid during the period for interest, net of capitalized interest of $3,421                       44,663 70,383 69,076  
Cash paid for income taxes, net of (refunds)                       147 (329) 730  
Supplemental disclosure of non-cash investing and financing activities                              
Adjustment to equity as a result of the implementation of CECL                       0 400 0  
Assumption of accounts payable and accrued expenses through acquisition of real estate                       1,319 116 4,666  
Notes Receivable Exchanged For Real Estate                       0 72,430 13,530  
Acquisition Of Real Estate Through Assumption Of Debt                       31,801 0 0  
Distribution declared and payable                       14,314 123 26,914  
Right-of-use assets, finance leases (modified) obtained in exchange for finance lease liabilities                       0 (70,427) 16,349  
Right Of Use Assets Finance Leases Obtained In Exchange For Assets Under Capital Lease                       0 0 76,965  
Right-of-use assets, operating leases exchanged for operating lease liabilities                       412 33,189 57,165  
Capital Lease Obligation Exchanged For Finance Lease Liability                       0 0 71,111  
Other Liabilities Exchanged For Operating Lease Liabilities                       0 0 946  
Assumption Of Debt Through Investments In Unconsolidated Affiliates                       0 0 4,688  
Debt Exchanged For Deferred Gain On Tax Credits                       0 0 (5,262)  
Other Assets Exchanged For Deferred Gain On Tax Credits                       0 0 228  
Settlement Of Note Receivable Through Cancellation Of OP Units                       479 0 0  
Change In Control Of Previously Unconsolidated Consolidated Investment [Abstract]                              
Increase in real estate                       0 (135,190) 828  
Decrease in investments in and advances to unconsolidated affiliates                       0 96,816 (1,189)  
Change in other assets and liabilities                       0 1,238 12  
Acquisition of noncontrolling interest asset                       0 (588) 0  
Decrease in notes receivable                       0 38,674 0  
Decrease in right-of-use assets, finance leases                       0 0 11,051  
Decrease in finance lease liability                       0 0 (10,702)  
Increase in cash and restricted cash upon change of control                       $ 0 950 0  
Previously Reported                              
CASH FLOWS FROM OPERATING ACTIVITIES                              
Net income (loss) $ 31,557 $ 1,231 $ 1,860 (32,616) $ (38,289) $ 64,906 $ (60,039) $ 3,091 $ 4,867 $ 34,648 $ (33,422)   (66,038) 21,204  
Adjustments to reconcile net income (loss) to net cash provided by operating activities:                              
Depreciation and amortization     31,390       33,377 62,735 67,170 93,601 101,627   149,793 125,443  
Straight-line rents     1,128         2,765   4,244   5,096 0  
Noncash lease expense     1,041         2,066   2,887   3,392    
Net unrealized holding gains on investments     (6,135)         (8,565) (64,937) (55,796) (57,031)   (72,391)    
Distributions Of Operating Income From Unconsolidated Affiliates     390       1,898 1,387 2,206 2,004 2,829   3,286 11,273  
Equity in (earnings) losses of unconsolidated affiliates (644) (1,106) (2,263) 1,082 624 786 (1,255) (3,369) (469) (4,013) 155   1,237 (8,922)  
Stock compensation expense     4,511       3,819 7,135 6,136 9,780 8,551   10,912 10,957  
Amortization Of Financing Costs     1,269       1,763 2,546 2,920 3,901 4,040   5,169 7,577  
Impairment charges 9,925 0 0 34,049 0 51,549 0 51,549 9,925 51,549   85,598 1,721  
Gain on disposition of properties (5,909) (4,612) (174) (24) (485) 0 (10,521) (485) (10,521) (509)   (683) (30,324)  
Allowance for credit loss     3,065         1,238   973   24,770 0  
Adjustments To Straight Line Rent Reserves     817         511   254   22,074 0  
Gain on debt extinguishment                         (18,339)    
Deferred Gain Loss On Tax Credits                           (5,034)  
Other, net     2,312       1,107 4,127 2,780 5,319 2,923   (8,753) (11,627)  
Changes in assets and liabilities:                              
Other liabilities     3,847       (6,844) 3,114 (6,684) 1,833 (7,736)   (4,208) (4,466)  
Lease liability - operating leases     (494)         (1,533)   (2,653)   (1,579)  
Prepaid expenses and other assets     (1,859)       (2,107) 487 4,213 5,579 1,435   32 8,198  
Rents receivable     2,408       (24) (2,801) 25,177 (4,104) 31,511   (29,810) (455)  
Accounts payable and accrued expenses     237       (2,327) (609) 12,222 220 7,015   3,199 1,632  
Net cash provided by operating activities     30,934       27,735 51,033 58,500 72,390 81,081   102,565 127,177  
CASH FLOWS FROM INVESTING ACTIVITIES                              
Acquisition of real estate             (19,088)   (21,208) (63,425) (21,208)   (21,208) (319,673)  
Acquisition of leasehold interests                           39,031  
Development, construction and property improvement costs     (5,425)       (13,333) (16,620) (20,533) (27,197) (27,949)   (40,483) (89,270)  
Proceeds from the disposition of properties, net     15,703       0 63,901 13,925 63,901 14,182   20,930 88,738  
Investments In And Advances To Unconsolidated Affiliates And Other     (1,725)       (1,525) (3,976) (3,270) (6,111) (3,662)   (4,291) (151,281)  
Return Of Capital From Unconsolidated Affiliates And Other     4,377       5,024 7,717 7,151 10,671 9,054   14,686 105,999  
Issuance of notes receivable             (59,000) (15,995) (59,000) (57,957) (59,000)   (59,000) (3,608)  
Proceeds from notes receivable                           15,250  
Return of deposits for properties under contract             200 (1,000) 187   187   187 2,870  
Payment of deferred leasing costs     (1,438)       (2,763) (3,080) (4,885) (3,509) (5,422)   (7,979) (7,051)  
Change in control of previously unconsolidated affiliate                         950    
Net cash used in investing activities     11,492       (90,485) 30,947 (86,683) (83,627) (92,868)   (96,208) (397,057)  
CASH FLOWS FROM FINANCING ACTIVITIES                              
Principal payments on mortgage and other notes     (20,406)       (1,488) (52,408) (14,360) (69,766) (18,981)   (55,449) (168,211)  
Principal payments on unsecured debt     (33,250)       (5,000) (102,800) (69,930) (160,387) (123,750)   (136,490) (521,600)  
Proceeds received on mortgage and other notes     3,809       689 8,818 3,340 12,654 5,523   7,261 326,268  
Proceeds from unsecured debt     536       122,245 49,295 181,700 211,854 215,554   236,804 526,400  
Payments of finance lease obligations             (625)   (833) (63) (903)   (903) (2,749)  
Proceeds from the sale (repurchase) of Common Shares             (22,352) 45,675 (22,386) 45,865 (22,386)   (22,386) 145,498  
Capital contributions from noncontrolling interests     11,241       7,268 17,109 28,309 26,627 36,736   52,674 161,628  
Distributions to noncontrolling interests     (6,800)       (4,914) (12,202) (8,178) (23,781) (28,418)   (31,461) (101,370)  
Dividends paid to Common Shareholders             (25,245) (12,945) (50,182) (26,208) (50,182)   (50,182) (93,902)  
Deferred financing and other costs     (333)       (222) (6,707) (960) (7,296) (1,635)   (2,311) (6,920)  
Net cash used in financing activities     (45,203)       70,356 (66,165) 46,520 9,499 11,558   (2,443) 265,042  
Increase in cash and restricted cash     (2,777)       7,606 15,815 18,337 (1,738) (229)   3,914 (4,838)  
Cash of $14,149 and restricted cash of $13,880 beginning of period 32,186 49,739 31,147 33,924 29,781 48,347 37,616 49,739 48,347 32,186 29,781   33,924 30,010 34,848
Cash of $18,699 and restricted cash of $11,096 end of period 32,186 49,739 31,147 33,924 29,781 48,347 37,616 49,739 48,347 32,186 29,781   33,924 30,010 34,848
Supplemental disclosure of cash flow information                              
Cash paid during the period for interest, net of capitalized interest of $3,421                         72,392 53,586  
Cash paid for income taxes, net of (refunds)                         (329) 730  
Supplemental disclosure of non-cash investing and financing activities                              
Adjustment to equity as a result of the implementation of CECL                         400 0  
Assumption of accounts payable and accrued expenses through acquisition of real estate                         116 4,666  
Notes Receivable Exchanged For Real Estate                         72,430 13,530  
Acquisition Of Real Estate Through Assumption Of Debt                         0 0  
Distribution declared and payable                         0  
Right-of-use assets, finance leases (modified) obtained in exchange for finance lease liabilities                         (70,427) 16,349  
Right Of Use Assets Finance Leases Obtained In Exchange For Assets Under Capital Lease                         0 76,965  
Right-of-use assets, operating leases exchanged for operating lease liabilities                         33,189 57,165  
Capital Lease Obligation Exchanged For Finance Lease Liability                           71,111  
Other Liabilities Exchanged For Operating Lease Liabilities                           946  
Assumption Of Debt Through Investments In Unconsolidated Affiliates                           4,688  
Debt Exchanged For Deferred Gain On Tax Credits                            
Other Assets Exchanged For Deferred Gain On Tax Credits                            
Right of use assets, operating leases terminated in exchange for finance lease liabilities                         (1,432) 0  
Change In Control Of Previously Unconsolidated Consolidated Investment [Abstract]                              
Increase in real estate                         (135,190) 828  
Decrease in investments in and advances to unconsolidated affiliates                         96,816 (1,189)  
Change in other assets and liabilities                         1,238 12  
Acquisition of noncontrolling interest asset           588     588   588   (588) 0  
Decrease in notes receivable                         38,674 0  
Decrease in right-of-use assets, finance leases                           11,051  
Decrease in finance lease liability                           (10,702)  
Increase in cash and restricted cash upon change of control                         950 0  
Adjustments                              
CASH FLOWS FROM OPERATING ACTIVITIES                              
Net income (loss) (485) (779) (1,163) (309) 446 (2,101) 2,284 (1,942) 183 (2,427) 629   320 2,030  
Adjustments to reconcile net income (loss) to net cash provided by operating activities:                              
Depreciation and amortization     (750)       (729) (1,555) (1,145) (2,357) (1,842)   (2,564) (2,863)  
Straight-line rents     (36)       1,094 (80) 2,807 (137) 3,861   (227) (4,185)  
Noncash lease expense           619 1,368 0 2,382   0    
Net unrealized holding gains on investments               0   0    
Distributions Of Operating Income From Unconsolidated Affiliates             0   0 0  
Equity in (earnings) losses of unconsolidated affiliates 272 207 381 446 612 394 368 588 762 860 1,374   1,820 3,023  
Stock compensation expense             0   0 (951)  
Amortization Of Financing Costs     (18)       (42) (36) (71) (239) (99)   (131) (859)  
Impairment charges   0 0 0 0 0 0 0   0   0 0  
Gain on disposition of properties 0 0   0 0  
Allowance for credit loss     (123)       1,238 (144) 9,620 (200) 20,381   (201) 2,742  
Adjustments To Straight Line Rent Reserves     79       967 73 6,404 66 19,483   (203) 1,961  
Gain on debt extinguishment                         0    
Other, net     (1,386)       (1) (2,258) (3) (3,060) 306   (598) 52  
Changes in assets and liabilities:                              
Other liabilities     (48)       122 (74) 175 (85) 153   249 384  
Lease liability - operating leases           (376) (807) 0 (957)   0 2,014  
Prepaid expenses and other assets     105       177 (37) 343 102 164   (28) 8  
Rents receivable     (90)       (2,457) 24 (3,943) (14) (4,735)   1,489 1,544  
Accounts payable and accrued expenses     275       24 267 (2,375) 269 53   (194) 73  
Net cash provided by operating activities     40       892 (472) (1,265) (1,004) 2,079   1,382 4,205  
CASH FLOWS FROM INVESTING ACTIVITIES                              
Acquisition of real estate                   0   0  
Acquisition of leasehold interests                            
Development, construction and property improvement costs     (46)       (489) (880) (1,555) (1,262) (1,064)   (3,904) 115  
Proceeds from the disposition of properties, net           0   0   0  
Investments In And Advances To Unconsolidated Affiliates And Other     (336)       (951) (647) (1,289) (921) (2,023)   10,192 (13,641)  
Return Of Capital From Unconsolidated Affiliates And Other     1,000         1,000   1,400   6  
Issuance of notes receivable                 0   0  
Return of deposits for properties under contract                     0    
Payment of deferred leasing costs     (410)       17 (360) (1,631) (318) (1,620)   1,572 269  
Change in control of previously unconsolidated affiliate                         0    
Net cash used in investing activities     1,120       (479) 1,593 1,897 2,059 661   (4,716) (13,481)  
CASH FLOWS FROM FINANCING ACTIVITIES                              
Principal payments on mortgage and other notes               0   3,500 27,627  
Principal payments on unsecured debt               0   0  
Proceeds received on mortgage and other notes     (2,990)         (2,990) (1,000) (2,990) (1,910)   (1,910) (18,900)  
Proceeds from unsecured debt               0   0  
Payments of finance lease obligations                   0   0  
Proceeds from the sale (repurchase) of Common Shares                 0   0  
Capital contributions from noncontrolling interests               0   (500) (263)  
Distributions to noncontrolling interests     (1,000)         (1,000)   (1,400)   0 6  
Dividends paid to Common Shareholders                 0   0  
Deferred financing and other costs               0   96 444  
Net cash used in financing activities     (1,990)         (1,990) (1,000) (1,590) (1,910)   1,186 8,914  
Increase in cash and restricted cash     (830)       413 (869) (368) (535) 830   (2,148) (362)  
Cash of $14,149 and restricted cash of $13,880 beginning of period (4,664) (4,998) (4,959) (4,129) (1,151) (2,349) (1,568) (4,998) (2,349) (4,664) (1,151)   (4,129) (1,981) (1,619)
Cash of $18,699 and restricted cash of $11,096 end of period (4,664) (4,998) (4,959) (4,129) (1,151) (2,349) (1,568) (4,998) (2,349) (4,664) (1,151)   (4,129) (1,981) (1,619)
Supplemental disclosure of cash flow information                              
Cash paid during the period for interest, net of capitalized interest of $3,421                         (2,009) 15,490  
Cash paid for income taxes, net of (refunds)                         0  
Supplemental disclosure of non-cash investing and financing activities                              
Adjustment to equity as a result of the implementation of CECL                         0 0  
Assumption of accounts payable and accrued expenses through acquisition of real estate                         0  
Notes Receivable Exchanged For Real Estate                         0  
Acquisition Of Real Estate Through Assumption Of Debt                         0 0  
Distribution declared and payable                         123  
Right-of-use assets, finance leases (modified) obtained in exchange for finance lease liabilities                         0 0  
Right Of Use Assets Finance Leases Obtained In Exchange For Assets Under Capital Lease                         0  
Right-of-use assets, operating leases exchanged for operating lease liabilities                         0  
Capital Lease Obligation Exchanged For Finance Lease Liability                            
Other Liabilities Exchanged For Operating Lease Liabilities                            
Assumption Of Debt Through Investments In Unconsolidated Affiliates                            
Debt Exchanged For Deferred Gain On Tax Credits                            
Other Assets Exchanged For Deferred Gain On Tax Credits                            
Settlement Of Note Receivable Through Cancellation Of OP Units                           0  
Right of use assets, operating leases terminated in exchange for finance lease liabilities                           0  
As Restated                              
CASH FLOWS FROM OPERATING ACTIVITIES                              
Net income (loss) 31,072 452 697 (32,925) (37,843) 62,805 (57,755) 1,149 5,050 32,221 (32,793)   (65,718) 23,234  
Adjustments to reconcile net income (loss) to net cash provided by operating activities:                              
Depreciation and amortization     30,640       32,648 61,180 66,025 91,244 99,785   147,229 122,580  
Straight-line rents     1,092       1,094 2,685 2,807 4,107 3,861   4,869 (4,185)  
Noncash lease expense     1,041       619 2,066 1,368 2,887 2,382   3,392    
Net unrealized holding gains on investments     (6,135)         (8,565) (64,937) (55,796) (57,031)   (72,391)    
Distributions Of Operating Income From Unconsolidated Affiliates     390       1,898 1,387 2,206 2,004 2,829   3,286 11,273  
Equity in (earnings) losses of unconsolidated affiliates (372) (899) (1,882) 1,528 1,236 1,180 (887) (2,781) 293 (3,153) 1,529   3,057 (5,899)  
Stock compensation expense     4,511       3,819 7,135 6,136 9,780 8,551   10,912 10,006  
Amortization Of Financing Costs     1,251       1,721 2,510 2,849 3,662 3,941   5,038 6,718  
Impairment charges 9,925 0 0 34,049 0 51,549 0 51,549 9,925 51,549   85,598 1,721  
Gain on disposition of properties (5,909) (4,612) (174) (24) (485) 0 (10,521) (485) (10,521) (509)   (683) (30,324)  
Allowance for credit loss     2,942       1,238 1,094 9,620 773 20,381   24,569 2,742  
Adjustments To Straight Line Rent Reserves     896       967 584 6,404 320 19,483   21,871 1,961  
Gain on debt extinguishment                         (18,339)    
Deferred Gain Loss On Tax Credits                           (5,034)  
Other, net     926       1,106 1,869 2,777 2,259 3,229   (8,155) (11,575)  
Changes in assets and liabilities:                              
Other liabilities     3,799       (6,722) 3,040 (6,509) 1,748 (7,583)   (3,959) (4,850)  
Lease liability - operating leases     (494)       (376) (1,533) (807) (2,653) (957)   (1,579) 2,014  
Prepaid expenses and other assets     (1,754)       (1,930) 450 4,556 5,681 1,599   4 8,206  
Rents receivable     2,318       (2,481) (2,777) 21,234 (4,118) 26,776   (28,321) 1,089  
Accounts payable and accrued expenses     512       (2,303) (342) 9,847 489 7,068   3,005 1,705  
Net cash provided by operating activities     30,974       28,627 50,561 57,235 71,386 83,160   103,947 131,382  
CASH FLOWS FROM INVESTING ACTIVITIES                              
Acquisition of real estate             (19,088)   (21,208) (63,425) (21,208)   (21,208) (319,673)  
Acquisition of leasehold interests                           39,031  
Development, construction and property improvement costs     (5,379)       (12,844) (15,740) (18,978) (25,935) (26,885)   (36,579) (89,385)  
Proceeds from the disposition of properties, net     15,703       0 63,901 13,925 63,901 14,182   20,930 88,738  
Investments In And Advances To Unconsolidated Affiliates And Other     (2,061)       (2,476) (4,623) (4,559) (7,032) (5,685)   (14,483) (164,922)  
Return Of Capital From Unconsolidated Affiliates And Other     5,377       5,024 8,717 7,151 12,071 9,054   14,686 106,005  
Issuance of notes receivable             (59,000) (15,995) (59,000) (57,957) (59,000)   (59,000) (3,608)  
Proceeds from notes receivable                           15,250  
Return of deposits for properties under contract             200 (1,000) 187   187   187 2,870  
Payment of deferred leasing costs     (1,028)       (2,780) (2,720) (3,254) (3,191) (3,802)   (6,407) (6,782)  
Change in control of previously unconsolidated affiliate                         950    
Net cash used in investing activities     12,612       (90,964) 32,540 (84,786) (81,568) (92,207)   (100,924) (410,538)  
CASH FLOWS FROM FINANCING ACTIVITIES                              
Principal payments on mortgage and other notes     (20,406)       (1,488) (52,408) (14,360) (69,766) (18,981)   (51,949) (140,584)  
Principal payments on unsecured debt     (33,250)       (5,000) (102,800) (69,930) (160,387) (123,750)   (136,490) (521,600)  
Proceeds received on mortgage and other notes     819       689 5,828 2,340 9,664 3,613   5,351 307,368  
Proceeds from unsecured debt     536       122,245 49,295 181,700 211,854 215,554   236,804 526,400  
Payments of finance lease obligations             (625)   (833) (63) (903)   (903) (2,749)  
Proceeds from the sale (repurchase) of Common Shares             (22,352) 45,675 (22,386) 45,865 (22,386)   (22,386) 145,498  
Capital contributions from noncontrolling interests     11,241       7,268 17,109 28,309 26,627 36,736   52,174 161,365  
Distributions to noncontrolling interests     (5,800)       (4,914) (11,202) (8,178) (22,381) (28,418)   (31,461) (101,364)  
Dividends paid to Common Shareholders             (25,245) (12,945) (50,182) (26,208) (50,182)   (50,182) (93,902)  
Deferred financing and other costs     (333)       (222) (6,707) (960) (7,296) (1,635)   (2,215) (6,476)  
Net cash used in financing activities     (47,193)       70,356 (68,155) 45,520 7,909 9,648   (1,257) 273,956  
Increase in cash and restricted cash     (3,607)       8,019 14,946 17,969 (2,273) 601   1,766 (5,200)  
Cash of $14,149 and restricted cash of $13,880 beginning of period 27,522 44,741 26,188 29,795 28,630 45,998 36,048 44,741 45,998 27,522 28,630   29,795 28,029 33,229
Cash of $18,699 and restricted cash of $11,096 end of period $ 27,522 $ 44,741 $ 26,188 $ 29,795 $ 28,630 45,998 $ 36,048 $ 44,741 45,998 $ 27,522 28,630   29,795 28,029 $ 33,229
Supplemental disclosure of cash flow information                              
Cash paid during the period for interest, net of capitalized interest of $3,421                         70,383 69,076  
Cash paid for income taxes, net of (refunds)                         (329) 730  
Supplemental disclosure of non-cash investing and financing activities                              
Adjustment to equity as a result of the implementation of CECL                         400 0  
Assumption of accounts payable and accrued expenses through acquisition of real estate                         116 4,666  
Notes Receivable Exchanged For Real Estate                         72,430 13,530  
Acquisition Of Real Estate Through Assumption Of Debt                         0 0  
Distribution declared and payable                         123 26,914  
Right-of-use assets, finance leases (modified) obtained in exchange for finance lease liabilities                         (70,427) 16,349  
Right Of Use Assets Finance Leases Obtained In Exchange For Assets Under Capital Lease                         0 76,965  
Right-of-use assets, operating leases exchanged for operating lease liabilities                         33,189 57,165  
Capital Lease Obligation Exchanged For Finance Lease Liability                           71,111  
Other Liabilities Exchanged For Operating Lease Liabilities                           946  
Assumption Of Debt Through Investments In Unconsolidated Affiliates                           4,688  
Debt Exchanged For Deferred Gain On Tax Credits                           (5,262)  
Other Assets Exchanged For Deferred Gain On Tax Credits                           228  
Settlement Of Note Receivable Through Cancellation Of OP Units                           0  
Right of use assets, operating leases terminated in exchange for finance lease liabilities                         (1,432) 0  
Change In Control Of Previously Unconsolidated Consolidated Investment [Abstract]                              
Increase in real estate                         (135,190) 828  
Decrease in investments in and advances to unconsolidated affiliates                         96,816 (1,189)  
Change in other assets and liabilities                         1,238 12  
Acquisition of noncontrolling interest asset           $ 588     $ 588   $ 588   (588) 0  
Decrease in notes receivable                         38,674 0  
Decrease in right-of-use assets, finance leases                           11,051  
Decrease in finance lease liability                           (10,702)  
Increase in cash and restricted cash upon change of control                         $ 950 $ 0