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Redeemable Noncontrolling Interests (Tables)
12 Months Ended
Dec. 31, 2013
Redeemable Noncontrolling Interests [Abstract]  
Operating Partnership Units Held By Third Parties
                  
(Amounts in thousands, except units and              Preferred or
per unit amounts) Balance as of  Units Outstanding at Per Unit Annual
   December 31, December 31, Liquidation Distribution
Unit Series 2013  2012 2013 2012 Preference Rate
Common:                
 Class A  $ 1,002,620 $ 898,152  11,292,038  11,215,682  n/a $2.92
                  
Perpetual Preferred: (1)                
 5.00% D-16 Cumulative Redeemable  $ 1,000 $ 1,000  1  1 $ 1,000,000.00 $ 50,000.00
 6.875% D-15 Cumulative Redeemable (2)   -   45,000  -  1,800,000 $n/a $n/a
   $ 1,000 $ 46,000  1  1,800,001      
                  
(1)Holders may tender units for redemption to the Operating Partnership for cash at their stated redemption amount; we, at our option, may assume that obligation and pay the holders either cash or Vornado preferred shares on a one-for-one basis. These units are redeemable at our option at any time.
(2)On May 9, 2013, we redeemed all of the outstanding 6.875% Series D-15 Cumulative Redeemable Preferred units with an aggregate face amount of $45,000 for $36,900 in cash, plus accrued and unpaid distributions through the date of redemption.
Summary Of Activity Of Redeemable Noncontrolling Interests
Below is a table summarizing the activity of redeemable noncontrolling interests.
     
 (Amounts in thousands)   
 Balance at December 31, 2011$ 1,160,677 
 Net income  45,263 
 Other comprehensive loss  (6,707) 
 Distributions  (54,315) 
 Redemption of Class A units for common shares, at redemption value  (89,762) 
 Adjustment to carry redeemable Class A units at redemption value  52,117 
 Redemption of Series D-10 and Series D-14 redeemable units  (168,300) 
 Other, net  5,179 
 Balance at December 31, 2012  944,152 
 Net income  24,817 
 Other comprehensive income  5,296 
 Distributions  (34,053) 
 Redemption of Class A units for common shares, at redemption value  (25,317) 
 Adjustment to carry redeemable Class A units at redemption value  108,252 
 Redemption of Series D-15 redeemable units  (36,900) 
 Other, net  17,373 
 Balance at December 31, 2013$ 1,003,620