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MAALP Capital - Summary of Changes in Total Capital and its Components (Details) - M A A L P [Member] - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance $ 6,133,451 $ 6,257,371 $ 6,125,415 $ 6,279,936
Net Income Available for Common Unitholders 110,875 104,662 297,281 252,272
Other comprehensive income - derivative instruments 429 503 858 1,020
Issuance of units (1,106) (890) (949) (797)
Units repurchased and retired (1,769) (4,132) (3,071) (4,974)
Exercise of stock options     38  
Units issued in exchange for redeemable stock 2,109 2,069 2,109 2,069
Redeemable stock fair market value adjustment 2,724 (1,445) 829 (1,043)
Amortization of unearned compensation 3,815 3,805 9,676 10,330
Dividends on preferred stock (922) (922) (1,844) (1,844)
Distributions (181,880) (176,438) (363,674) (352,662)
Contribution from noncontrolling interest 1,520 1,630 2,578 1,906
Ending Balance 6,069,246 6,186,213 6,069,246 6,186,213
Limited Partner [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 154,810 161,909 155,409 163,128
Net income (loss) 2,748 2,709 7,481 6,570
General partner units issued in exchange for limited partner units (5,609) (2,009) (6,368) (2,603)
Adjustment for limited partners’ capital at redemption value (41) (191) 23 (73)
Distributions (4,469) (4,513) (9,106) (9,117)
Ending Balance 147,439 157,905 147,439 157,905
General Partners' Capital Account [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 5,889,484 6,014,015 5,882,336 6,036,154
Net Income Allocated to General Partners 107,205 101,031 287,956 243,858
Issuance of units (1,106) (890) (949) (797)
Units repurchased and retired (1,769) (4,132) (3,071) (4,974)
Exercise of stock options     38  
General partner units issued in exchange for limited partner units 5,609 2,009 6,368 2,603
Units issued in exchange for redeemable stock 2,109 2,069 2,109 2,069
Redeemable stock fair market value adjustment 2,724 (1,445) 829 (1,043)
Adjustment for limited partners’ capital at redemption value 41 191 (23) 73
Amortization of unearned compensation 3,815 3,805 9,676 10,330
Distributions (177,411) (171,925) (354,568) (343,545)
Ending Balance 5,830,701 5,944,728 5,830,701 5,944,728
Accumulated Distributions in Excess of Net Income [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 66,840 66,840 66,840 66,840
Net income (loss) 922 922 1,844 1,844
Dividends on preferred stock (922) (922) (1,844) (1,844)
Ending Balance 66,840 66,840 66,840 66,840
AOCI Attributable to Noncontrolling Interest [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance (6,635) (8,425) (7,064) (8,942)
Other comprehensive income - derivative instruments 429 503 858 1,020
Ending Balance (6,206) (7,922) (6,206) (7,922)
Noncontrolling Interests-Consolidated Real Estate Entities [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 28,952 23,032 27,894 22,756
Contribution from noncontrolling interest 1,520 1,630 2,578 1,906
Ending Balance $ 30,472 $ 24,662 $ 30,472 $ 24,662