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MAALP Capital - Summary of Changes in Total Capital and its Components (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Jun. 30, 2020
Jun. 30, 2019
Increase (Decrease) in Partners' Capital [Roll Forward]        
Dividends, Preferred Stock, Cash $ (922) $ (922) $ (1,844) $ (1,844)
M A A L P        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 6,215,546 6,325,280 6,289,440 6,372,170
Net Income Available for Common Unitholders 77,728 64,141 115,680 130,099
Other comprehensive income (loss) - derivatives instruments (cash flow hedges) 278 (6,004) 531 (9,205)
Issuance of units (416) (519) (377) 610
Units repurchased and retired (3,930) (701) (5,657) (3,724)
Exercise of unit options   1,032 71 1,240
Units issued in exchange for redeemable units   575   575
Redeemable stock fair market value adjustment (1,297) (835) 1,814 (2,186)
Amortization of unearned compensation 2,864 3,452 8,153 8,237
Dividends, Preferred Stock, Cash (922) (922) (1,844) (1,844)
Distributions (118,494) (113,482) (236,855) (226,815)
Contribution from noncontrolling interest 201 490 602 3,350
Ending Balance 6,171,558 6,272,507 6,171,558 6,272,507
M A A L P | Limited Partner [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 211,498 218,011 214,647 220,043
Net income 2,666 2,224 3,970 4,522
General partnership units issued in exchange for limited partnership units   (821) (450) (1,157)
Adjustment for limited partners’ capital at redemption value (211) (85) (155) (138)
Distributions (4,059) (3,925) (8,118) (7,866)
Ending Balance 209,894 215,404 209,894 215,404
M A A L P | General Partners' Capital Account [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 5,943,891 6,038,625 6,015,290 6,083,142
Net Income Allocated to General Partners 74,140 60,995 109,866 123,733
Issuance of units (416) (519) (377) 610
Units repurchased and retired (3,930) (701) (5,657) (3,724)
Exercise of unit options   1,032 71 1,240
General partnership units issued in exchange for limited partnership units   821 450 1,157
Units issued in exchange for redeemable units   575   575
Redeemable stock fair market value adjustment (1,297) (835) 1,814 (2,186)
Adjustment for limited partners’ capital at redemption value 211 85 155 138
Amortization of unearned compensation 2,864 3,452 8,153 8,237
Distributions (114,435) (109,557) (228,737) (218,949)
Ending Balance 5,901,028 5,993,973 5,901,028 5,993,973
M A A L P | 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 922 922 1,844 1,844
Dividends, Preferred Stock, Cash (922) (922) (1,844) (1,844)
Ending Balance 66,840 66,840 66,840 66,840
M A A L P | AOCI Attributable to Noncontrolling Interest [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance (13,331) (3,362) (13,584) (161)
Other comprehensive income (loss) - derivatives instruments (cash flow hedges) 278 (6,004) 531 (9,205)
Ending Balance (13,053) (9,366) (13,053) (9,366)
M A A L P | Noncontrolling Interests-Consolidated Real Estate Entities [Member]        
Increase (Decrease) in Partners' Capital [Roll Forward]        
Beginning Balance 6,648 5,166 6,247 2,306
Contribution from noncontrolling interest 201 490 602 3,350
Ending Balance $ 6,849 $ 5,656 $ 6,849 $ 5,656