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Fair Value (Tables)
12 Months Ended
Dec. 31, 2023
Fair Value Disclosures [Abstract]  
Schedule of summary of consolidated hedging derivatives, excluding derivatives executed to hedge debt on communities classified as held for sale
The following table summarizes the consolidated derivative positions at December 31, 2023 (dollars in thousands):

Non-designated HedgesCash Flow Hedges
Interest Rate CapsInterest Rate Swaps
Notional balance$632,215 $200,000 
Weighted average interest rate (1)5.5 %N/A
Weighted average capped/swapped interest rate6.5 %3.1 %
Earliest maturity dateJanuary 2024February 2024
Latest maturity dateJanuary 2027June 2024
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(1)     For debt hedged by interest rate caps, represents the weighted average interest rate on the hedged debt prior to any impact of the associated interest rate caps.
Schedule of summary of classification between the three levels of the fair value hierarchy of the Company's financial instruments measured at fair value on a recurring basis
The following tables summarize the classification between the three levels of the fair value hierarchy of the Company's financial instruments measured/disclosed at fair value on a recurring basis (dollars in thousands):
DescriptionTotal Fair
Value
Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
 December 31, 2023
Assets
Investments
Notes Receivable, net$118,127 $— $118,127 $— 
Non Designated Hedges
  Interest Rate Caps85 — 85 — 
Interest Rate Swaps - Assets5,163 — 5,163 — 
Total Assets$123,375 $— $123,375 $— 
Liabilities
Interest Rate Swaps - Liabilities$162 $— $162 $— 
Indebtedness
  Fixed rate unsecured notes6,716,631 6,716,631 — — 
  Mortgage notes payable and Commercial Paper Program
644,313 — 644,313 — 
Total Liabilities$7,361,106 $6,716,631 $644,475 $— 
December 31, 2022
Assets
Investments
Notes Receivable, net$28,860 $— $28,860 $— 
Non Designated Hedges
Interest Rate Caps455 — 455 — 
Total Assets$29,315 $— $29,315 $— 
Liabilities
DownREIT units$1,211 $1,211 $— $— 
Indebtedness
  Fixed rate unsecured notes6,653,681 6,653,681 — — 
  Mortgage notes payable, Commercial Paper Program and variable
  rate unsecured note
768,984 — 768,984 — 
Total Liabilities$7,423,876 $6,654,892 $768,984 $—