Mortgages, Loans Payable And Other Obligatons (Schedule Of Principal Payments) (Details)
|
Jan. 07, 2019
USD ($)
item
|
Dec. 31, 2018
USD ($)
|
| Mortgages, Loans Payabes And Other Obligations [Line Items] |
|
|
| Scheduled Amortization, 2019 |
|
$ 532,000
|
| Scheduled Amortization, 2020 |
|
2,903,000
|
| Scheduled Amortization, 2021 |
|
3,227,000
|
| Scheduled Amortization, 2022 |
|
3,284,000
|
| Scheduled Amortization, 2023 |
|
3,412,000
|
| Scheduled Amortization, Thereafter |
|
7,230,000
|
| Scheduled Amortization, Sub-total |
|
20,588,000
|
| Adjustment for unamortized debt discount/premium, net December 31, 2018 |
|
(2,838,000)
|
| Scheduled Amortization, Unamortized mark to market |
|
3,370,000
|
| Unamortized deferred financing costs |
|
(11,907,000)
|
| Scheduled Amortization, Total |
|
9,213,000
|
| Principal Maturities, 2019 |
|
546,711,000
|
| Principal Maturities, 2020 |
|
325,000,000
|
| Principal Maturities, 2021 |
|
285,800,000
|
| Principal Maturities, 2022 |
|
300,000,000
|
| Principal Maturities, 2023 |
|
333,998,000
|
| Principal Maturities, Thereafter |
|
991,929,000
|
| Principal Maturities, Sub-total |
|
2,783,438,000
|
| Principal Maturities, Total |
|
2,783,438,000
|
| Total, 2019 |
|
547,243,000
|
| Total, 2020 |
|
327,903,000
|
| Total, 2021 |
|
289,027,000
|
| Total, 2022 |
|
303,284,000
|
| Total, 2023 |
|
337,410,000
|
| Total, Thereafter |
|
999,159,000
|
| Total, Sub-total |
|
2,804,026,000
|
| Adjustment for unamortized debt discount/premium, net December 31, 2018 |
|
(2,838,000)
|
| Total, Unamortized mark to market |
|
3,370,000
|
| Total, Unamortized deferred financing costs |
|
(11,907,000)
|
| Total senior unsecured notes, net |
|
$ 2,792,651,000
|
| Subsequent Event [Member] | 2016 Term Loan [Member] |
|
|
| Mortgages, Loans Payabes And Other Obligations [Line Items] |
|
|
| Mortgage payable amount |
$ 350
|
|
| Number of extensions exercised | item |
1
|
|