|
Consolidated Statements of Equity (USD $)
In Thousands |
Common Stock [Member]
Common Stock Issuance [Member]
|
Common Stock [Member]
|
Preferred Stock [Member]
Series B Preferred Stock [Member]
|
Preferred Stock [Member]
|
Additional Paid-in Capital [Member]
Common Stock Issuance [Member]
|
Additional Paid-in Capital [Member]
|
Retained Earnings [Member]
Common Stock Issuance [Member]
|
Retained Earnings [Member]
Series B Preferred Stock [Member]
|
Retained Earnings [Member]
|
Accumulated Other Comprehensive Income (Loss) [Member]
|
Noncontrolling Interest [Member]
|
Common Stock Issuance [Member]
|
Series B Preferred Stock [Member]
|
Total
|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Balance at Dec. 31, 2010 | $ 94 | $ 135,300 | $ (84,639) | $ 17,732 | $ 68,487 | |||||||||
| Net income | 4,776 | 97 | 4,873 | |||||||||||
| Stock issuance, net | 45 | 29,862 | 29,907 | |||||||||||
| Dividends declared | (11,452) | (11,452) | ||||||||||||
| Increase in non-controlling interests related to consolidation of interest in a limited liability company | 932 | 932 | ||||||||||||
| Reclassification adjustment for net gain included in net income | (3,886) | (3,886) | ||||||||||||
| Increase (Decrease) in net unrealized gain on available for sale securities | (3,337) | (3,337) | ||||||||||||
| Increase (Decrease) in fair value of derivative instruments utilized for cash flow hedges | 783 | 783 | ||||||||||||
| Balance at Dec. 31, 2011 | 139 | 153,710 | (79,863) | 11,292 | 1,029 | 86,307 | ||||||||
| Net income | 28,279 | (97) | 28,182 | |||||||||||
| Stock issuance, net | 357 | 232,105 | 232,462 | |||||||||||
| Dividends declared | (30,809) | (30,809) | ||||||||||||
| Decrease in noncontrolling interest related to sale of interest in a mortgage loan held for investment | (932) | (932) | ||||||||||||
| Reclassification adjustment for net gain included in net income | (1,074) | (1,074) | ||||||||||||
| Increase (Decrease) in net unrealized gain on available for sale securities | 9,310 | 9,310 | ||||||||||||
| Increase (Decrease) in fair value of derivative instruments utilized for cash flow hedges | (1,440) | (1,440) | ||||||||||||
| Balance at Dec. 31, 2012 | 496 | 355,006 | (51,584) | 18,088 | 322,006 | |||||||||
| Net income | 68,955 | 68,955 | ||||||||||||
| Stock issuance, net | 145 | 72,397 | 100,959 | 101,104 | 72,397 | |||||||||
| Dividends declared on common stock | (51,410) | (13,803) | (65,213) | |||||||||||
| Dividends declared on preferred stock | (3,568) | (3,568) | (3,568) | |||||||||||
| Increase (Decrease) in net unrealized gain on available for sale securities | (18,800) | (18,800) | ||||||||||||
| Increase (Decrease) in fair value of derivative instruments utilized for cash flow hedges | 3,785 | 3,785 | ||||||||||||
| Balance at Dec. 31, 2013 | $ 641 | $ 72,397 | $ 404,555 | $ 3,073 | $ 480,666 |