Annual report pursuant to Section 13 and 15(d)

Mortgages, Loans Payable And Other Obligatons (Schedule Of Principal Payments) (Details)

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Mortgages, Loans Payable And Other Obligatons (Schedule Of Principal Payments) (Details)
$ in Thousands
Dec. 31, 2019
USD ($)
Debt Disclosure [Abstract]  
Scheduled Amortization, 2020 $ 569
Scheduled Amortization, 2021 591
Scheduled Amortization, 2022 550
Scheduled Amortization, 2023 2,323
Scheduled Amortization, 2024 3,927
Scheduled Amortization, 2025 3,799
Scheduled Amortization, Thereafter 14,701
Scheduled Amortization, Sub-total 26,460
Adjustment for unamortized debt discount/premium, net December 31, 2019 (2,170)
Scheduled Amortization, Unamortized mark to market 1,752
Unamortized deferred financing costs (18,349)
Scheduled Amortization, Total 7,693
Principal Maturities, 2021 497,800
Principal Maturities, 2022 409,678
Principal Maturities, 2023 343,429
Principal Maturities, 2024 280,144
Principal Maturities, Thereafter 1,269,774
Principal Maturities, Sub-total 2,800,825
Principal Maturities, Total 2,800,825
Total, 2020 569
Total, 2021 498,391
Total, 2022 410,228
Total, 2023 345,752
Total, 2024 284,071
Total, 2025 3,799
Total, Thereafter 1,284,475
Total, Sub-total 2,827,285
Adjustment for unamortized debt discount/premium, net December 31, 2019 (2,170)
Total, Unamortized mark to market 1,752
Total, Unamortized deferred financing costs (18,349)
Total debt $ 2,808,518