Quarterly report [Sections 13 or 15(d)]

VERIS RESIDENTIAL, L.P. AND SUBSIDIARIES CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY

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VERIS RESIDENTIAL, L.P. AND SUBSIDIARIES CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY - USD ($)
$ in Thousands
Total
General Partner Common Units
Common Unitholders
VERIS RESIDENTIAL, L.P.
VERIS RESIDENTIAL, L.P.
Accumulated Other Comprehensive Income (Loss)
VERIS RESIDENTIAL, L.P.
General Partner Common Units
VERIS RESIDENTIAL, L.P.
Limited Partner Common Units/ Vested LTIP Units
VERIS RESIDENTIAL, L.P.
Common Unitholders
VERIS RESIDENTIAL, L.P.
Limited Partner Common Unitholders
VERIS RESIDENTIAL, L.P.
Noncontrolling Interest in Consolidated Joint Ventures
Balance, beginning (in shares) at Dec. 31, 2024           92,912,000 8,672,000      
Balance, beginning at Dec. 31, 2024       $ 1,233,069 $ 154     $ 1,035,795 $ 166,030 $ 31,090
Increase (Decrease) in Partners' Capital [Roll Forward]                    
Net income (loss) $ (13,730)     (13,730)       (10,699) (987) (2,044)
Common unit distributions (690)     (8,240)       (7,550) (690)  
Redeemable noncontrolling interests (81)     (81)           (81)
Change in noncontrolling interests in consolidated joint ventures (88)     (88)           (88)
Redemption of limited partners common units for shares of general partner common units (in shares)           (43,000) 43,000      
Redemption of limited partners common units for shares of general partner common units 0     0            
Redemption of limited partner common units (in shares)             (9,000)      
Redemption of limited partners common units (148)   $ 509 (148)         (148)  
Shares issued under Dividend Reinvestment and Stock Purchase Plan 2     2       2    
Directors' deferred compensation plan 98   98 98       98    
Stock compensation (in shares)           596,000        
Stock compensation 3,322     3,322       3,322    
Cancellation of common and restricted shares (in shares)   (239,000)                
Cancellation of restricted shares (3,923)     (3,923)       (3,923)    
Other comprehensive income (loss) $ (1,104)   (1,011) (1,104) (1,011)       (93)  
Balance, ending (in shares) at Mar. 31, 2025           93,312,000 8,620,000      
Balance, ending at Mar. 31, 2025       1,209,177 (857)     1,017,045 164,112 28,877
Balance, beginning (in shares) at Dec. 31, 2025 93,432,649         93,432,000 8,587,000      
Balance, beginning at Dec. 31, 2025       1,265,662 (687)     1,089,161 168,996 8,192
Increase (Decrease) in Partners' Capital [Roll Forward]                    
Net income (loss) $ (15,600)     (15,600)       (14,008) (1,273) (319)
Common unit distributions (815)     (8,483)       (7,668) (815)  
Redeemable noncontrolling interests (81)     (81)           (81)
Change in noncontrolling interests in consolidated joint ventures (256)     (256)           (256)
Redemption of limited partners common units for shares of general partner common units (in shares)           25,000 (25,000)      
Redemption of limited partners common units for shares of general partner common units $ 0     0       308 (308)  
Redemption of limited partner common units (in shares) (25,000)           (49,000)      
Redemption of limited partners common units $ (823)   308 (823)         (823)  
Directors' deferred compensation plan     0              
Stock compensation (in shares)           650,000        
Stock compensation 3,682     3,682       3,682    
Cancellation of common and restricted shares (in shares)   (269,000)                
Cancellation of restricted shares (5,068)     (5,068)       (5,068)    
Other comprehensive income (loss) $ 469   $ 430 469 430       39  
Balance, ending (in shares) at Mar. 31, 2026 93,838,017         93,838,000 8,513,000      
Balance, ending at Mar. 31, 2026       $ 1,239,502 $ (257)     $ 1,066,407 $ 165,816 $ 7,536