2015 Q1 Form 10-K Financial Statement

#000103544315000018 Filed on February 24, 2015

View on sec.gov

Income Statement

Concept 2015 Q1 2014 Q4 2013 Q4
Revenue $196.8M $188.7M $168.8M
YoY Change 11.67% 11.76% 11.62%
Cost Of Revenue $61.20M $56.90M $49.80M
YoY Change 16.57% 14.26% 8.26%
Gross Profit $135.5M $131.8M $118.2M
YoY Change 9.54% 11.51% 13.33%
Gross Profit Margin 68.87% 69.86% 70.01%
Selling, General & Admin $14.40M $13.90M $12.70M
YoY Change 9.09% 9.45% 0.79%
% of Gross Profit 10.63% 10.55% 10.74%
Research & Development
YoY Change
% of Gross Profit
Depreciation & Amortization $58.92M $58.00M $48.10M
YoY Change 16.86% 20.58% 0.0%
% of Gross Profit 43.48% 44.01% 40.69%
Operating Expenses $73.30M $71.80M $60.10M
YoY Change 15.07% 19.47% 1.69%
Operating Profit $62.20M $60.00M $58.10M
YoY Change 3.67% 3.27% 28.54%
Interest Expense $23.24M -$21.60M -$17.80M
YoY Change 21.51% 21.35% -0.56%
% of Operating Profit 37.36% -36.0% -30.64%
Other Income/Expense, Net
YoY Change
Pretax Income $25.10M -$13.40M $40.30M
YoY Change -38.63% -133.25% 59.92%
Income Tax $0.00
% Of Pretax Income 0.0%
Net Earnings $24.52M -$13.00M $39.10M
YoY Change -38.27% -133.25% 40.65%
Net Earnings / Revenue 12.46% -6.89% 23.16%
Basic Earnings Per Share
Diluted Earnings Per Share $343.1K -$182.3K $550.7K
COMMON SHARES
Basic Shares Outstanding 72.03M shares 72.01M shares 71.63M shares
Diluted Shares Outstanding

Balance Sheet

Concept 2015 Q1 2014 Q4 2013 Q4
SHORT-TERM ASSETS
Cash & Short-Term Investments $373.7M $322.4M $198.0M
YoY Change 398.27% 62.84% 40.41%
Cash & Equivalents $90.64M $86.01M $57.70M
Short-Term Investments $283.1M $236.4M $140.3M
Other Short-Term Assets
YoY Change
Inventory
Prepaid Expenses
Receivables $11.00M $11.00M $10.00M
Other Receivables $0.00 $0.00 $0.00
Total Short-Term Assets $102.0M $97.00M $68.00M
YoY Change 18.6% 42.65% -54.36%
LONG-TERM ASSETS
Property, Plant & Equipment $7.268B $9.557M $6.730B
YoY Change 5.59% -99.86% 4.75%
Goodwill
YoY Change
Intangibles
YoY Change
Long-Term Investments $120.0M $117.4M $46.64M
YoY Change -44.69% 151.71% 777300.0%
Other Assets $500.0M $463.0M $411.0M
YoY Change 17.65% 12.65% 11.08%
Total Long-Term Assets $8.303B $8.039B $7.462B
YoY Change 8.26% 7.74% 6.58%
TOTAL ASSETS
Total Short-Term Assets $102.0M $97.00M $68.00M
Total Long-Term Assets $8.303B $8.039B $7.462B
Total Assets $8.405B $8.136B $7.530B
YoY Change 8.37% 8.05% 5.31%
SHORT-TERM LIABILITIES
YoY Change
Accounts Payable $388.0M $219.0M $346.0M
YoY Change -12.61% -36.71% -18.4%
Accrued Expenses $86.00M $78.00M
YoY Change
Deferred Revenue
YoY Change
Short-Term Debt $0.00 $0.00 $0.00
YoY Change
Long-Term Debt Due
YoY Change
Total Short-Term Liabilities $533.0M $278.0M $478.0M
YoY Change 6.6% -41.84% 2.8%
LONG-TERM LIABILITIES
Long-Term Debt $3.904B $3.679B $3.061B
YoY Change 20.05% 20.19% -3.8%
Other Long-Term Liabilities $172.0M $270.0M $11.00M
YoY Change 2354.55%
Total Long-Term Liabilities $4.076B $3.949B $3.072B
YoY Change 25.34% 28.55% -3.46%
TOTAL LIABILITIES
Total Short-Term Liabilities $533.0M $278.0M $478.0M
Total Long-Term Liabilities $4.076B $3.949B $3.072B
Total Liabilities $4.608B $4.226B $3.551B
YoY Change 22.84% 19.03% -2.64%
SHAREHOLDERS EQUITY
Retained Earnings
YoY Change
Common Stock $716.0K $715.0K $712.0K
YoY Change 0.56% 0.42% 12.66%
Preferred Stock
YoY Change
Treasury Stock (at cost)
YoY Change
Treasury Stock Shares
Shareholders Equity $3.781B $3.828B $3.917B
YoY Change
Total Liabilities & Shareholders Equity $8.405B $8.136B $7.530B
YoY Change 3.31% 8.05% 5.31%

Cashflow Statement

Concept 2015 Q1 2014 Q4 2013 Q4
OPERATING ACTIVITIES
Net Income $24.52M -$13.00M $39.10M
YoY Change -38.27% -133.25% 40.65%
Depreciation, Depletion And Amortization $58.92M $58.00M $48.10M
YoY Change 16.86% 20.58% 0.0%
Cash From Operating Activities $106.8M $79.20M $76.30M
YoY Change 45.84% 3.8% -2.18%
INVESTING ACTIVITIES
Capital Expenditures -$198.6M -$175.5M -$240.8M
YoY Change 29.04% -27.12% 68.39%
Acquisitions
YoY Change
Other Investing Activities $28.50M $15.00M $40.50M
YoY Change -423.86% -62.96% -704.48%
Cash From Investing Activities -$170.1M -$160.5M -$200.3M
YoY Change 4.51% -19.87% 33.8%
FINANCING ACTIVITIES
Cash Dividend Paid
YoY Change
Common Stock Issuance & Retirement, Net $0.00
YoY Change
Debt Paid & Issued, Net
YoY Change
Cash From Financing Activities $67.67M 101.3M 130.7M
YoY Change -36.44% -22.49% 10.11%
NET CHANGE
Cash From Operating Activities $106.8M 79.20M 76.30M
Cash From Investing Activities -$170.1M -160.5M -200.3M
Cash From Financing Activities $67.67M 101.3M 130.7M
Net Change In Cash $4.460M 20.00M 6.700M
YoY Change -73.79% 198.51% -85.74%
FREE CASH FLOW
Cash From Operating Activities $106.8M $79.20M $76.30M
Capital Expenditures -$198.6M -$175.5M -$240.8M
Free Cash Flow $305.4M $254.7M $317.1M
YoY Change 34.46% -19.68% 43.48%

Facts In Submission

Frame Concept Type Concept / XBRL Key Value Unit
CY2014Q4 are Assets Heldfor Sale Numberof Properties
AssetsHeldforSaleNumberofProperties
5 property
CY2014 are Concentration Risk Fdic Insurance Coverage
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28 property
CY2014 are Number Of Tenants
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CY2014 are Preferred Stock Shares Additional Shares Authorized
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CY2013Q4 are Real Estate Investments Propertyincluding Unconsolidated Joint Venturesat Cost
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CY2014 are Real Estate Write Off
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RealEstateWriteOff
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RemainingAggregateCostsUnderContracts
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RentableSquareFeetPropertiesNumber
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12809188 sqft
CY2012 are Taxable Income Before Dividend Deduction
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CY2014Q4 are Total Market Capitalization
TotalMarketCapitalization
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CY2014Q4 are Total Rentable Square Footageof Asset Base
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0 USD
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CY2014 are Transfers Due To Due From Parent Entity
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CY2013 are Transfersin Fair Value Hierarchy
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0
CY2014 are Transfersin Fair Value Hierarchy
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0
CY2014Q4 are Triple Net Leases Percentage
TripleNetLeasesPercentage
0.95
CY2014Q4 are Variable Interest Rate Debt As Percentage Of Total Outstanding Balance
VariableInterestRateDebtAsPercentageOfTotalOutstandingBalance
0.16
CY2014 dei Amendment Flag
AmendmentFlag
false
CY2014 dei Current Fiscal Year End Date
CurrentFiscalYearEndDate
--12-31
CY2014 dei Document Fiscal Period Focus
DocumentFiscalPeriodFocus
FY
CY2014 dei Document Fiscal Year Focus
DocumentFiscalYearFocus
2014
CY2014 dei Document Period End Date
DocumentPeriodEndDate
2014-12-31
CY2014 dei Document Type
DocumentType
10-K
CY2014 dei Entity Central Index Key
EntityCentralIndexKey
0001035443
CY2015Q1 dei Entity Common Stock Shares Outstanding
EntityCommonStockSharesOutstanding
72033942 shares
CY2014 dei Entity Current Reporting Status
EntityCurrentReportingStatus
Yes
CY2014 dei Entity Filer Category
EntityFilerCategory
Large Accelerated Filer
CY2014Q2 dei Entity Public Float
EntityPublicFloat
5500000000 USD
CY2014 dei Entity Registrant Name
EntityRegistrantName
ALEXANDRIA REAL ESTATE EQUITIES INC
CY2014 dei Entity Voluntary Filers
EntityVoluntaryFilers
No
CY2014 dei Entity Well Known Seasoned Issuer
EntityWellKnownSeasonedIssuer
Yes
CY2013Q4 us-gaap Accounts Payable And Accrued Liabilities Current And Noncurrent
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CY2014Q4 us-gaap Accounts Payable And Accrued Liabilities Current And Noncurrent
AccountsPayableAndAccruedLiabilitiesCurrentAndNoncurrent
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CY2013Q4 us-gaap Accounts Payable And Other Accrued Liabilities
AccountsPayableAndOtherAccruedLiabilities
98037000 USD
CY2014Q4 us-gaap Accounts Payable And Other Accrued Liabilities
AccountsPayableAndOtherAccruedLiabilities
127828000 USD
CY2013Q4 us-gaap Accounts Receivable Net
AccountsReceivableNet
9918000 USD
CY2014Q4 us-gaap Accounts Receivable Net
AccountsReceivableNet
10548000 USD
CY2013Q4 us-gaap Accumulated Amortization Deferred Finance Costs
AccumulatedAmortizationDeferredFinanceCosts
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0 USD
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1864000 USD
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0.01
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0 USD
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554000 USD
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0 USD
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0 USD
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45099000 USD
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54825000 USD
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38282000 USD
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981000 USD
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1519000 USD
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673000 USD
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65697000 USD
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56958000 USD
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26652000 USD
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4069000 USD
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6298000 USD
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7466000 USD
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9377000 USD
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261000 USD
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131935000 USD
CY2013 us-gaap Interest Costs Incurred
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128567000 USD
CY2014 us-gaap Interest Costs Incurred
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126404000 USD
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CY2013 us-gaap Interest Expense
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67952000 USD
CY2014 us-gaap Interest Expense
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3400000 USD
CY2013 us-gaap Interest Income Operating
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4600000 USD
CY2014 us-gaap Interest Income Operating
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4200000 USD
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909000 USD
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5714673000 USD
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6171504000 USD
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12381000 USD
CY2013 us-gaap Investment Income Net
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5570000 USD
CY2014 us-gaap Investment Income Net
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2326000 USD
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0 USD
CY2014Q4 us-gaap Investments In Affiliates Subsidiaries Associates And Joint Ventures
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0 USD
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553388000 USD
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658546000 USD
CY2014Q4 us-gaap Land Available For Development
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683101000 USD
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3550823000 USD
CY2014Q4 us-gaap Liabilities
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4226478000 USD
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7529764000 USD
CY2014Q4 us-gaap Liabilities And Stockholders Equity
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8136036000 USD
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266000 USD
CY2014Q4 us-gaap Liabilities Of Disposal Group Including Discontinued Operation
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6044000 USD
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204000000 USD
CY2014Q4 us-gaap Line Of Credit
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304000000 USD
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0.0020
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1100000000 USD
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975000000 USD
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3101351000 USD
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577228000 USD
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2637000 USD
CY2013 us-gaap Loss On Sale Of Investments
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1480000 USD
CY2014 us-gaap Loss On Sale Of Investments
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9287000 USD
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140288000 USD
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236389000 USD
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66804000 USD
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913000 USD
CY2013 us-gaap Minority Interest Decrease From Distributions To Noncontrolling Interest Holders
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1812000 USD
CY2014 us-gaap Minority Interest Decrease From Distributions To Noncontrolling Interest Holders
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3786000 USD
CY2012 us-gaap Minority Interest Decrease From Redemptions
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694000 USD
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314860000 USD
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3402000 USD
CY2013 us-gaap Net Income Loss Attributable To Noncontrolling Interest
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4032000 USD
CY2014 us-gaap Net Cash Provided By Used In Operating Activities
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334325000 USD
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5204000 USD
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67630000 USD
CY2013Q1 us-gaap Net Income Loss Available To Common Stockholders Basic
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22442000 USD
CY2013Q2 us-gaap Net Income Loss Available To Common Stockholders Basic
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25483000 USD
CY2013Q3 us-gaap Net Income Loss Available To Common Stockholders Basic
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24579000 USD
CY2013Q4 us-gaap Net Income Loss Available To Common Stockholders Basic
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36247000 USD
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108751000 USD
CY2014Q1 us-gaap Net Income Loss Available To Common Stockholders Basic
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32709000 USD
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27932000 USD
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27626000 USD
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-16154000 USD
CY2014 us-gaap Net Income Loss Available To Common Stockholders Basic
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72113000 USD
CY2012 us-gaap Net Income Loss Including Portion Attributable To Nonredeemable Noncontrolling Interest
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104555000 USD
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139178000 USD
CY2014 us-gaap Net Income Loss Including Portion Attributable To Nonredeemable Noncontrolling Interest
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105716000 USD
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1875000 USD
CY2014 us-gaap Noncontrolling Interest Increase From Subsidiary Equity Issuance
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19410000 USD
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0 USD
CY2013 us-gaap Notes Assumed1
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0 USD
CY2014 us-gaap Notes Assumed1
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48329000 USD
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CY2014Q4 us-gaap Operating Leases Future Minimum Payments Due In Five Years
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1561000 USD
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1490000 USD
CY2014Q4 us-gaap Operating Leases Future Minimum Payments Due Thereafter
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CY2013 us-gaap Other Comprehensive Income Loss Available For Sale Securities Adjustment Net Of Tax
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117000 USD
CY2014 us-gaap Other Comprehensive Income Loss Available For Sale Securities Adjustment Net Of Tax
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50777000 USD
CY2014 us-gaap Other Comprehensive Income Loss Before Reclassifications Net Of Tax
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12319000 USD
CY2013 us-gaap Other Comprehensive Income Loss Derivatives Qualifying As Hedges Net Of Tax
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17340000 USD
CY2014 us-gaap Other Comprehensive Income Loss Derivatives Qualifying As Hedges Net Of Tax
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2412000 USD
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CY2013 us-gaap Other Comprehensive Income Loss Foreign Currency Transaction And Translation Adjustment Net Of Tax
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CY2014 us-gaap Other Comprehensive Income Loss Foreign Currency Transaction And Translation Adjustment Net Of Tax
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CY2012 us-gaap Other Comprehensive Income Loss Foreign Currency Transaction And Translation Reclassification Adjustment From Aoci Realized Upon Sale Or Liquidation Net Of Tax
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0 USD
CY2013 us-gaap Other Comprehensive Income Loss Foreign Currency Transaction And Translation Reclassification Adjustment From Aoci Realized Upon Sale Or Liquidation Net Of Tax
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0 USD
CY2014 us-gaap Other Comprehensive Income Loss Foreign Currency Transaction And Translation Reclassification Adjustment From Aoci Realized Upon Sale Or Liquidation Net Of Tax
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208000 USD
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9640000 USD
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34906000 USD
CY2014 us-gaap Other Comprehensive Income Loss Net Of Tax Portion Attributable To Parent
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35576000 USD
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3351000 USD
CY2013 us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci For Sale Of Securities Net Of Tax
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1183000 USD
CY2014 us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci For Sale Of Securities Net Of Tax
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358000 USD
CY2012 us-gaap Other Comprehensive Income Loss Reclassification Adjustment From Aoci On Derivatives Net Of Tax
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CY2013 us-gaap Other Comprehensive Income Unrealized Gain Loss On Derivatives Arising During Period Net Of Tax
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1918000 USD
CY2014 us-gaap Other Comprehensive Income Unrealized Gain Loss On Derivatives Arising During Period Net Of Tax
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CY2012 us-gaap Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Net Of Tax
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990000 USD
CY2013 us-gaap Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Net Of Tax
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1300000 USD
CY2014 us-gaap Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Net Of Tax
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51135000 USD
CY2012 us-gaap Other Income
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18424000 USD
CY2013 us-gaap Other Income
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13292000 USD
CY2014 us-gaap Other Income
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9244000 USD
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1190000 USD
CY2013 us-gaap Participating Securities Distributed And Undistributed Earnings Loss Diluted
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1581000 USD
CY2014 us-gaap Participating Securities Distributed And Undistributed Earnings Loss Diluted
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1774000 USD
CY2012 us-gaap Payments For Proceeds From Deposits On Real Estate Acquisitions
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0 USD
CY2013 us-gaap Payments For Proceeds From Deposits On Real Estate Acquisitions
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0 USD
CY2014 us-gaap Payments For Proceeds From Deposits On Real Estate Acquisitions
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10282000 USD
CY2012 us-gaap Payments For Repurchase Of Convertible Preferred Stock
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0 USD
CY2013 us-gaap Payments For Repurchase Of Convertible Preferred Stock
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0 USD
CY2014 us-gaap Payments For Repurchase Of Convertible Preferred Stock
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14414000 USD
CY2012 us-gaap Payments For Repurchase Of Redeemable Noncontrolling Interest
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450000 USD
CY2013 us-gaap Payments For Repurchase Of Redeemable Noncontrolling Interest
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0 USD
CY2012 us-gaap Payments To Acquire Interest In Subsidiaries And Affiliates
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0 USD
CY2013 us-gaap Payments To Acquire Interest In Subsidiaries And Affiliates
PaymentsToAcquireInterestInSubsidiariesAndAffiliates
0 USD
CY2014 us-gaap Payments To Acquire Interest In Subsidiaries And Affiliates
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0 USD
CY2012 us-gaap Payments To Acquire Investments
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36294000 USD
CY2014 us-gaap Payments For Repurchase Of Redeemable Noncontrolling Interest
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0 USD
CY2012 us-gaap Payments For Repurchase Of Redeemable Preferred Stock
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129638000 USD
CY2013 us-gaap Payments For Repurchase Of Redeemable Preferred Stock
PaymentsForRepurchaseOfRedeemablePreferredStock
0 USD
CY2014 us-gaap Payments For Repurchase Of Redeemable Preferred Stock
PaymentsForRepurchaseOfRedeemablePreferredStock
0 USD
CY2012 us-gaap Payments Of Distributions To Affiliates
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1249000 USD
CY2013 us-gaap Payments Of Distributions To Affiliates
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1191000 USD
CY2014 us-gaap Payments Of Distributions To Affiliates
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1191000 USD
CY2012 us-gaap Payments Of Dividends
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154300000 USD
CY2013 us-gaap Payments Of Dividends
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195000000 USD
CY2012 us-gaap Payments Of Dividends Common Stock
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126498000 USD
CY2013 us-gaap Payments Of Dividends Common Stock
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169076000 USD
CY2014 us-gaap Payments Of Dividends Common Stock
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202386000 USD
CY2012 us-gaap Payments Of Dividends Preferred Stock And Preference Stock
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27819000 USD
CY2013 us-gaap Payments Of Dividends Preferred Stock And Preference Stock
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25885000 USD
CY2014 us-gaap Payments Of Dividends Preferred Stock And Preference Stock
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25885000 USD
CY2012 us-gaap Payments Of Financing Costs
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13225000 USD
CY2013 us-gaap Payments Of Financing Costs
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19928000 USD
CY2014 us-gaap Payments Of Financing Costs
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8099000 USD
CY2012 us-gaap Payments To Acquire Equity Method Investments
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6700000 USD
CY2013 us-gaap Payments To Acquire Equity Method Investments
PaymentsToAcquireEquityMethodInvestments
17987000 USD
CY2014 us-gaap Payments To Acquire Equity Method Investments
PaymentsToAcquireEquityMethodInvestments
70758000 USD
CY2013 us-gaap Payments To Acquire Investments
PaymentsToAcquireInvestments
36078000 USD
CY2014 us-gaap Payments To Acquire Investments
PaymentsToAcquireInvestments
60230000 USD
CY2012 us-gaap Payments To Acquire Real Estate
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42171000 USD
CY2013 us-gaap Payments To Acquire Real Estate
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122069000 USD
CY2014 us-gaap Payments To Acquire Real Estate
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127887000 USD
CY2012 us-gaap Payments To Develop Real Estate Assets
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549030000 USD
CY2013 us-gaap Payments To Develop Real Estate Assets
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593389000 USD
CY2014 us-gaap Payments To Develop Real Estate Assets
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497773000 USD
CY2012 us-gaap Payments To Minority Shareholders
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913000 USD
CY2013 us-gaap Payments To Minority Shareholders
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1812000 USD
CY2014 us-gaap Payments To Minority Shareholders
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3786000 USD
CY2012 us-gaap Preferred Stock Accretion Of Redemption Discount
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5978000 USD
CY2013 us-gaap Preferred Stock Accretion Of Redemption Discount
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0 USD
CY2014 us-gaap Preferred Stock Accretion Of Redemption Discount
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1989000 USD
CY2014Q4 us-gaap Preferred Stock Shares Authorized
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100000000 shares
CY2014Q4 us-gaap Preferred Stock Shares Issued
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14700000 shares
CY2013Q4 us-gaap Preferred Stock Value
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130000000 USD
CY2014Q4 us-gaap Preferred Stock Value
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130000000 USD
CY2012 us-gaap Proceeds From Collection Of Notes Receivable
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0 USD
CY2013 us-gaap Proceeds From Collection Of Notes Receivable
ProceedsFromCollectionOfNotesReceivable
0 USD
CY2014 us-gaap Proceeds From Collection Of Notes Receivable
ProceedsFromCollectionOfNotesReceivable
29883000 USD
CY2013 us-gaap Proceeds From Issuance Of Redeemable Preferred Stock
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0 USD
CY2014 us-gaap Proceeds From Issuance Of Common Stock
ProceedsFromIssuanceOfCommonStock
0 USD
CY2012 us-gaap Proceeds From Issuance Of Redeemable Preferred Stock
ProceedsFromIssuanceOfRedeemablePreferredStock
124868000 USD
CY2012 us-gaap Proceeds From Issuance Of Common Stock
ProceedsFromIssuanceOfCommonStock
97890000 USD
CY2013 us-gaap Proceeds From Issuance Of Common Stock
ProceedsFromIssuanceOfCommonStock
534469000 USD
CY2014 us-gaap Proceeds From Issuance Of Redeemable Preferred Stock
ProceedsFromIssuanceOfRedeemablePreferredStock
0 USD
CY2012 us-gaap Proceeds From Issuance Of Secured Debt
ProceedsFromIssuanceOfSecuredDebt
17810000 USD
CY2013 us-gaap Proceeds From Issuance Of Secured Debt
ProceedsFromIssuanceOfSecuredDebt
28489000 USD
CY2014 us-gaap Proceeds From Issuance Of Secured Debt
ProceedsFromIssuanceOfSecuredDebt
126215000 USD
CY2012 us-gaap Proceeds From Issuance Of Unsecured Debt
ProceedsFromIssuanceOfUnsecuredDebt
544650000 USD
CY2013 us-gaap Proceeds From Issuance Of Unsecured Debt
ProceedsFromIssuanceOfUnsecuredDebt
498561000 USD
CY2014 us-gaap Proceeds From Issuance Of Unsecured Debt
ProceedsFromIssuanceOfUnsecuredDebt
698908000 USD
CY2012 us-gaap Proceeds From Long Term Lines Of Credit
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847147000 USD
CY2013 us-gaap Proceeds From Long Term Lines Of Credit
ProceedsFromLongTermLinesOfCredit
729000000 USD
CY2014 us-gaap Proceeds From Long Term Lines Of Credit
ProceedsFromLongTermLinesOfCredit
1168000000 USD
CY2012 us-gaap Proceeds From Minority Shareholders
ProceedsFromMinorityShareholders
1875000 USD
CY2013 us-gaap Proceeds From Minority Shareholders
ProceedsFromMinorityShareholders
0 USD
CY2014 us-gaap Proceeds From Minority Shareholders
ProceedsFromMinorityShareholders
19410000 USD
CY2012 us-gaap Proceeds From Repayments Of Restricted Cash Financing Activities
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CY2013 us-gaap Proceeds From Repayments Of Restricted Cash Financing Activities
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2546000 USD
CY2014 us-gaap Proceeds From Repayments Of Restricted Cash Financing Activities
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27043000 USD
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16525000 USD
CY2014 us-gaap Proceeds From Sale Maturity And Collections Of Investments
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18973000 USD
CY2012 us-gaap Proceeds From Sale Of Equity Method Investments
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22250000 USD
CY2013 us-gaap Proceeds From Sale Of Equity Method Investments
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0 USD
CY2014 us-gaap Proceeds From Sale Of Equity Method Investments
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0 USD
CY2012 us-gaap Proceeds From Sale Of Property Held For Sale
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36179000 USD
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153968000 USD
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81580000 USD
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155000 USD
CY2013 us-gaap Proceeds From Stock Options Exercised
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0 USD
CY2014 us-gaap Proceeds From Stock Options Exercised
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0 USD
CY2012 us-gaap Profit Loss
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105528000 USD
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952106000 USD
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1120245000 USD
CY2012 us-gaap Real Estate Accumulated Depreciation Other Deductions
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17730000 USD
CY2013 us-gaap Real Estate Accumulated Depreciation Other Deductions
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0 USD
CY2014 us-gaap Real Estate Accumulated Depreciation Other Deductions
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0 USD
CY2012 us-gaap Real Estate Accumulated Depreciation Real Estate Sold
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6963000 USD
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72777000 USD
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15293000 USD
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7288459000 USD
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1057802000 USD
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1057802000 USD
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952106000 USD
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188674000 USD
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1120245000 USD
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7682376000 USD
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8228855000 USD
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6776914000 USD
CY2014Q4 us-gaap Real Estate Investment Property Net
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7226016000 USD
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7226016000 USD
CY2012 us-gaap Real Estate Revenue Net
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574497000 USD
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150083000 USD
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153930000 USD
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158315000 USD
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168823000 USD
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631151000 USD
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176186000 USD
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176402000 USD
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185615000 USD
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-6305000 USD
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6442208000 USD
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6988313000 USD
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84801000 USD
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384000 USD
CY2014 us-gaap Repayments Of Convertible Debt
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0 USD
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651147000 USD
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1091000000 USD
CY2014 us-gaap Repayments Of Long Term Lines Of Credit
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1068000000 USD
CY2012 us-gaap Repayments Of Secured Debt
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26367000 USD
CY2013 us-gaap Repayments Of Secured Debt
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36219000 USD
CY2014 us-gaap Repayments Of Secured Debt
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231051000 USD
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250000000 USD
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250000000 USD
CY2014 us-gaap Repayments Of Unsecured Debt
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125000000 USD
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27709000 USD
CY2014Q4 us-gaap Restricted Cash And Cash Equivalents At Carrying Value
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26884000 USD
CY2012 us-gaap Sec Schedule Iii Real Estate Accumulated Depreciation Depreciation Expense
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157193000 USD
CY2013 us-gaap Sec Schedule Iii Real Estate Accumulated Depreciation Depreciation Expense
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149848000 USD
CY2014 us-gaap Sec Schedule Iii Real Estate Accumulated Depreciation Depreciation Expense
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183432000 USD
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708831000 USD
CY2014Q4 us-gaap Secured Debt
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652209000 USD
CY2013Q4 us-gaap Senior Long Term Notes
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1048230000 USD
CY2014Q4 us-gaap Senior Long Term Notes
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1747370000 USD
CY2012 us-gaap Share Based Compensation
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14160000 USD
CY2013 us-gaap Share Based Compensation
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15552000 USD
CY2014 us-gaap Share Based Compensation
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13996000 USD
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3916789000 USD
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0.034
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0.0067
CY2014 us-gaap Share Based Compensation Arrangement By Share Based Payment Award Fair Value Assumptions Weighted Average Volatility Rate
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0.2
CY2014 us-gaap Share Based Compensation Arrangement By Share Based Payment Award Number Of Additional Shares Authorized
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2800000 shares
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3093382 shares
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P2Y6M
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97890000 USD
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534469000 USD
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3828439000 USD
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3416859000 USD
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3488494000 USD
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3964497000 USD
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3895243000 USD
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28456000 USD
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27935000 USD
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44726000 USD
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1
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14444000 USD
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14315000 USD
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133280000 USD
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150095000 USD
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173480000 USD
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62160000 shares
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68038000 shares
CY2014 us-gaap Weighted Average Number Of Share Outstanding Basic And Diluted
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71170000 shares
CY2014 us-gaap Nature Of Operations
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<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-weight:bold;">Background</font></div><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">As used in this annual report on Form 10-K, references to the &#8220;Company,&#8221; &#8220;Alexandria,&#8221; &#8220;we,&#8221; &#8220;our,&#8221; and &#8220;us&#8221; refer to Alexandria Real Estate Equities, Inc. and its subsidiaries.</font></div><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:115%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Alexandria Real Estate Equities, Inc. (NYSE:ARE), is a self-administered and self-managed investment-grade REIT, and is the largest and leading REIT uniquely focused on collaborative science campuses in urban innovation clusters, with a total market capitalization of </font><font style="font-family:inherit;font-size:10pt;">$10.4 billion</font><font style="font-family:inherit;font-size:10pt;"> as of </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">December 31, 2014</font><font style="font-family:inherit;font-size:10pt;">, and an asset base of </font><font style="font-family:inherit;font-size:10pt;">31.5 million</font><font style="font-family:inherit;font-size:10pt;"> square feet, including </font><font style="font-family:inherit;font-size:10pt;">18.7 million</font><font style="font-family:inherit;font-size:10pt;"> RSF of operating and current value-creation projects, as well as an additional </font><font style="font-family:inherit;font-size:10pt;">12.8 million</font><font style="font-family:inherit;font-size:10pt;"> square feet in future ground-up development projects. Alexandria pioneered this niche in 1994 and has since established a dominant market presence in AAA locations, including Greater Boston, the San Francisco Bay Area, New York City, San Diego, Seattle, Maryland, and Research Triangle Park. Alexandria is known for its high-quality and diverse client tenant base, with approximately </font><font style="font-family:inherit;font-size:10pt;color:#000000;text-decoration:none;">56%</font><font style="font-family:inherit;font-size:10pt;"> of its total ABR results from investment-grade client tenants. Alexandria has a longstanding and proven track record of developing Class A assets clustered in urban campuses that provide its innovative client tenants with highly dynamic and collaborative ecosystems that enhance their ability to successfully recruit and retain world-class talent and inspire productivity, efficiency, creativity, and success. We believe these advantages result in higher occupancy levels, longer lease terms, higher rental income, higher returns, and greater long-term asset value. For additional information on Alexandria, please visit www.are.com.</font></div><div style="line-height:120%;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Our asset base consisted of&#160;the following, as of </font><font style="font-family:inherit;font-size:10pt;">December 31, 2014</font><font style="font-family:inherit;font-size:10pt;">:</font></div><div style="line-height:120%;text-align:center;font-size:10pt;"><div style="padding-left:0px;text-indent:0px;line-height:normal;padding-top:10px;"><table cellpadding="0" cellspacing="0" style="font-family:Times New Roman;font-size:10pt;margin-left:auto;margin-right:auto;width:100%;border-collapse:collapse;text-align:left;"><tr><td colspan="4" rowspan="1"></td></tr><tr><td width="81%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td><td width="17%" rowspan="1" colspan="1"></td><td width="1%" rowspan="1" colspan="1"></td></tr><tr><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="2" style="vertical-align:bottom;border-bottom:1px solid #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1"><div style="text-align:center;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Square Feet</font></div><div style="text-align:center;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;font-style:italic;">(unaudited)</font></div></td></tr><tr><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Operating properties</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">16,727,985</font></div></td><td 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style="font-family:inherit;font-size:10pt;">1,857,520</font></div></td><td style="vertical-align:bottom;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr><tr><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Redevelopment properties</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">143,777</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr><tr><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Total operating and current value-creation projects</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">18,729,282</font></div></td><td style="vertical-align:bottom;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr><tr><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;height:18px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;height:18px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="2" style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1"><div style="overflow:hidden;height:18px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td></tr><tr><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Near-term value-creation projects in North America (CIP)</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">2,715,792</font></div></td><td style="vertical-align:bottom;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr><tr><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Future value-creation projects</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;border-bottom:1px solid #000000;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">10,093,396</font></div></td><td style="vertical-align:bottom;border-bottom:1px solid #000000;background-color:#cceeff;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr><tr><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">12,809,188</font></div></td><td style="vertical-align:bottom;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr><tr><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;height:18px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;height:18px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td colspan="2" style="vertical-align:bottom;background-color:#cceeff;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1"><div style="overflow:hidden;height:18px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td></tr><tr><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Total</font></div></td><td style="vertical-align:bottom;padding-left:2px;padding-top:2px;padding-bottom:2px;padding-right:2px;" rowspan="1" colspan="1"><div style="overflow:hidden;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;padding-left:2px;padding-top:2px;padding-bottom:2px;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:right;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">31,538,470</font></div></td><td style="vertical-align:bottom;border-bottom:3px double #000000;border-top:1px solid #000000;" rowspan="1" colspan="1"><div style="text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div></td></tr></table></div><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">As of </font><font style="font-family:inherit;font-size:10pt;">December 31, 2014</font><font style="font-family:inherit;font-size:10pt;">, we had </font><font style="font-family:inherit;font-size:10pt;">562</font><font style="font-family:inherit;font-size:10pt;"> leases with a total of </font><font style="font-family:inherit;font-size:10pt;">441</font><font style="font-family:inherit;font-size:10pt;"> client tenants, and </font><font style="font-family:inherit;font-size:10pt;">87</font><font style="font-family:inherit;font-size:10pt;">, or </font><font style="font-family:inherit;font-size:10pt;">45%</font><font style="font-family:inherit;font-size:10pt;">, of our </font><font style="font-family:inherit;font-size:10pt;">193</font><font style="font-family:inherit;font-size:10pt;"> properties were single-tenant properties. Leases in our multi-tenant buildings typically have terms of </font><font style="font-family:inherit;font-size:10pt;">five</font><font style="font-family:inherit;font-size:10pt;"> to </font><font style="font-family:inherit;font-size:10pt;">10</font><font style="font-family:inherit;font-size:10pt;"> years, while the single-tenant building leases typically have terms of </font><font style="font-family:inherit;font-size:10pt;">10</font><font style="font-family:inherit;font-size:10pt;"> to </font><font style="font-family:inherit;font-size:10pt;">20</font><font style="font-family:inherit;font-size:10pt;"> years. As of </font><font style="font-family:inherit;font-size:10pt;">December 31, 2014</font><font style="font-family:inherit;font-size:10pt;">:</font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><table cellpadding="0" cellspacing="0" style="font-family:Times New Roman; font-size:10pt;"><tr><td style="width:72px;" rowspan="1" colspan="1"></td><td rowspan="1" colspan="1"></td></tr><tr><td style="vertical-align:top" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;padding-left:48px;"><font style="font-family:inherit;font-size:10pt;">&#8226;</font></div></td><td style="vertical-align:top;" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Investment-grade client tenants represented </font><font style="font-family:inherit;font-size:9pt;">56%</font><font style="font-family:inherit;font-size:10pt;"> of our total ABR;</font></div></td></tr></table><table cellpadding="0" cellspacing="0" style="font-family:Times New Roman; font-size:10pt;"><tr><td style="width:72px;" rowspan="1" colspan="1"></td><td rowspan="1" colspan="1"></td></tr><tr><td style="vertical-align:top" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;padding-left:48px;"><font style="font-family:inherit;font-size:10pt;">&#8226;</font></div></td><td style="vertical-align:top;" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Approximately </font><font style="font-family:inherit;font-size:10pt;">95%</font><font style="font-family:inherit;font-size:10pt;"> of our leases (on an RSF basis) were triple net leases, requiring client tenants to pay substantially all real estate taxes, insurance, utilities, common area, and other operating expenses (including increases thereto) in addition to base rent;</font></div></td></tr></table><table cellpadding="0" cellspacing="0" style="font-family:Times New Roman; font-size:10pt;"><tr><td style="width:72px;" rowspan="1" colspan="1"></td><td rowspan="1" colspan="1"></td></tr><tr><td style="vertical-align:top" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;padding-left:48px;"><font style="font-family:inherit;font-size:10pt;">&#8226;</font></div></td><td style="vertical-align:top;" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Approximately </font><font style="font-family:inherit;font-size:10pt;">94%</font><font style="font-family:inherit;font-size:10pt;"> of our leases (on an RSF basis) contained effective annual rent escalations that were either fixed (generally ranging from </font><font style="font-family:inherit;font-size:10pt;">3%</font><font style="font-family:inherit;font-size:10pt;"> to </font><font style="font-family:inherit;font-size:10pt;">3.5%</font><font style="font-family:inherit;font-size:10pt;">) or indexed based on a consumer price index or other index; and</font></div></td></tr></table><table cellpadding="0" cellspacing="0" style="font-family:Times New Roman; font-size:10pt;"><tr><td style="width:72px;" rowspan="1" colspan="1"></td><td rowspan="1" colspan="1"></td></tr><tr><td style="vertical-align:top" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;padding-left:48px;"><font style="font-family:inherit;font-size:10pt;">&#8226;</font></div></td><td style="vertical-align:top;" rowspan="1" colspan="1"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Approximately </font><font style="font-family:inherit;font-size:10pt;">93%</font><font style="font-family:inherit;font-size:10pt;"> of our leases (on an RSF basis) provided for the recapture of certain capital expenditures (such as HVAC systems maintenance and/or replacement, roof replacement, and parking lot resurfacing) that we believe would typically be borne by the landlord in traditional office leases.</font></div></td></tr></table><div style="line-height:120%;text-align:left;padding-left:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">Any references to the number of buildings, square footage, number of leases, occupancy, and client tenants, and any amounts derived from these values in the notes to consolidated financial statements are unaudited.</font></div></div>
CY2014 us-gaap Derivatives Methods Of Accounting Hedging Derivatives
DerivativesMethodsOfAccountingHedgingDerivatives
<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;text-decoration:underline;">Interest rate swap agreements</font></div><div style="line-height:120%;text-align:left;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">We are exposed to certain risks arising from both our business operations and economic conditions. We principally manage our exposures to a wide variety of business and operational risks through management of our core business activities. We manage economic risks, including interest rate, liquidity, and credit risk, primarily by managing the amount, sources, and duration of our debt funding and the use of interest rate swap agreements. Specifically, we enter into interest rate swap agreements to manage exposures that arise from business activities that result in the payment of future known and uncertain cash amounts, the values of which are determined by interest rates. Our interest rate swap agreements are used to manage differences in the amount, timing, and duration of our known or expected cash payments principally related to our borrowings based on LIBOR. We do not use derivatives for trading or speculative purposes, and currently all of our derivatives are designated as hedges. Our objectives in using interest rate swap agreements are to add stability to interest expense and to manage our exposure to interest rate movements in accordance with our interest rate risk management strategy. All of our interest rate swaps are designated as cash flow hedges. Interest rate swap agreements designated as cash flow hedges involve the receipt of variable-rate amounts from a counterparty in exchange for the Company making fixed-rate payments over the life of the interest rate swap agreements without exchange of the underlying notional amount of interest rate swap agreements.</font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">We utilize interest rate swap agreements to hedge a portion of our exposure to variable interest rates primarily associated with borrowings based on LIBOR. We recognize our interest rate swap agreements as either assets or liabilities on the balance sheet at fair value.&#160; The accounting for changes in fair value (i.e., gains or losses) of a derivative instrument depends on whether it has been designated and qualifies as part of a hedging relationship and, further, on the type of hedging relationship. For those derivative instruments that are designated and qualify as hedging instruments, a company must designate the hedging instrument, based on the hedged exposure, as a fair value hedge, a cash flow hedge, or a hedge of a net investment in a foreign operation. Our interest rate swap agreements are considered cash flow hedges because they are designated and qualify as hedges of the exposure to variability in expected future cash flows. Hedge accounting generally provides for the matching of the timing of gain or loss recognition on the hedging instrument with the recognition of the changes in the earnings effect of the hedged transactions in a cash flow hedge. All of our interest rate swap agreements meet the criteria to be deemed &#8220;highly effective&#8221; in reducing our exposure to variable interest rates. We formally document all relationships between interest rate swap agreements and hedged items, including the method for evaluating effectiveness and the risk strategy. We make an assessment at the inception of each interest rate swap agreement and on an ongoing basis to determine whether these instruments are &#8220;highly effective&#8221; in offsetting changes in cash flows associated with the hedged items. The ineffective portion of each interest rate swap agreement is immediately recognized in earnings. While we intend to continue to meet the conditions for such hedge accounting, if swaps did not qualify as &#8220;highly effective,&#8221; the changes in the fair values of the derivatives used as hedges would be reflected in earnings.</font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">&#160;&#160;</font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">The effective portion of changes in the fair value of our interest rate swap agreements that are designated and that qualify as cash flow hedges is recognized in accumulated other comprehensive income. Amounts classified in accumulated other comprehensive income will be reclassified into earnings in the period during which the hedged transactions affect earnings. </font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-align:left;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">The fair value of each interest rate swap agreement is determined using widely accepted valuation techniques including discounted cash flow analyses on the expected cash flows of each derivative. These analyses reflect the contractual terms of the derivatives, including the period to maturity, and use observable market-based inputs, including interest rate curves and implied volatilities. The fair values of our interest rate swap agreements are determined using the market standard methodology of netting the discounted future fixed cash payments and the discounted expected variable cash receipts. The variable cash receipts are based on an expectation of future interest rates (forward curves) derived from observable market interest rate curves. The fair value calculation also includes an amount for risk of non-performance of our counterparties using &#8220;significant unobservable inputs&#8221; such as estimates of current credit spreads to evaluate the likelihood of default, which we have determined to be insignificant to the overall fair value of our interest rate swap agreements.</font></div></div>
CY2014 us-gaap Use Of Estimates
UseOfEstimates
<div style="font-family:Times New Roman;font-size:10pt;"><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;text-decoration:underline;">Use of estimates</font></div><div style="line-height:120%;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;"><br clear="none"/></font></div><div style="line-height:120%;text-indent:48px;font-size:10pt;"><font style="font-family:inherit;font-size:10pt;">The preparation of consolidated financial statements in conformity with GAAP requires us to make estimates and assumptions that affect the reported amounts of assets, liabilities, and equity; the disclosure of contingent assets and liabilities as of the date of the consolidated financial statements; and the amounts of revenues and expenses during the reporting period.&#160; Actual results could materially differ from those estimates.</font></div></div>

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