7Baggers

W. P. Carey Quarterly Cash Flow Statements Chart

Quarterly
 | 
Annual
 
 Stock-Based Compensation  
 Operating Cash Flow  
 Investing Cash Flow  
 Financing Cash Flow  
20200930 20201231 20210331 20210630 20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 20241231 20250331 20250630 00.150.30.440.590.740.891.04Billion

W. P. Carey Quarterly Cash Flow Statements Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-09-30 2018-06-30 2018-03-31 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-12-31 2008-09-30 2008-06-30 2008-03-31 2007-12-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 
                                                                         
  cash flows — operating activities                                                                       
  net income51,312,000 125,816,000 47,038,000 111,652,000 142,854,000 159,086,000 144,244,000 124,999,000 144,580,000 294,441,000 209,503,000 104,268,000 127,718,000 156,993,000 99,612,000 138,586,000 120,283,000 51,641,000 134,615,000 149,434,000 115,204,000 66,702,000 129,792,000 41,835,000 66,121,000 68,796,000 81,573,000 79,424,000 68,066,000 53,171,000 60,864,000 56,144,000 23,578,000 -38,582,011,813,000 38,582,117,318,000 34,766,000 28,316,000 68,255,000 114,732,000 48,860,000 21,650,000 45,816,000 15,839,000 17,654,000 2,226,000 31,230,000 11,669,000 9,204,000 27,589,000 78,729,000 23,616,000 20,557,000 16,371,000 23,721,000 14,302,000 23,733,000 14,184,000 14,877,000 17,774,000 21,900,000 19,198,000 19,848,000 17,101,000 6,013,000 20,409,000 42,030,000 10,800,000 43,629,000 14,305,000 17,304,000 11,065,000 
  adjustments to net income:                                                                       
  depreciation and amortization, including intangible assets and deferred financing costs125,037,000 134,521,000 120,758,000 120,689,000 142,167,000 123,487,000 134,336,000 149,842,000 148,674,000 161,314,000 145,578,000 136,491,000 118,536,000 119,136,000 139,219,000 119,392,000 118,090,000 114,021,000 114,409,000 111,567,000 110,751,000 119,483,000 115,106,000 112,824,000 116,700,000 115,400,000 69,795,000 66,351,000 65,837,000 67,180,000 84,956,000 75,562,000 78,144,000 -6,699,323,428,000 6,699,457,557,000 63,741,000 60,900,000 66,351,000 57,557,000 37,637,000 35,021,000 33,855,000 33,803,000 32,582,000 7,478,000 7,173,000 7,881,000 9,456,000                        
  net realized and unrealized losses (gains) on equity securities, extinguishment of debt, foreign currency exchange rate movements, and other     674,000                                                                  
  gain on sale of real estate-52,824,000 -43,777,000 -4,480,000 -15,534,000 -39,363,000 -15,445,000 -134,026,000 -2,401,000 -1,808,000 -177,749,000 -5,845,000 4,736,000 -31,119,000 -11,248,000 -9,511,000 -1,702,000 -19,840,000 -9,372,000 -76,686,000 -20,933,000 -11,751,000 -17,501,000 -71,000 362,000 -933,000 -343,000 -11,912,000 -6,732,000 -18,282,000 -662,000 -3,507,000 -1,779,000 -16,000 -1,185,000  -258,000    -240,000     -1,686,000 181,000 3,655,000 396,000 121,000 -781,000                    
  straight-line rent adjustments-15,719,000 -21,537,000 -25,438,000 -21,763,000 -15,849,000 -20,044,000 -19,764,000 -19,706,000 -20,017,000 -15,948,000 -15,646,000 -15,196,000 -15,383,000 -11,763,000 -16,531,000 -12,048,000 -11,802,000 -10,184,000 -10,934,000 -14,539,000 -13,207,000 -11,619,000 -10,357,000 -11,609,000 -13,102,000 -11,192,000 -4,639,000                            251,000 663,000 593,000 473,000 494,000 509,000 466,000 621,000 631,000 927,000 624,000 571,000 850,000 809,000 731,000 880,000 732,000 
  increase in allowance for credit losses9,871,000 12,331,000 16,831,000       -3,420,000                                                              
  stock-based compensation expense10,943,000 9,148,000 9,667,000 13,468,000 8,903,000 8,856,000 8,693,000 9,050,000 8,995,000 7,766,000 9,739,000 5,511,000 9,758,000 7,833,000 6,091,000 4,361,000 9,048,000 5,381,000 5,795,000 4,564,000 2,918,000 2,661,000 4,939,000 4,747,000 4,936,000 4,165,000 2,475,000 3,698,000 8,219,000 4,001,000 9,814,000 5,563,000 3,965,000 -70,084,945,000 70,097,043,000 8,096,000 7,979,000 7,957,000 7,043,000  7,852,000 8,429,000 9,149,000 6,478,000 9,805,000 4,494,000 5,261,000 4,690,000 4,398,000 6,177,000 2,451,000 387,000 1,759,000 2,475,000 2,461,000 1,559,000 2,517,000 3,535,000 1,725,000 1,384,000 1,972,000 1,816,000 2,106,000 1,756,000 1,467,000 1,405,000 923,000     
  earnings from equity method investments-6,161,000 -5,378,000 -302,000 -6,124,000 -6,636,000 -4,864,000  -4,978,000 -4,355,000 -5,236,000                                                              
  impairment charges — real estate4,349,000 6,854,000 27,843,000   71,238,000    12,734,000                                                             
  distributions of earnings from equity method investments4,546,000 5,870,000 4,245,000 4,674,000 8,460,000 3,687,000 3,481,000 5,176,000 4,683,000 5,248,000 3,960,000 10,369,000 9,935,000 5,972,000 6,655,000 5,086,000 2,127,000 1,603,000 2,133,000 4,165,000 465,000 2,656,000 7,300,000 6,583,000 5,809,000 7,080,000 18,812,000 13,072,000 15,289,000                                           
  amortization of rent-related intangibles and deferred rental revenue4,951,000 1,276,000 10,256,000 4,524,000 5,555,000 4,142,000 6,264,000 7,901,000 9,028,000 10,765,000 8,871,000 11,677,000 11,062,000 11,639,000 15,564,000 12,792,000 15,436,000 13,118,000 12,445,000 13,471,000 14,026,000 12,794,000 22,341,000 30,162,000 16,450,000 15,925,000 13,073,000 11,877,000 11,455,000                                           
  deferred income tax expense        -2,723,000 4,366,000                                                              
  gain on repayment of secured loan receivable  -10,650,000                                                                  
  proceeds from sales of net investments in sales-type leases161,952,000 16,282,000 -169,000 -99,000 -464,000 807,544,000                                                                  
  net changes in other operating assets and liabilities-35,972,000 2,645,000 29,732,000 24,888,000 -36,538,000 -15,550,000 2,695,000 3,841,000 -41,870,000 5,935,000 40,399,000 5,508,000 -38,754,000 -21,422,000 21,631,000 -302,000 -12,787,000 -22,794,000 40,956,000 21,403,000 -27,001,000 -32,119,000 15,859,000 23,535,000 -9,238,000 -50,939,000 -11,077,000 -203,000 -23,893,000 -9,045,000 2,819,000 15,667,000 -5,695,000 5,651,000 -33,319,000 11,494,000 10,906,000 569,000 -5,489,000 -2,718,000 11,240,000 11,344,000 -23,050,000 -6,649,000 29,703,000 1,391,000 -21,533,000 2,913,000 3,274,000 3,742,000 -15,285,000 9,831,000 2,666,000 2,988,000 -9,063,000 590,000 4,053,000 1,295,000 -7,339,000 -2,971,000 8,023,000 2,724,000 -15,997,000 5,127,000 1,233,000 5,495,000 -7,744,000 10,409,000 -1,075,000 2,318,000 -2,968,000 
  net cash from operating activities403,983,000 273,213,000 296,347,000 280,170,000 221,048,000 1,035,547,000 260,745,000 282,353,000 247,607,000 282,727,000 301,028,000 255,645,000 211,001,000 235,882,000 301,083,000 226,649,000 210,303,000 188,444,000 244,954,000 216,533,000 160,354,000 179,697,000 234,592,000 249,325,000 185,314,000 142,846,000 140,845,000 125,968,000 102,946,000 123,142,000 113,072,000 146,374,000 114,851,000 -6,737,127,644,000 6,737,343,696,000 121,938,000 108,517,000 124,941,000 43,696,000 61,581,000 74,874,000 53,978,000 17,475,000 48,904,000 19,934,000 15,865,000 -4,060,000 17,464,000 16,665,000 39,301,000 6,686,000 34,149,000 15,977,000 22,668,000 13,623,000 25,161,000 14,700,000 10,401,000 24,282,000 15,755,000 20,273,000 16,460,000 10,759,000 22,578,000 13,245,000 11,927,000 -279,000 71,080,000 13,295,000 10,218,000 25,347,000 
  cash flows — investing activities                                                                       
  purchases of real estate-365,289,000 -176,927,000 -552,093,000 -128,628,000 -254,344,000 -193,744,000 -303,126,000 -13,237,000 -751,389,000 -143,645,000 -131,784,000 -399,553,000 -348,971,000 -265,426,000 -302,425,000 -167,430,000 -686,081,000 -150,922,000 -306,193,000 -84,291,000 -68,203,000 -197,626,000 -366,084,000 -61,816,000 -124,837,000 -164,929,000 -260,224,000 -184,693,000 -85,197,000   -144,996,000 -93,897,000 -50,312,000 -385,603,000  -158,259,000    -65,735,000 -112,423,000 -71,131,000                             
  proceeds from sales of real estate198,625,000 110,437,000 121,922,000 92,543,000 134,154,000 60,868,000 258,724,000 143,617,000 3,036,000 41,025,000 64,311,000 55,208,000 88,449,000 26,684,000 36,941,000 28,264,000 10,396,000 88,037,000 198,558,000 62,859,000 -39,000 105,154,000 281,481,000 13,889,000 7,738,000 4,851,000 17,393,000 42,046,000 35,691,000                                           
  investments in loans receivable-175,670,000 -93,206,000 -186,564,000 -85,000 -83,731,000                                                                  
  funding for real estate construction, redevelopments, and other capital expenditures on real estate-25,452,000 -27,193,000 -64,307,000 -23,813,000 -27,650,000 -19,557,000 -31,476,000 -28,014,000 -26,914,000 -35,221,000 -20,720,000 -26,980,000 -34,974,000 -21,767,000 -25,661,000 -33,574,000 -25,111,000 -29,270,000 -37,753,000 -52,083,000 -64,028,000 -53,392,000 -33,197,000 -55,402,000 -49,815,000 -27,076,000                                              
  value added taxes refunded in connection with acquisition of real estate14,873,000 17,128,000  9,542,000 4,224,000 4,504,000                                                                  
  value added taxes paid in connection with acquisition of real estate-9,954,000 -6,698,000  -7,419,000 -1,900,000 -27,197,000                          -138,000                                        
  purchase of equity investment                                                                       
  capital contributions to equity method investments-2,000,000 -1,170,000 -7,634,000 -4,102,000 -3,189,000 -1,835,000 -1,624,000 -12,918,000 -9,961,000 -13,716,000 -24,289,000 -29,518,000 -21,649,000 -17,960,000 -10,172,000 -8,688,000   -3,658,000 -595,000 -1,000 -2,594,000 -715,000                                           
  other investing activities-2,732,000 5,659,000 -27,439,000 12,795,000 3,167,000 -693,000 -19,500,000 3,576,000 -9,664,000 1,101,000 -2,822,000 -14,222,000 3,288,000 -6,011,000 3,223,000 -941,000 -13,468,000 -8,445,000 -3,437,000 -4,024,000 2,035,000 6,591,000 -25,068,000 -6,957,000 6,308,000 16,835,000 2,824,000 -3,827,000 427,000 1,605,000 -1,130,000 738,000 509,000 -488,357,000 489,334,000 -5,896,000 1,687,000 406,000 334,000                                 
  return of capital from equity method investments-377,000 3,100,000 -1,000 224,000 390,000 413,000 403,000 138,000 9,471,000 472,000 -345,000 -658,000 6,679,000 1,426,000 2,344,000 -16,000 8,541,000 3,086,000 6,961,000 2,059,000 6,967,000 3,496,000 3,711,000 3,468,000 8,436,000 18,750,000 5,172,000 3,713,000 3,244,000                                           
  proceeds from repayment of loans receivable  24,000,000           11,000,000                                                  
  release of tenant-funded escrow for investing activities                                                                       
  net cash from investing activities-367,976,000 -173,870,000 -697,870,000 -48,858,000 -150,192,000 -236,972,000 -113,357,000 113,092,000 -318,346,000 -587,272,000 -33,106,000 -458,900,000 -331,471,000 -229,054,000 -513,461,000 -167,385,000 -809,415,000 -76,466,000 -262,081,000 -75,480,000 -92,539,000 -109,832,000 -101,515,000 -113,903,000 -153,192,000 -154,163,000 -250,097,000 -171,302,000 -40,145,000 -308,823,000 94,195,000 -19,984,000 -102,252,000   -686,307,000 -85,539,000 4,001,000 127,619,000 152,879,000 -60,614,000 -70,905,000 -27,734,000 43,898,000 41,188,000 31,916,000 9,464,000 1,801,000 -2,681,000 -134,344,000 9,140,000 759,000 -10,918,000 -27,801,000 117,000 4,785,000 26,558,000 938,000 -14,175,000 6,165,000 6,779,000 -2,652,000 2,306,000 -14,968,000 -2,204,000 6,693,000 -30,569,000 -67,398,000 10,971,000 11,664,000 202,000 
  cash flows — financing activities                                                                       
  proceeds from unsecured revolving credit facility875,025,000 591,044,000 90,612,000 270,155,000 230,835,000 637,587,000 333,682,000 397,288,000 801,637,000 1,018,971,000 619,194,000 763,242,000 421,653,000 275,331,000 640,327,000 272,095,000 737,692,000 350,525,000 241,291,000 258,018,000 170,872,000 348,977,000                                                  
  repayments of unsecured revolving credit facility-421,767,000 -443,243,000 -254,550,000 -63,188,000 -508,248,000 -740,453,000 -462,303,000 -400,298,000 -941,505,000 -635,648,000 -811,138,000 -699,388,000 -461,026,000 -196,840,000 -484,317,000 -286,448,000 -485,129,000 -407,975,000 -346,266,000 -98,283,000 -225,834,000 -466,643,000                                                  
  repayment of senior unsecured notes-450,000,000 -544,500,000                                                                    
  dividends paid-196,045,000 -195,050,000 -192,690,000 -191,646,000 -190,479,000 -190,331,000 -230,367,000 -229,992,000 -229,474,000 -226,697,000 -221,955,000 -205,574,000 -204,597,000 -203,131,000 -197,041,000 -194,655,000 -187,159,000 -185,426,000 -184,098,000 -182,241,000 -180,342,000 -180,274,000 -179,402,000 -177,545,000 -176,041,000 -171,408,000                                              
  payments of mortgage principal-106,535,000 -72,323,000 -41,293,000 -62,530,000 -58,407,000 -69,276,000                                                                  
  repayments of term loans-90,224,000                                                                      
  proceeds from term loans86,224,000                                                                     
  payments for withholding taxes upon delivery of equity-based awards-5,207,000 -84,000 -4,000 -6,862,000 -61,000 -292,000 -13,326,000 -13,000 -6,599,000 -43,000 -2,000 -33,000 -3,744,000 -100,000 -261,000 -5,011,000  -23,000 -178,000 -15,565,000                                              
  contributions from noncontrolling interests  1,000   2,886,000             849,000   22,000 90,000 144,000 103,000 -207,640,000 208,123,000 191,000 188,000 191,000 123,000 62,315,000 367,000 2,463,000 972,000 839,000 730,000 750,000 882,000 882,000 842,000 617,000 2,858,000 223,000 10,560,000 620,000 810,000 554,000 559,000 1,024,000             
  other financing activities6,036,000 -2,034,000 3,007,000 -3,467,000 -2,698,000 -9,653,000 2,487,000 -2,751,000 749,000 1,444,000 -2,942,000 6,125,000 3,213,000 2,443,000 2,354,000 2,000 2,345,000 -95,000 1,375,000 -379,000 652,000 7,269,000 1,178,000 2,979,000 155,000 1,238,000 18,000 -3,172,000 -137,000                                           
  payment of financing costs-503,000 -331,000 -4,805,000 -901,000   821,000    -243,000    -3,094,000 -25,000 -379,000 -7,797,000 -4,207,000 -5,000 -9,993,000 -1,057,000 -3,401,000   -696,000 -3,590,000 -5,000 -250,000 8,000 -385,000 -10,501,000             -6,216,000 -731,000   -121,000 -782,000       -5,000 -1,000 -369,000 -33,000 -14,000 -1,234,000 -69,000 -786,000 -343,000 -255,000 -217,000 
  distributions to noncontrolling interests-70,000 -50,000 -1,824,000 -321,000 -60,000 -50,000 -204,000 -2,779,000 -144,000 -136,000                                      -1,948,000 -2,488,000 -1,397,000 -1,425,000 -2,338,000 -578,000 -652,000 -792,000 -916,000 -1,115,000 -501,000 -2,973,000             
  proceeds from issuance of senior unsecured notes  627,572,000          346,668,000 1,038,391,000     549,288,000       -1,022,302,475,892,000 1,022,303,498,195,000 498,195,000                                 
  net cash from financing activities160,942,000 -581,194,000 226,030,000 -596,482,000 61,022,000 -379,038,000 321,982,000 -464,941,000 128,347,000 307,174,000 -306,170,000 257,526,000 70,834,000 35,697,000 251,183,000 -93,083,000 531,728,000 -132,780,000 100,687,000 -127,844,000 -151,013,000 -32,543,000 -277,048,000 921,000 -76,934,000 -104,717,000 163,195,000 1,834,000 -60,167,000 95,751,000 -102,111,000 -156,845,000 -53,326,000 43,910,000 318,798,000 244,001,000 302,043,000 -112,438,000 -90,466,000 -191,603,000 14,414,000 -32,534,000 -865,000 -206,502,000 135,744,000 -38,361,000 -4,173,000 -26,855,000 -2,939,000 87,176,000 -46,880,000 -16,333,000 1,150,000 12,066,000 1,569,000 -30,416,000 -46,045,000 -10,039,000 -4,775,000 -25,306,000 -20,594,000 -17,084,000 -7,805,000 -12,393,000 -13,240,000 -12,908,000 22,004,000 178,000 -21,850,000 -21,167,000 -23,779,000 
  change in cash and cash equivalents and restricted cash during the period                                                                       
  effect of exchange rate changes on cash and cash equivalents and restricted cash11,571,000 8,779,000 -12,935,000 14,629,000 -6,231,000 -7,485,000 8,677,000 -2,867,000 -2,152,000 4,061,000 12,376,000 -4,751,000 -8,502,000 -1,844,000 -2,777,000 -2,462,000 1,089,000 -6,479,000 5,450,000 5,568,000 2,900,000 -4,550,000 6,760,000 -9,225,000 744,000 -2,350,000 -2,961,000 -8,065,000 3,073,000                                           
  net increase in cash and cash equivalents and restricted cash208,520,000 -473,072,000 -188,428,000 -350,541,000 125,647,000 412,052,000 478,047,000 -72,363,000 55,456,000 6,690,000 -25,872,000   40,681,000    -27,281,000    32,772,000 -137,211,000   -118,384,000 50,982,000 -51,565,000 5,707,000                                           
  cash and cash equivalents and restricted cash, beginning of period690,701,000  691,971,000  224,141,000  217,950,000  311,779,000  251,518,000  424,063,000 209,676,000                                           
  cash and cash equivalents and restricted cash, end of period208,520,000 217,629,000  -350,541,000 125,647,000 1,104,023,000  -72,363,000 55,456,000 230,831,000  49,520,000 -58,138,000 258,631,000  -36,281,000 -66,295,000 284,498,000  18,777,000 -80,298,000 284,290,000  127,118,000 -44,068,000 305,679,000 50,982,000 -51,565,000 215,383,000                                           
  net realized and unrealized losses on equity securities, extinguishment of debt, foreign currency exchange rate movements, and other 29,944,000                                                                      
  deferred income tax benefit -782,000 96,000    2,507,000    -6,510,000 36,000 -355,000 -1,242,000  -661,000 216,000 -2,567,000  -2,885,000 -3,042,000 -41,487,000  -1,039,000 -295,000 -1,829,000                                              
  purchase of equity method investment -5,000,000                                                                      
  net realized and unrealized losses (gains) on extinguishment of debt, equity securities, foreign currency exchange rate movements, and other                                                                       
  gain on change in control of interests                                 -1,302,000 -1,284,000 -103,361,000                               
  impairment charges — investment management goodwill                                                                      
  asset management revenue received in shares of cpa:18 – global           -1,024,000                                                          
  (release) receipt of tenant-funded escrow for investing activities                                                                     
  cash paid to stockholders of cpa:18 – global in the cpa:18 merger                                                                      
  cash and restricted cash acquired in connection with the cpa:18 merger                                                                      
  proceeds from redemption of wlt preferred stock and cash exchanged for wlt common stock                                                                       
  proceeds from repayment of short-term loans to affiliates          16,000,000 3,000,000 7,000,000 25,000,000 16,000,000 21,048,000 30,729,000 20,973,000 35,000,000    37,000,000 20,000,000 135,447,000                1,000,000                        
  funding of short-term loans to affiliates          -8,000,000 -18,000,000 -10,000,000   -21,048,000 -5,433,000 -7,358,000 -18,854,000   -10,000,000 -20,000,000 -30,000,000                -2,000,000                       
  proceeds from shares issued under forward equity, net of selling costs      383,979,000                                                                 
  proceeds from unsecured term loans                 298,974,000                                                  
  proceeds in connection with the spin-off                                                                       
  proceeds from shares issued under our prior atm program, net of selling costs                                                                       
  change in cash and cash equivalents and restricted cash during the year                                                                       
  cash and cash equivalents and restricted cash, beginning of year                                                                       
  cash and cash equivalents and restricted cash, end of year                                                                       
  decrease in allowance for credit losses    -1,094,000 -4,003,000  -2,484,000                                                                
  deferred income tax (benefit) expense    -1,392,000 -1,373,000                                                                  
  net realized and unrealized gains on equity securities, extinguishment of debt, foreign currency exchange rate movements, and other        2,629,000 -4,755,000                                                              
  investment deposit         -467,075,000                                                              
  tenant-funded escrow for investing activities      -16,758,000 -8,070,000 29,787,000                                                              
  (earnings) losses from equity method investments          -6,032,000 -11,304,000 -7,401,000 -4,772,000                                                          
  asset management revenue received in shares of managed programs                                                                       
  scheduled payments of mortgage principal      -45,858,000 -165,140,000 -48,501,000 -37,387,000 -75,682,000 -36,843,000 -8,268,000 -6,437,000 -13,277,000 -30,774,000 -6,036,000 -14,203,000 -34,414,000 -204,734,000 -15,481,000 -21,117,000 -116,542,000 -36,514,000 -16,998,000 -40,360,000 -24,710,000 -11,866,000 -22,472,000 -25,964,000 -17,941,000 -35,906,000 -18,327,000 -17,848,000 -18,247,000 -108,227,000 -35,189,000 -44,897,000 -16,711,000 -231,001,000 -38,927,000 -19,224,000 -102,612,000   -7,905,000 -2,357,000 -2,434,000 -12,996,000 -2,603,000 -7,294,000  -1,896,000 -6,263,000 -4,059,000 -2,007,000 -2,286,000 -2,648,000 -2,593,000 -2,482,000 -2,498,000 -2,403,000 -2,295,000 -2,218,000 -6,135,000 -5,101,000 -2,618,000 -2,551,000 -3,486,000 -2,789,000 -2,916,000 
  prepayments of mortgage principal      -456,000 -46,512,000 -52,876,000 -1,000 -2,330,000 -8,050,000 -317,632,000 -585,000 -1,688,000 -425,219,000     -155,996,000 -379,482,000 -293,738,000 -199,579,000 -164,908,000 -30,602,000 -36,894,000 -81,882,000    -4,721,000 -14,245,000 -85,004,000 -116,816,000                                 
  redemption of senior unsecured notes              -617,442,000                                                      
  net realized and unrealized (gains) losses on equity securities, extinguishment of debt, foreign currency exchange rate movements, and other                                                                       
  proceeds from redemption of wlt preferred stock                                                                       
  investment in loan receivable           -805,000                                                            
  proceeds from shares issued under atm program, net of selling costs        -137,000 249,943,000 -14,000 39,101,000 178,994,000 37,462,000 -6,000 162,292,000 140,220,000      131,397,000 88,303,000 303,831,000                                              
  net realized and unrealized (gains) losses on extinguishment of debt, equity securities, foreign currency exchange rate movements, and other                                                                       
  purchases of securities                                                                       
  proceeds from shares issued under equity forwards, net of selling costs          186,803,000                                                             
  distributions paid to noncontrolling interests           -111,000 -51,000 -14,000 -41,000 -48,000 -41,000 -15,000 -46,000 -49,000 -506,000 -4,725,000 -492,000 -569,000 -126,000 -496,000 -5,393,000 -4,549,000 -5,224,000 -3,244,000 -6,084,000 -4,597,000 -3,464,000 -4,298,000 -2,354,000 -4,452,000 -4,168,000 -5,895,000 -6,131,000 -51,632,000 -5,199,000 -5,996,000 -9,232,000   -173,000 -992,000                         
  impairment charges            6,206,000 20,179,000 7,945,000    16,410,000 19,420,000 6,758,000    4,790,000   7,195,000 19,437,000 591,000 2,683,000 16,776,000 4,225,000   7,343,000 1,416,000 1,671,000 3,279,000 10,700,000 5,534,000 1,004,000 5,724,000 5,498,000 4,934,000   6,763,000 481,000 985,000 7,152,000 5,754,000 2,390,000   473,000    1,017,000     9,000 -9,000 3,357,000 
  change in allowance for credit losses            -1,753,000 773,000 7,003,000 -488,000                                                        
  proceeds from redemption of securities            65,000,000                                                          
  proceeds from term loan                                                                       
  proceeds from shares issued under our equity forwards, net of selling costs                                                                       
  net decrease in cash and cash equivalents and restricted cash               -36,281,000    18,777,000                                                    
  net realized and unrealized (gains) losses on equity securities, extinguishment of debt, foreign currency transactions, and other             -35,172,000                                                          
  net realized and unrealized losses (gains) on extinguishment of debt, equity securities, foreign currency transactions, and other                                                                       
  asset management revenue received in shares of managed reits              -3,076,000 -3,160,000 -3,154,000 -3,138,000 -3,057,000 -2,978,000 -3,551,000 -7,056,000                                                  
  losses (earnings) from equity method investments                                                                       
  loss on change in control of interests                                                                       
  investments in direct financing leases and loans receivable                                                                       
  proceeds from shares issued under forward sale agreements, net of selling costs              239,817,000 147,363,000   99,829,000                                                    
  net realized and unrealized gains on extinguishment of debt, equity securities, foreign currency transactions, and other                                                                       
  losses from equity method investments               -5,735,000                                                        
  net realized and unrealized losses on extinguishment of debt, equity securities, foreign currency transactions, and other                -2,579,000 42,360,000                                                      
  equity in losses of equity method investments in the managed programs and real estate                 9,733,000                                                      
  allowance for credit losses                 -1,358,000 11,946,000 8,407,000 -3,593,000 5,499,000        7,064,000                                         
  realized and unrealized gains on foreign currency transactions, derivatives, and other                                                                       
  equity in losses (earnings) of equity method investments in the managed programs and real estate                  8,470,000 -1,720,000 -33,983,000 45,790,000                                                  
  changes in assets and liabilities:                                                                       
  deferred structuring revenue received                  -111,000 833,000 421,000 1,537,000 909,000 660,000 763,000 2,581,000 2,214,000 1,540,000 4,080,000                                           
  increase in deferred structuring revenue receivable                  -88,000 -22,000 -26,000 -33,000 -540,000 -2,292,000 -1,851,000 -725,000                                           
  cash and restricted cash acquired in connection with the cpa:17 merger                                                                       
  cash paid to stockholders of cpa:17 – global in the cpa:17 merger                                                                       
  repurchase of shares in connection with cpa:17 merger                                                                       
  realized and unrealized (gains) losses on foreign currency transactions, derivatives, and other                          -4,963,000                                             
  realized and unrealized losses on foreign currency transactions, derivatives, and other                    946,000 7,275,000    7,504,000   4,267,000                                           
  investment management revenue received in shares of managed reits and other                      -7,504,000 -7,694,000 -7,676,000 -7,681,000 -9,256,000 -14,288,000 -16,505,000                                           
  equity in earnings of equity method investments in the managed programs and real estate                      -8,018,000 -5,769,000 -3,951,000 -5,491,000 -18,363,000 -12,558,000 -15,325,000                                           
  proceeds from senior unsecured credit facility                      404,504,000 405,499,000 381,596,000 145,225,000 389,548,000 300,026,000 292,964,000 385,000,000 190,568,000 286,102,000 274,543,000 -291,206,417,261,000 291,206,901,383,000                                     
  repayments of senior unsecured credit facility                      -228,997,000 -490,708,000 -378,996,000 -128,452,000 -85,973,000 -168,173,000 -650,722,000 -144,967,000 -130,000,000 -225,600,000 -190,654,000 -36,183,000 -877,685,000                                     
  proceeds from shares issued under “at-the-market” offering, net of selling costs                                                                       
  payments for withholding taxes upon delivery of equity-based awards and exercises of stock options                          65,000 -22,000 -13,883,000 -1,098,000 -7,352,000 -2,299,000 -1,041,000 -152,000 -15,250,000 -580,000 -314,000 -389,000 -15,882,000 8,000 -1,049,000                               
  proceeds from mortgage financing                          857,000   4,889,000 -82,757,332,000 82,775,110,000 8,024,000 5,780,000 1,440,000 5,110,000 2,567,000 14,000,000 99,000,000 22,500,000   24,643,000 13,410,000 6,303,000 1,135,000  46,501,000                   
  realized and unrealized losses (gains) on foreign currency transactions, derivatives, and other                       20,990,000                                                
  proceeds from repayment of loan receivable                       133,000                                                
  deferred income taxes                          3,836,000 3,196,000 -12,155,000 -14,522,000 -3,027,000                                     2,206,000 535,000 927,000 -2,048,000 
  capital expenditures on corporate assets                          -140,000 -201,000 -47,000 -42,000 -761,000 -839,000 -1,170,000 -1,430,000 -882,000                                     
  funding for real estate construction, redevelopments, and other capital expenditures on owned real estate                                                                       
  distributions paid                           -109,785,000 -109,407,000 -103,683,000 -102,239,000 -101,350,000 -101,290,000 -101,055,000 -99,860,000 -98,984,000 -90,606,000 -90,153,000 -68,159,000 -59,442,000 -58,030,000 -57,177,000 -45,746,000   -23,221,000 -22,792,000 -22,754,000 -22,211,000 -20,590,000 -20,259,000 -19,966,000 -20,135,000 -20,008,000 -32,482,000 -19,831,000 -19,727,000 -19,473,000 -19,587,000 -19,713,000 -19,319,000 -19,087,000 -29,581,000 -18,176,000 -18,230,000 -17,718,000 -17,484,000 -17,025,000 -17,234,000 -17,391,000 -16,965,000 
  straight-line rent                            -3,722,000                                           
  funding for real estate construction and redevelopments                            -17,236,000                                           
  other capital expenditures on owned real estate                            -3,312,000                                           
  proceeds from issuance of unsecured senior notes                            616,355,000                                           
  distributions of earnings from equity investments                                                                       
  realized and unrealized losses (gains) on foreign currency transactions, derivatives, extinguishment of debt, and other                                                                       
  proceeds from sale of real estate                             96,886,000 103,689,000 6,608,000 4,933,000 -13,119,081,079,000 13,119,105,095,000        11,065,000 40,618,000 7,391,000 22,773,000 2,422,000 1,518,000 355,000 1,456,000 9,187,000  5,391,000 2,568,000 6,632,000   1,910,000 1,925,000             
  funding for real estate construction and expansions                                                                       
  capital expenditures on owned real estate                             -461,000 -4,092,000 -999,000 -1,390,000 8,763,000 -10,789,000                                     
  change in investing restricted cash                             9,417,000 -3,074,000 2,003,000 -7,085,000 -68,491,954,000 68,523,646,000 5,488,000                                    
  return of capital from equity investments                                                                       
  capital contributions to equity investments in real estate                             -1,000 -5,000 -326,000                                        
  deconsolidation of affiliate                                                                       
  investment in assets of affiliate                                                                       
  proceeds from limited partnership units issued by affiliate                                                                       
  change in financing restricted cash                             174,000 633,000 595,000 -10,064,000 -517,000 175,000 1,000                                    
  proceeds from exercise of stock options and purchases under the employee share purchase plan                                                                       
  change in cash and cash equivalents during the period                                                                       
  effect of exchange rate changes on cash and cash equivalents                                                                       
  net increase in cash and cash equivalents                             -93,759,000 109,837,000 -34,091,000 -42,311,000 -870,846,482,000 870,881,428,000 -331,593,000 315,305,000 16,024,000 81,428,000 23,899,000 30,855,000 -48,799,000 -12,340,000 -112,840,000 196,944,000 9,087,000 1,416,000 -7,798,000 10,634,000 -7,617,000 -30,615,000 18,443,000 6,801,000 6,353,000 14,646,000 -558,000 -4,461,000 1,884,000 4,786,000 -3,686,000 6,066,000 -3,206,000 5,488,000 -4,931,000 -1,982,000 5,750,000 -8,808,000 4,109,000 2,406,000 760,000 1,819,000 
  cash and cash equivalents, beginning of period                             157,227,000  -198,682,918,836,000 198,683,117,519,000  117,519,000  123,904,000  29,297,000  64,693,000  18,450,000  16,799,000  12,137,000  22,108,000     
  cash and cash equivalents, end of period                             -93,759,000 267,064,000  -42,311,000 -207,390,965,318,000 207,391,198,947,000  315,305,000 16,024,000 198,947,000  30,855,000 -48,799,000 111,564,000  196,944,000 9,087,000 30,713,000  10,634,000 -7,617,000 34,078,000  6,801,000 6,353,000 33,096,000  -4,461,000 1,884,000 21,585,000  6,066,000 -3,206,000 17,625,000  -1,982,000 5,750,000 13,300,000     
  management income received in shares of managed reits and other                             -7,034,000 -6,939,000 -6,458,000 -6,109,000 -5,711,000 -4,988,000  -9,888,000                                   
  straight-line rent, amortization of rent-related intangibles, and deferred rental revenue                             8,928,000 -36,309,000                                         
  realized and unrealized (gains) losses on foreign currency transactions, derivatives, extinguishment of debt, and other                                                                       
  amortization of deferred other revenue                                                                       
  deferred acquisition revenue received                             4,273,000 7,560,000 3,364,000 6,021,000 -87,372,385,000 87,386,469,000  1,540,000 4,684,000 6,469,000 5,137,000 1,094,000 3,841,000 8,561,000 4,042,000 3,695,000 4,600,000 8,722,000 3,418,000 2,666,000 4,359,000 11,103,000 1,956,000 2,200,000 2,197,000 14,851,000            13,882,000    12,543,000 
  increase in structuring revenue receivable                             -2,032,000 -2,266,000 -7,753,000 -3,678,000 -11,251,000 -6,645,000 -10,315,000 -2,556,000 -2,721,000 -8,121,000 -9,821,000 -1,682,000 -848,000 -1,437,000   -990,000 -3,916,000 -1,805,000 -8,510,000 -1,917,000 -7,305,000 -10,337,000 -548,000 -6,108,000 -3,244,000 -3,476,000 -2,780,000 -431,000 -4,985,000 -1,667,000   -1,672,000 -5,644,000 -5,297,000 -44,798,000 -158,000 -420,000 -3,039,000 
  funding for real estate construction and expansion                                                                       
  value added taxes paid in connection with acquisition and construction of real estate                                                                       
  proceeds from repayments of note receivable                             98,000 195,000                                         
  cash acquired in connection with the cpa®:16 merger                                   65,429,000                                 
  purchase of securities                                                                       
  cash paid to stockholders of cpa®:16 – global in the cpa®:16 merger                                   -1,338,000                                 
  windfall tax benefit associated with stock-based compensation awards                               5,494,000 504,000 -52,758,925,000 52,765,449,000 192,000 5,449,000 1,203,000 58,000 792,000 10,764,000 1,320,000 2,258,000 2,010,000 4,597,000 518,000 1,179,000                       
  proceeds from exercise of stock options and employee purchases under the employee share purchase plan                             130,000 6,000 155,000 104,000                                       
  proceeds from issuance of shares in public offering                                   -424,000                                    
  repurchase of shares                                                                       
  change in cash and cash equivalents during the year                                                                       
  effect of exchange rate changes on cash                             -3,829,000 4,681,000 -3,636,000 -1,584,000   -11,225,000 -9,716,000 -480,000 579,000 1,042,000 2,181,000 662,000 -1,216,000   -333,000 185,000 -208,000 -411,000 250,000 439,000 -132,000 592,000 -580,000 -663,000 -88,000 326,000 584,000 -546,000 -300,000 -392,000 70,000 228,000 -148,000 217,000 38,000 36,000 249,000 -10,000 45,000 49,000 
  cash and cash equivalents, beginning of year                                                                     13,014,000 
  cash and cash equivalents, end of year                                                                     760,000 14,833,000 
  realized and unrealized (gain) loss on foreign currency transactions, derivatives, extinguishment of debt, and other                             1,712,000 -3,914,000 1,390,000                                        
  equity in earnings of equity method investments in the managed programs and real estate in excess of distributions received                              464,000  -1,359,000 -1,748,000 331,000                                     
  investment in real estate under construction                              -2,562,000 -64,000 -6,338,000                                       
  distributions received from equity investments in the managed programs and real estate in excess of equity income                              1,935,000 2,402,000 2,415,000 -14,734,587,000 14,737,970,000                                     
  equity in losses (earnings) of equity method investments in the managed programs and real estate in excess of distributions received                                                                       
  proceeds from repayment of note receivable                               183,000 294,000 -6,000 9,970,000                                     
  straight-line rent and amortization of rent-related intangibles                                8,187,000 -1,036,390,704,000 1,036,410,497,000 9,614,000 11,879,000 12,853,000 10,497,000 5,649,000 6,038,000                               
  amortization of deferred revenue                                   -786,000 -2,359,000 -2,359,000 -2,359,000 -2,359,000   -2,359,000 -2,359,000 -2,359,000 -2,359,000                       
  purchase of treasury stock from related party                                    -2,000 1,000 -678,000                               
  realized and unrealized gain on foreign currency transactions, derivatives, extinguishment of debt and other                                                                       
  funding of loans to affiliates                                                                       
  capital contribution to equity investments in real estate                                                                       
  proceeds from repayment of short-term loan to affiliate                                                                       
  capital contributions to equity investments                                   -25,000,000 -9,000 -6,000 -453,000 -490,000 -37,000 -1,418,000   -90,000 -90,000 -2,297,000          -524,000 -324,000 -513,000         
  proceeds from exercise of stock options                                     1,093,000 91,000    25,000                             
  management and disposition income received in shares of managed reits and other                                                                       
  (gain) loss on sale of real estate                                      -3,176,000                -404,000                 
  unrealized gain on derivatives and other                                                                       
  equity in earnings of equity method investments in real estate and the managed reits in excess of distributions received                                                                       
  realized (gain) loss on extinguishment of debt and other                                   176,000 -66,000                                   
  increase in current and deferred income taxes payable                                                                       
  deferred acquisition fees received                                                                      
  decrease (increase) in prepaid taxes                                     3,062,000 2,659,000                                 
  purchases of real estate and equity investments in real estate                                      -40,986,000         8,000   -3,825,000 -18,155,000 -27,321,000 -47,583,000 45,000 -26,000 -39,651,000 -17,000 -184,000 -39,646,000 -464,000 -12,671,000 -27,710,000     
  proceeds from sale of real estate and equity investments                                   4,578,000 369,000 175,700,000 105,095,000 114,805,000 7,593,000                               
  distributions received from equity investments in real estate and the managed reits in excess of equity income                                   3,044,000 1,168,000 919,000 7,970,000 25,036,000 11,075,000 9,952,000 11,955,000                             
  proceeds from repayment of short-term loan to affiliates                                                                       
  funding of short-term loan to affiliates                                                                       
  cash paid to stockholders of cpa®:15 in the cpa®:15 merger                                                                       
  cash acquired in connection with the cpa®:15 merger                                                                       
  proceeds from senior credit facilities                                                                       
  repayments of senior credit facilities                                                                       
  payment of financing costs and mortgage deposits, net of deposits refunded                                   -134,000 5,000 -298,000 -11,894,000 -166,000 -1,897,000 265,000 -570,000                             
  purchase of treasury stock from related parties                                                                       
  unrealized gain on foreign currency transactions, derivative instruments and other                                                                       
  income from equity investments in real estate and the managed reits in excess of distributions received                                    -100,000 -593,000 -1,222,000  200,000 -21,347,000 -991,000                             
  decrease in income taxes                                        -2,166,000      -5,663,000    -1,956,000 8,173,000 -3,345,000    -2,683,000      -608,000         
  increase in prepaid taxes                                       3,290,000 6,886,000 -422,000 -15,721,000                             
  capital expenditures                                    -14,237,000 -7,983,000 -5,494,000 -3,875,000 -4,358,000 -3,980,000 -1,826,000   -331,000 -1,481,000 -6,508,000 -5,356,000 -495,000 -880,000 -3,127,000 -356,000 -1,032,000 -620,000 -1,665,000 819,000 -2,891,000 -4,038,000 -5,696,000 -1,900,000 -3,807,000 -2,648,000 -4,219,000 -4,407,000 -3,480,000 -3,881,000 -743,000 -320,000 -3,200,000 -674,000 
  free cash flows                                    94,280,000 116,958,000 38,202,000 57,706,000 70,516,000 49,998,000 15,649,000   15,534,000 -5,541,000 10,956,000 11,309,000 38,806,000 5,806,000 31,022,000 15,621,000 21,636,000 13,003,000 23,496,000 15,519,000 7,510,000 20,244,000 10,059,000 18,373,000 12,653,000 8,111,000 18,359,000 8,838,000 8,447,000 -4,160,000 70,337,000 12,975,000 7,018,000 24,673,000 
  funding of short-term loan to affiliate                                                                       
  purchase of securities for the defeasance of debt                                    -7,664,000                                 
  repayments of senior credit facility                                    -85,000,000 -30,000,000 -1,280,000,000 -65,000,000 -250,000,000 -88,000,000 -10,000,000                             
  proceeds from senior credit facility and unsecured term loan                                    242,659,000 141,244,000 901,383,000 150,000,000                                
  proceeds from exercise of stock options and employee purchase under the employee purchase plan                                                                       
  unrealized gain on foreign currency transactions and other                                          -1,002,000                             
  increase in income taxes                                     -2,803,000 -9,735,000    -4,144,000     -5,663,000 -10,349,000      -6,682,000    971,000 -1,552,000 -2,564,000   -6,669,000 5,663,000 20,588,000 -17,786,000     
  funds placed in escrow                                     -201,975,000 -40,395,000 -61,097,000 -89,032,000 -46,865,000 -27,128,000   -4,855,000 -722,000 -1,453,000 -1,383,000 -4,262,000 363,000                     
  funds released from escrow                                     95,213,000 44,041,000 76,491,000 95,162,000 44,787,000 50,749,000 24,292,000 5,893,000 5,693,000 1,954,000 258,000 296,000 2,178,000 -148,000                     
  loan to affiliate                                                                      
  proceeds from repayment of short-term loans                                     75,000 1,080,000                                 
  unrealized gain on derivative instruments and others                                      -1,583,000                                 
  realized loss on extinguishment of debt and others                                      2,301,000                                 
  management and disposition income received in shares of managed reits                                      -8,207,000                                 
  (return) receipt of tenant security deposits                                      -428,000                                 
  (income) income from equity investments in real estate and the managed reits in excess of distributions received                                                                       
  gain on deconsolidation of a subsidiary                                                                      
  unrealized (gain) loss on derivatives and others                                                                       
  realized gain on extinguishment of debt and others                                                                       
  gain on conversion of shares                                               28,000 -28,000                       
  stock-based compensation expenses                                                                       
  purchase of interests in cpa®:16 – global                                                                       
  value added taxes, or vat, refunded in connection with acquisition of real estate                                                                       
  purchase of noncontrolling interest                                                                     
  proceeds from exercise of stock options and employee purchase under the employee share purchase plan                                       342,000                               
  realized loss on foreign currency transactions and other                                        -145,000                               
  management income received in shares of managed reits                                        -6,494,000 -10,273,000 -9,942,000                             
  funding of short-term loan to an affiliate                                                                       
  return of tenant security deposits                                                                       
  unrealized (gain) loss on foreign currency transactions and others                                                292,000 -161,000 -210,000                     
  proceeds from senior credit facility                                         175,000,000 55,000,000 85,000,000                            
  straight-line rent, financing lease adjustments and amortization of rent-related intangibles                                          4,459,000                             
  loss on sale of real estate                                          931,000                135,000             
  realized gain on foreign currency transactions and other                                          100,000            221,000 3,000 -134,000 -57,000 -69,000             
  payment of tax withholding liability related to stock-based compensation awards                                              -2,553,000                         
  realized gain on foreign currency transactions and others                                           16,000 59,000 610,000 -75,000     -907,000 33,000                   
  allocation of loss to profit-sharing interest                                                                       
  cash paid to stockholders of cpa®:15 in the merger                                                                       
  cash acquired in connection with the merger                                                                      
  purchase of interests in cpa®:16 — global                                                                       
  value added taxes (“vat”) paid in connection with acquisition of real estate                                                                       
  vat refunded in connection with acquisitions of real estate                                                                      
  cash acquired on acquisition of subsidiaries                                                                     
  proceeds from sale of securities                                           58,000 116,000 187,000 11,000 41,000 657,000 120,000                     
  contributions from profit-sharing interest                                                                      
  distributions to profit-sharing interest                                                                      
  proceeds from issuance of shares                                           45,680,000 272,000 1,443,000 4,249,000 454,000 16,000   187,000 2,738,000   151,000 482,000   2,108,000 8,499,000 1,833,000 10,910,000 16,150,000 615,000 2,917,000 1,000,000 2,409,000 2,599,000 2,329,000 1,323,000 
  income from equity investments in real estate and the reits in excess of distributions received                                                -1,058,000 -42,000 265,000                     
  straight-line rent and financing lease adjustments                                             -881,000 -1,135,000 -1,659,000 -653,000 -1,013,000 -373,000 142,000 -285,000                   
  unrealized gain on foreign currency transactions and others                                             235,000 -212,000     157,000 -717,000                   
  management and disposition income received in shares of affiliates                                               -11,443,000                        
  cash paid to shareholders of cpa®:15 in connection with the merger                                                                       
  distributions received from equity investments in real estate and the reits in excess of equity income                                            11,332,000 8,539,000 7,370,000 6,937,000 -628,000 11,703,000 2,795,000                     
  income from equity investments in real estate and the reits (in excess of) less than distributions received                                             -15,297,000 -1,716,000                         
  management income received in shares of affiliates                                             -7,116,000 -6,889,000   -42,059,000 -10,083,000 -8,973,000 -8,918,000 -8,812,000 -8,532,000 -8,270,000 -8,037,000 -8,518,000 -6,896,000 -10,480,000 -10,184,000 -9,990,000 -10,063,000 -12,120,000 -11,687,000 -23,261,000 -8,467,000 -7,299,000 -7,905,000 -7,924,000 -7,892,000 
  proceeds from line of credit                                             15,000,000    90,000,000                   
  repayments of line of credit                                                                       
  (payment) refund of financing costs                                              -75,000                         
  loss (income) from equity investments in real estate and the reits in excess of distributions received                                                                       
  gain on extinguishment of debt                                                       -6,991,000             
  allocation of earnings to profit-sharing interest                                                                      
  vat paid in connection with acquisition of real estate                                                                     
  proceeds from transfer of profit-sharing interest                                                                       
  proceeds from lines of credit                                               20,000,000                       
  repayments of lines of credit                                               -20,000,000                        
  proceeds from loans from affiliates                                                                       
  repayments of loans from affiliates                                                                       
  repurchase and retirement of shares                                                       -200,000 -10,486,000 -10,279,000 -5,134,000 -4,421,000 -19,066,000       
  realized (gain) loss on foreign currency transactions and others                                                54,000 -975,000 -213,000                     
  depreciation and amortization including intangible assets and deferred financing costs                                                 7,325,000 5,457,000 5,947,000 6,119,000 5,974,000 6,403,000 6,091,000 5,628,000 7,234,000 5,523,000 6,785,000 6,906,000 6,918,000 6,588,000 6,181,000 6,631,000 7,201,000 7,308,000 8,450,000 6,132,000 6,489,000 6,136,000 
  purchase of interests in cpa®: 16 — global                                                                       
  proceeds from repayment of short-term loans from affiliates                                                                       
  payments of lines of credit                                                                       
  prepayments of line of credit                                                  -110,000,000 -30,000,000                   
  refund (payment) of financing costs and mortgage deposits                                                  53,000                     
  windfall tax benefits (provision) associated with stock-based compensation awards                                                  293,000                     
  (income) income from equity investments in real estate and cpa® reits in excess of distributions received                                                                       
  gain on sale of real estate and investment in direct financing lease                                                                       
  gain on lease termination                                                                       
  decrease in settlement provision                                                            -29,979,000         
  distributions received from equity investments in real estate and cpa® reits in excess of equity income                                                   8,794,000 2,202,000 2,206,000 5,556,000 5,185,000 26,311,000 1,945,000 5,661,000 12,286,000 4,141,000 1,599,000 1,826,000         
  vat refunded in connection with acquisition of real estate                                                                       
  proceeds from sale of real estate, net investment in direct financing lease and securities                                                                       
  funds placed in escrow in connection with the sale of property                                                               -16,200,000 25,000       
  funds released from escrow in connection with the sale of property                                                   488,000 36,132,000     636,000         
  payment of deferred acquisition revenue to affiliate                                                             12,000 -536,000     
  scheduled payments of non-recourse debt                                                                       
  prepayments of non-recourse debt                                                                       
  proceeds from non-recourse debt financing                                                                       
  funds placed in escrow in connection with financing                                                                       
  windfall tax benefits associated with stock-based compensation awards                                                   1,128,000 1,385,000   -132,000 33,000 1,074,000 -832,000             
  income from equity investments in real estate and cpa® reits in excess of distributions received                                                    569,000 -1,412,000 -4,530,000  -1,146,000 -1,397,000 -1,760,000  700,000 -603,000 -1,321,000         
  allocation of earnings to profit sharing interest                                                     -202,000 -171,000 -76,000                
  proceeds from transfer of profit sharing interest                                                       21,928,000             
  distributions to profit sharing interest                                                       -273,000 -1,938,000 -3,434,000             
  unrealized loss on foreign currency transactions and others                                                      608,000                 
  proceeds from credit facility                                                      51,500,000                 
  prepayments of credit facility                                                      -12,500,000                 
  payment of financing costs, net of deposits refunded                                                      -195,000 -13,000 -43,000               
  windfall tax provision associated with stock-based compensation awards                                                      -523,000                 
  gains on sale of real estate and investment in direct financing lease                                                                       
  unrealized (gain) loss on foreign currency transactions, warrants and securities                                                       83,000            -347,000    
  decrease in deferred acquisition revenue receivable                                                                       
  increase in settlement provision                                                                       
  capital contributions made to equity investments in real estate                                                                       
  proceeds from sales of real estate, net investment in direct financing lease and securities                                                                       
  loans to affiliates                                                                       
  proceeds from repayment of loans to affiliates                                                                       
  vat refunded on purchase of real estate                                                           3,189,000         
  purchase of noncontrolling interests                                                                       
  proceeds from credit facilities                                                                       
  prepayments of credit facilities                                                                       
  repayment of loans from affiliates                                                                       
  decrease in deferred acquisition revenue received                                                        232,000 1,083,000 21,794,000 1,571,000   46,695,000         
  proceeds from sale of real estate and securities                                                                       
  proceeds from mortgages and credit facilities                                                        31,494,000 37,500,000 90,000,000 16,469,000 21,031,000 20,000,000 81,937,000 39,000,000 31,766,000 64,558,000 54,059,000     
  prepayments of mortgage principal and credit facilities                                                        -53,500,000 -26,418,000 -57,518,000 -9,145,000 -28,698,000 -17,966,000 -55,763,000 -44,500,000 -2,333,000 -55,257,000 -13,000,000     
  proceeds from loan from affiliates                                                        1,000 1,624,000             
  repayment of loan from affiliates                                                           -7,569,000         
  adjustments to reconcile net income to net cash from operating activities:                                                                       
  allocation of income to profit sharing interest                                                         177,000 3,698,000             
  unrealized gain on foreign currency transactions, warrants and securities                                                         -247,000 208,000 2,332,000 1,527,000 285,000 -1,488,000  -966,000 -153,000 -160,000     
  loss (income) from equity investments in real estate and cpa® reits in excess of distributions received                                                                       
  gains on sale of direct financing lease                                                                       
  gains on sale of real estate and investments                                                                   -10,159,000 185,000   
  minority interest in income                                                           62,000 103,000 304,000 89,000 5,510,000 555,000 3,141,000 331,000 244,000 -40,000 -254,000 862,000 
  realized gain on foreign currency transactions, warrants and securities                                                           -683,000            
  contributions from minority interests                                                           625,000 637,000 762,000 558,000 522,000 493,000 482,000 206,000 699,000 485,000 655,000 506,000 
  distributions to minority interests                                                           -3,948,000 -330,000 -364,000 -965,000 -6,873,000 -353,000 -365,000 -577,000 -811,000 -340,000 -4,939,000 -136,000 
  release of funds from escrow in connection with the financing of properties                                                                   4,031,000 
  gain on sale of direct financing lease                                                                       
  proceeds from repayment of loan to affiliate                                                                      
  proceeds from sales of real estate and securities                                                                       
  excess tax benefits associated with stock-based compensation awards                                                            89,000 142,000 466,000 587,000 17,000       
  realized gain on foreign currency transactions                                                             -242,000 -1,323,000  -63,000 -16,000 -26,000   -17,000 -85,000 
  increase in deferred acquisition revenue received                                                                       
  decrease (increase) in structuring revenue receivable                                                                       
  adjustments to reconcile net income to net cash from operating activities                                                                       
  recognition of deferred gain on completion of development project                                                                       
  realized (gain) loss on foreign currency transactions                                                                   -346,000    
  costs paid by issuance of shares                                                                       
  settlement provision                                                                       
  tax charge — share incentive plan                                                                       
  proceeds from sales of property and investments                                                               36,200,000   17,703,000 9,879,000   
  release of funds from escrow in connection with the sale of property                                                                  465,000     
  income from equity investments in real estate in excess of distributions received                                                                -7,641,000 -1,596,000 -32,000 164,000    
  gain on sale of real estate and investments                                                                       
  decrease in deferred structuring revenue receivable                                                                       
  distributions received from equity investments in real estate in excess of equity income                                                                2,642,000 20,623,000 1,093,000 8,617,000    
  excess tax benefits associated with stock based compensation awards                                                                  487,000 433,000 -1,446,000 920,000 719,000 
  cash flows from operating activities:                                                                       
  impairment charges and loan losses                                                                       
  increase in accrued income taxes                                                                      5,671,000 
  decrease in prepaid income taxes                                                                       
  tax charge – share incentive plan                                                                       
  cash flows from investing activities:                                                                       
  purchase of investment                                                                     
  cash flows from financing activities:                                                                       
  proceeds from mortgages and credit facility                                                                   91,501,000 28,000,000 45,000,000 10,000,000 
  prepayments of mortgage principal and credit facility                                                                   -73,689,000 -30,000,000 -43,971,000 -19,000,000 
  amortization of unearned compensation                                                                       
  decrease in accrued income taxes                                                                    -17,000   
  decrease in prepaid taxes                                                                    -80,000 573,000 706,000 
  payment of deferred acquisition revenue to an affiliate                                                                    -524,000 
  funds placed in escrow in connection with the sale of property and investments                                                                    -151,000   
  retirement of shares                                                                    -1,453,000 -482,000 
  supplemental cash flow information:                                                                       
  interest paid, net of amounts capitalized                                                                    4,850,000   
  income taxes paid                                                                    5,712,000   
  income from equity investments in excess of distributions received                                                                     45,000 -247,000 
  unrealized (gain) loss on foreign currency transactions and warrants                                                                     -412,000 -165,000 
  distributions received from equity investments in excess of equity income                                                                     1,706,000 1,400,000 
  depreciation and amortization of intangible assets and deferred financing costs                                                                       
  distribution received in excess of accumulated earnings and equity income in excess of distributions                                                                       
  gain on sales of real estate and securities                                                                       
  unrealized gain on foreign currency transactions and warrants                                                                       
  increase in accrued taxes payable                                                                       
  tax charge — share incentive plans                                                                       
  capital distributions from equity investment                                                                       
  purchases of real estate and equity investments                                                                       
  release of funds from escrow in connection with the sale of a property                                                                       
  cash acquired on acquisition of subsidiary                                                                       

We provide you with 20 years of cash flow statements for W. P. Carey stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as operating cash flows, cash levels, capital expenditures, profits, stock-based compensations and profit margins. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of W. P. Carey stock. Explore the full financial landscape of W. P. Carey stock with our expertly curated income statements.

The information provided in this report about W. P. Carey stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.