34
American Homes 4 Rent June 2021 Investor Highlights

American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%

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Page 1: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%

American Homes 4 RentJune 2021Investor Highlights

Forward-Looking StatementsVarious statements contained in this presentation including those that express a belief expectation or intention as well as those that are not statements of historical fact are forward-looking statements These forward-looking statements may include projections and estimates concerning the timing and success of our strategies plans or intentions Forward-looking statements are generally accompanied by words such as ldquoestimaterdquo ldquoprojectrdquo ldquopredictrdquo ldquobelieverdquo ldquoexpectrdquo ldquointendrdquo ldquoanticipaterdquo ldquopotentialrdquo ldquoplanrdquo ldquogoalrdquo ldquoguidancerdquo ldquooutlookrdquo or other words that convey the uncertainty of future events or outcomes Examples of forward-looking statements contained in this presentation include among others our 2021 Guidance our expectations with respect to the impacts of the COVID-19 pandemic our belief that our acquisition and homebuilding programs will result in continued growth and the estimated timing and volume of our development deliveries We have based these forward-looking statements on our current expectations and assumptions about future events These assumptions include among others our projections and expectations regarding market trends in the single-family home rental industry and in the local markets where we operate our ability to institutionalize a historically fragmented business model our business strengths our ideal tenant profile the quality and location of our properties in attractive neighborhoods the scale advantage of our national platform and the superiority of our operational infrastructure the effectiveness of our investment philosophy and diversified acquisition strategy our ability to expand our development program our ability to grow our portfolio and to create a cash flow opportunity with attractive current yields and upside from increasing rents and cost efficiencies and our understanding of our competition and general economic demographic regulatory and real estate conditions that may impact our business While we consider these expectations and assumptions to be reasonable they are inherently subject to significant business economic competitive regulatory and other risks contingencies and uncertainties most of which are difficult to predict and many of which are beyond our control and could cause actual results to differ materially from any future results performance or achievements expressed or implied by these forward-looking statements Investors should not place undue reliance on these forward-looking statements which speak only as of the date of this presentation June 7 2021 We undertake no obligation to update any forward-looking statements to conform to actual results or changes in our expectations unless required by applicable law Currently one of the most significant factors that could cause actual outcomes to differ materially from our forward-looking statements is the adverse effect of the COVID-19 pandemic on us our tenants the economy and financial markets The extent to which the COVID- 19 pandemic continues to impact us and our tenants will depend on future developments which are highly uncertain and cannot be predicted with confidence including the scope severity and duration of the pandemic including resurgences new variants or strains impact of government regulations the speed and effectiveness of vaccine distribution vaccine adoption rates and the direct and indirect economic effects of the pandemic and containment measures among others For a further description of the risks and uncertainties that could cause actual results to differ from those expressed in these forward-looking statements as well as risks relating to the business of the Company in general see the ldquoRisk Factorsrdquo disclosed in the Companyrsquos Annual Report on Form 10-K for the year ended December 31 2020 Quarterly Report on Form 10-Q for the quarter ended March 31 2021 and in the Companyrsquos subsequent filings with the Securities and Exchange Commission

Non-GAAP Financial MeasuresThis presentation includes certain financial measures that were not prepared in accordance with US generally accepted accounting principles (GAAP) because we believe they help investors understand our performance Any non-GAAP financial measures presented are not and should not be viewed as substitutes for financial measures required by US GAAP and may not be comparable to the calculation of similar measures of other companies Definitions of these non-GAAP financial measures and a reconciliation of these measures to GAAP is included in the Defined Terms and Non-GAAP Reconciliations section of this presentation as well as the 1Q21 Supplemental Information Package available on our website at wwwamericanhomes4rentcomunder ldquoFor Investorsrdquo

About American Homes 4 RentAmerican Homes 4 Rent (NYSE AMH) is a leader in the single-family home rental industry and ldquoAmerican Homes 4 Rentrdquo is fast becoming a nationally recognized brand for rental homes known for high-quality good value and tenant satisfaction We are an internally managed Maryland real estate investment trust or REIT focused on acquiring developing renovating leasing and operating attractive single-family homes as rental properties As of March 31 2021 we owned 53984 single-family properties in selected submarkets in 22 states

2

Legal Disclosures

ContactsAmerican Homes 4 Rent Investor RelationsPhone (855) 794-2447 Email investorsah4rcom

American Homes 4 Rent Media RelationsPhone (805) 413-5088 Email mediaah4rcom

3

Largest Builder of Single-Family Homes For Rent with more than 2000 Deliveries Expected in 2021

11000 Unit Land Pipeline to Fuel Further Acceleration

Highest-Quality Product and Superior Investment Returns

Three-Pronged External Growth Strategy Drives Consistent Growth in all Cycles

4050 Total Inventory Additions Expected in 2021

AMH At A Glance

53984 high-quality properties in 22 states with ~ 200000 residents(1)

Same-Home 1Q21 Average Occupied Days of 973

Best-in-Class Operating Platform with Proprietary Technology amp Call Center

Unhindered Operational Execution Through Pandemic

2021 Guidance of 95 Core FFO Growth at Midpoint

Highest 2020 Core FFO Growth Among Residential REIT Peers

Highly successful ~$690 million Equity Offering with 70 Issued on Forward Minimizing Dilution

Net Debt and Preferred Shares to Adjusted EBITDAre of 60x(1)

$161 Billion Total Market Capitalization(1)

Industry Leading Operating Platform

Peer-Leading Growth amp Balance Sheet

First-of-its-Kind Built-For-Rent Platform

Note Refer to Defined Terms and Non-GAAP Reconciliations as well as the 1Q21 Supplemental Information Package for defined metrics and reconciliations to GAAP(1) As of March 31 2021

4

AMH Recent Highlights amp FY 2021 Guidance

Record High Occupancy amp Rental Rate Growth(1)

bull Leasing activity continues to accelerate into 2Q21

Strategic Priority Grow

Grow Grow

bull ~24 YoY increase in 2021 total expected AMHDevelopment deliveries

bull Acquisition team identifying increased 2H21 traditionalchannel opportunitiesbull Now expect $400 million to $600 million 2021

traditional channel acquisitions a $200 millionincrease from prior midpoint expectations

bull 2021 capital deployment plan increased to $14B -$18B including wholly-owned and gross joint ventureinvestments

Outsized Core FFO per share

Growth

bull Achieved 1Q21 Core FFO sh growth of 85 (withoutadjustment for COVID bad debt headwind)

bull Expect 2021 Core FFO sh growth of 95 at guidancemidpoint

2021 Guidance(2)

Range Midpoint

Core FFO per share and unit $124 - $130 $127

Core FFO per share and unit growth 69 - 121 95

Same-Home Portfolio

Core revenues growth 375 - 475 425

Core property operating expenses growth 400 - 550 475

Core NOI growth 325 - 475 400

Record-high leasing trends and robust momentum continuing in 2Q21

Note Refer to Defined Terms and Non-GAAP Reconciliations as well as the 1Q21 Supplemental Information Package for defined metrics and reconciliations to GAAP(1) Tabular data presented for the 2021 Same Home pool(2) Refer to slide 27 for 2021 Outlook disclosure

May 2021 Common Equity Offering

bull Highly successful and oversubscribed common equityoffering raising ~$690 million gross proceeds

bull ~70 of transaction issued on forward sale agreement tominimize dilution during capital deployment

bull Strategically enables preferred share refinancing andincremental 2H21 acquisition opportunities whilemaintaining best in class investment grade balance sheet

1Q21QTD

May-20QTD

May-21YoY

∆ bps

Avg Occupied Days 973 952 978 + 260

New Lease Spreads 100 40 127 + 870

Renewal Spreads 51 20 53 + 330

Blended Spreads 69 27 76 + 490

5

AMH Today

The Market Opportunity

Differentiated Growth Strategy AMH Development

Strong Governance Practices

6

AMH Strategic Priority Grow Grow Grow

AMH Development

National Builder Program

Traditional Channel

Three-Pronged Growth Strategy Positions AMH for Opportunistic Capital Allocation and Consistent Growth Throughout a Cycle

bull Network of relationships with national home builders providesacquisition access to new construction homes which is a growthsupplement to our AMH Development program

bull Seasoned in-market acquisition teams sharp-shoot existinginventory opportunities adding additional market scale and density

bull Experienced AMH rehab personnel create additional value throughinitial renovation process

(1) Includes inventory additions to our wholly owned and joint venture portfolios

391

945

1647

2050

1552 286

564

1700

408

148

381

300

0

500

1000

1500

2000

2500

3000

3500

4000

2018 2019 2020 2021E

Total Inventory Additions(1)

AMH Development Traditional Acquisitions National Builder

2351

1379

2592

4050

bull Early-mover advantage on built-for-rental strategy which haspotential to revolutionize the industry made possible by thestrength of our balance sheet

bull Barriers to entry as AMH is only rental-home builder withcomplementary and highly efficient property management platform

bull AMH Development is consistently delivering new homecommunities with more than 60 communities opened inception todate

AMH DevelopmentSuperior Investment Return amp Best Rental-Home Product

7

AMH Development - A Scalable and DifferentiatedDriver of Earnings Growth

0 19

391

945

1647

2050

3000

0

500

1000

1500

2000

2500

3000

3500

4000

2016 2017 2018 2019 2020 2021 2023Gu

idan

ce

Mid

poin

t

3Q16 The First Land Lots are Purchased and the Team Begins to Come Together

1Q16 A Pioneering In-House Built-to-Rent Development Program is Conceived

+

8

AMH Core FFO Bridge

$111

$116

$127

$007

$013

$001 $001

$001 $001

$100

$105

$110

$115

$120

$125

$130

$135

Three-Pronged External Investment Approach Gaining in Momentum Driven by AMH Development

Same-Home NOI Non Same-Home NOI

Strong Execution and Robust Fundamentals Continue to Drive Strong Organic Growth

9

AMH vs the Peer Set

2020 ndash YTD 2021 Total Shareholder Return(1)

(1) Source SampP Global Market Intelligence Total Return YTD through June 4 2021 with the inclusion of distributions(2) Source Bureau of Labor Statistics March 2021 (3) Source JBREC April 2021 YoY population growth rate

YoY Population Growth Rates(3)

Multi-family CoastalMulti-family National

484

317273 271

10962 61

26000

1000

2000

3000

4000

5000

6000

AMH MAA CPT INVH UDR AVB ESS EQR

March YoY Job Loss Statistics(2)

13 13

10

08

06

00 00 -01

AMH MAA INVH CPT UDR ESS EQR AVB

-37 -41

-51-59

-66-73

-79 -79

MAA AMH CPT INVH UDR ESS AVB EQR

10

Investment Grade Balance Sheet to Drive Growth

Capital Structure(1) Debt Maturity Schedule(1)(2)(3)

Fixed Rate Debt177

Preferred Shares55

Common Shares amp OP Units

763 Floating Rate Debt05

Balance Sheet Philosophy

Maintain flexible investment grade balance sheet with diverse access to capital

Continue optimizing capital stack and utilize investment grade rating to reduce cost of capital

Expand sources of available capital as the Company and the SFR sector evolves and matures

Prudent retention of operating cash flow

Credit Ratings amp Ratios(1)

Moodyrsquos Investor ServiceSampP Global Ratings

Baa3 (Stable)BBB- (Stable)

Net Debt to Adjusted EBITDAreNet Debt and Preferred Shares to Adjusted EBITDAreFixed Charge CoverageUnencumbered Core NOI Percentage

45 x60 x33 x670

(1) As of March 31 2021(2) As of March 31 2021 reflects maturity of entire principal balance at the fully extended maturity date inclusive of regular scheduled amortization (3) The unsecured senior notes have maturity dates in 2028 and 2029 and the asset-backed securitizations maturing in 2045 on a fully extended basis have anticipated repayment dates in 2025(4) Pro forma liquidity represents the sum of $75 million of unrestricted cash on balance sheet and $1170 million of undrawn capacity under the revolving credit facility The Revolving Credit Facility was amended on April 15 2021 to

expand the borrowing capacity to $125B and extend the maturity date to April 2026

$1245

$16 $21 $21

$954

$10 $90

$10

$510 $410

$10

$870

$(150)

$50

$250

$450

$650

$850

$1050

$1250

Principal Amortization Unsecured Senior NotesRevolving Credit Facility Liquidity - cash and cash equivalentsAsset-backed Securitizations Liquidity - undrawn revolving credit facility

Pro forma liquidity(4)

11

AMH Today

The Market Opportunity

Differentiated Growth Strategy AMH Development

Strong Governance Practices

12

Multi-Year Demand Tailwind and Record-Low Supply

Single-Family Propensity Increases with Parenthood AgeMillennials Likely to Enter Prime Single-Family Living Years

Existing Single-Family Home Inventory at Lows Mortgage Tax Savings No Longer There for Entry-Level Home Buyers

Mortgage Interest and Property Taxes in Excess of Standard Tax Deduction(4)

(10)

(05)

00

05

10

15

20

2020

2022

2024

2026

2028

2030

2020

2022

2024

2026

2028

2030

Projected Population Growth(1)

Ages 34-50Ages 20-34

32

53

69 74 75 76 71

Under 25 25-34 35-44 45-54 55-64 65-74 75+

Share of Single-Family Housing by Age Cohort(2)

(1) Sources US Census Bureau AMH Research(2) Sources US Census Bureau John Burns Real Estate Consulting LLC(3) Sources NAR John Burns Real Estate Consulting LLC(4) Source Source John Burns Real Estate Consulting LLC (Data 2020 updated quarterly) Pub Mar-21 Assumes a married couple with a mortgage equal to 95 of median home price and a 15 property tax

rate

10

15

20

25

30

35

Jan-

90Se

p-91

May

-93

Jan-

95Se

p-96

May

-98

Jan-

00Se

p-01

May

-03

Jan-

05Se

p-06

May

-08

Jan-

10Se

p-11

May

-13

Jan-

15Se

p-16

May

-18

Jan-

20

TTM Average National Existing Home Inventory (MM)

Existing Home Inventory 47 Below Long-Term Average Levels as of Apr-2021

13

Ideal AMH Footprint Migration Trends Existing Even Prior to Pandemic

Sources US Census Bureau AMH Research John Burns Real Estate Consulting LLC (Data YoY Change from July 2018-July 2019) Pub Oct-20

bull Observable 2018 - 2019 trends of out-bound migration from coastal urban centers to higher quality of life markets

bull Trends continue into 2020 as the pandemic reinforced the advantages of suburban living such as extra living space private yards high quality schools and a sense of neighborhood community resulting in record breaking demand

bull AMH 1Q21 application data supports these trends with a 21 increase in applicants coming from states outside of AMH footprint over PY

US Census Migration Data 2018 - 2019

14

AMH Today

The Market Opportunity

Differentiated Growth Strategy AMH Development

Strong Governance Practices

15

AMH Development ndash Revolutionizing the Industry

Data driven insights from AMHrsquos years of

experience formulate blueprint for the optimal

rental home ndash made possible by AMHrsquos unique

full lifecycle development capabilities and

management platform

The AMH Developed Home

Desirable

bull Existing AMH submarkets with proven strong demand

bull ldquoNeighborhood feelrdquo and or community amenities designed to create emotional attachment

bull Designed for todayrsquos home shopperbull Designer finishes amp colorsbull Open floor plansbull Pet friendly features

Durable

bull Designed for durability and long-term efficient maintenancebull Hard surface flooringbull Solid surface countertopsbull HVAC equipment amp designbull Cementitious sidingbull Durability proven appliancesbull LED lighting

Efficient

bull Value engineering = superior quality at significant discount to market retail valuebull Standardized floorplans based

on resident feedback and construction efficiency

bull Square footage optimized to bed bath count

bull Standardized finishes amp SKUs for efficient construction amp long-term maintenance

Translates Into Premium Yield and Margin Enhancement

16

AMH Development in Highly Desirable Neighborhoods Within Current Footprint

Bolstering Existing Markets

bull Continued investment into existing AMH markets

bull On-the-ground operating intelligence enables land acquisition ldquosharp shootingrdquo

bull Active development teams in 16 markets provides geographic diversity

Represents states in which we have active AMH Development markets

Building the Ideal Rental Home

Open Concept bull Designed to current lifestyle preferences

First Floor Laundrybull Facilitate easier washerdryer move-in and move-outbull Minimize potential washer leaks to first floor

2 or 3 Car Garagebull Ample storage space to appeal to resident preferences

and promote long term retention

1

2

31

2

3

First Floor Overview

17

Building the Ideal Rental Home

Wider Staircasebull Facilitate easier move in move outbull Reduces potential nicks and scuffs on walls

HVAC in Conditioned Spacebull Improves energy efficiency extends system life

and easier access for maintenance and filter changes

Large Walk-in Closets amp Extra Storagebull Ample storage space to appeal to resident

preferences and promote long term retention1

2

3

3 33

3

1

2

3

bull Hard surface countertopsbull Stainless steel appliancesbull Tile backsplashes and shower surrounds bull Luxury vinyl plank throughout including stair treadsbull Soft close cabinet doorsbull Standardized SKUs throughout home facilitates efficient

long-term maintenancebull Towel hooks instead of towel bars

Data Driven Decisions for Long Term Durability

Second Floor Overview

18

Exterior Home Features

TAMPA CHARLESTON

JACKSONVILLE ORLANDO

Standardized Floor Plans ndashMultiple Exteriors

Provide construction efficiency across the portfolio

19

Pocket Office

bull AMH has control over full development lifecycle

bull Enables data driven decision execution such as incorporation of work from home pocket office

Adaptable Design

20

21

AMH Development Communities

bull AMH leasing officebull On-site and convenient access for better resident

experiencebull Club room amp casual kitchen

bull Facilitates social gatherings and neighborhood eventsbull Conference rooms and co-working spaces

bull Allows for personal meetingsbull Provides alternative remote work environment

bull Fitness center amp poolbull Reduces resident need for gym membershipbull Large pool designed for relaxation and enjoyment

bull Lawn care bull Priced into monthly rent driving additional revenuesbull AMH control over pristine curb appeal bull Eases maintenance for residents

bull Fenced yards bull Privacy and safety for pets and kids

bull Connected communities unlock future opportunities bull Smart home and broadband ancillary revenue

bull Individually platted lots bull Increases longer term exit optionality

Amenity Centers Create a Community Feel Additional Benefits

22

AMH Development ndash Construction Sustainability

Granite countertops hard surface luxury vinyl plank (LVP) flooring and LED lighting are all designed to last for many years without repairs or replacement

We include tree planting plans as part of community design

AMH Develops Homes That Are Environmentally Friendly

Development amp Construction Sustainability

Aim to minimize our carbon footprint in our development

bull We conserve natural resources and reduce waste while focusing on building new single-family homes that are desirable to families

To reduce our energy consumption

bull We adhere to the most recent upgraded standards in energy efficiency and construction methodology

bull We select finishes that are both desirable and durable to reduce the waste generated by home turnover from one resident to another

To help improve the community

bull We build neighborhoods not just homes and we include green space or natural areas and tree planting plans as part of the design

23

AMH Today

The Market Opportunity

Differentiated Growth Strategy AMH Development

Strong Governance Practices

24

Corporate Governance Highlights

Independent amp Accountable Stewardship

bull AMH is governed by a 13-member board of trustees

bull Independent Chairman of the Board

bull Annual election of trustees

bull Majority voting standard (plurality carve-out voting standard only in contested elections)

Continued Focus on Board Refreshment

bull Continual process to refresh and strengthen board compositionbull The average tenure of the Board is ~5 yearsbull 6 new independent trustees added in the past 4 yearsbull Michelle Kerrick joined the Board in September 2020 adding deep experience in corporate governance

financial and strategic planning operational effectiveness and digital transformation bull Lynn Swann joined the Board in August 2020 adding extensive public company board experience as well as

considerable expertise in business marketing and civic engagementbull Matthew Zaist joined the Board in February 2020 adding homebuilding experience a critical element given

importance of the Companyrsquos development program to drive value

ESG Focus

bull Commitment to sound environmental social responsibility and corporate governance practices is the foundation to help us provide a superior experience for our residents

bull These efforts can enhance shareholder value both by reducing our costs and by creating more desirable homes and communities that appeal to our current and future residents

bull When developing or renovating properties we look for ways to reduce water and energy usage costs as well as using materials that are both durable and sustainable

Performance-BasedCompensation

Practices

bull Cash and equity incentive compensation includes annual and multi-year performance periods tied to absolute and relative peer group metrics

bull Robust stock ownership requirements (6x for CEO 5x for Trustees)

bull Align shareholders and management through standard vesting period

25

ESG Principles That Guide UsSound environmental social responsibility and corporate governance practices not only make good business sense they uphold our obligation to employees residents communities and shareholders

Contribute to the well-being of the communities in which we operate through direct investments to rehabilitate improve and develop our homes andresidential communities

Educate our employees residents and business partners regarding home energy conservation and environmental sustainability

Reduce our cost of operations by ongoing evaluation and improvement of our energy efficiency requirements and include energy-and water-saving technologies that lower operating costs and benefit the environment

Develop new homes and residential communities that meet the latest energy efficiency requirements and include energy-and water-saving technologiesthat lower operating costs and benefit the environment

Build and operate homes efficiently at scale that are both durable and desirable to our residents with a goal to limit future costs

Encourage our employees to participate in community service and philanthropic service to support local initiatives in our communities

Invest in our employees with health and wellness programs and diversity initiatives and provide opportunities for education advancement training and competitive benefits

Continue to monitor and evaluate our corporate governance in light of prevailing practices

Report at least annually on our ESG practices and initiatives

Employees participate in local community volunteer events such as this program at Manna Food Bank

Yards feature efficient irrigation systems that are designed to use less water

Kitchens are designed with superior finishes and materials that are both durable and attractive

Appendix

26

27

Defined Terms and Non-GAAP Reconciliations

2021 Guidance

The Company does not provide guidance for the most comparable GAAP financial measures of net income or loss rents and other single-familyproperty revenues and property operating expenses or a reconciliation of the forward-looking non-GAAP financial measures to the comparable GAAPfinancial measures because we are unable to reasonably predict certain items contained in the GAAP measures including non-recurring and infrequentitems that are not indicative of the Companyrsquos ongoing operations Such items include but are not limited to net gain or loss on sales and impairmentof single-family properties casualty loss Non-Same-Home revenues and Non-Same-Home property operating expenses These items are uncertaindepend on various factors and could have a material impact on our GAAP results for the guidance period

Average Occupied Days Percentage

The number of days a property is occupied in the period divided by the total number of days the property is owned during the same period afterinitially being placed in-service This calculation excludes properties classified as held for sale

Core Net Operating Income (Core NOIldquo)

Core NOI which we also present separately for our Same-Home unencumbered and encumbered portfolios is a supplemental non-GAAP financialmeasure that we define as core revenues which is calculated as rents and other single-family property revenues excluding expenses reimbursed bytenant charge-backs less core property operating expenses which is calculated as property operating and property management expenses excludingnoncash share-based compensation expense and expenses reimbursed by tenant charge-backs

Core NOI also excludes (1) gain or loss on early extinguishment of debt (2) hurricane-related charges net which result in material charges to theimpacted single-family properties (3) gains and losses from sales or impairments of single-family properties and other (4) depreciation andamortization (5) acquisition and other transaction costs incurred with business combinations and the acquisition or disposition of properties as well asnonrecurring items unrelated to ongoing operations (6) noncash share-based compensation expense (7) interest expense (8) general andadministrative expense and (9) other income and expense net We believe Core NOI provides useful information to investors about the operatingperformance of our single-family properties without the impact of certain operating expenses that are reimbursed through tenant charge-backs

Core NOI should be considered only as a supplement to net income or loss as a measure of our performance and should not be used as a measure ofour liquidity nor is it indicative of funds available to fund our cash needs including our ability to pay dividends or make distributions Additionally thismetric should not be used as a substitute for net income or loss or net cash flows from operating activities (as computed in accordance with GAAP)

28

Defined Terms and Non-GAAP Reconciliations

Core NOI

For the TrailingTwelve Months Ended

Mar 31 2021Net income 166223$ Gain on sale and impairment of single-family properties and other net (48523) Depreciation and amortization 350403 Acquisition and other transaction costs 11997 Noncash share-based compensation - property management 2305 Interest expense 115328 General and administrative expense 52456 Other income and expense net (1918)

Core NOI 648271$

The following is a reconciliation of Core NOI to its respective GAAP metric (amounts in thousands)

Adjusted EBITDA

29

Defined Terms and Non-GAAP Reconciliations

Credit Ratios

We present the following selected metrics because we believe they are helpful as supplemental measures in assessing the Companyrsquos ability to serviceits financing obligations and in evaluating balance sheet leverage against that of other real estate companies The tables below reconcile thesemetrics which are calculated in part based on several non-GAAP financial measures (amounts in thousands except credit ratios and percentages)

Net Debt to Adjusted EBITDAre and Net Debt and Preferred Shares to Adjusted EBITDAre

Mar 31 2021Total Debt 2922374$ Less cash and cash equivalents (75237) Less asset-backed securitization certificates (25666) Less restricted cash related to securitizations (40439) Net debt 2781032$ Preferred shares at liquidiation value 883750 Net debt and preferred shares 3664782$

Adjusted EBITDAre - TTM 611661$

Net Debt to Adjusted EBITDAre 45 x

Net Debt and Preferred Shares to Adjusted EBITDAre 60 x

Index

BS Flux

IS Flux

Qtrly Income Statement - Board

Quarterly Balance Sheet

Balance Sheet

Income Statement

Comprehensive Income

Equity Statement

Cash Flow Statement

PAGE WIDTH MARKER

2Q16 Worksheet

Cash Flow Worksheet

2Q16 YTD Trial Balance

PM Expense Allocation

Discount

ampBampD ampT

ampB Page ampP of ampN

Other Schedules --gt

Share Log

Unit Log

Diluted AH LLC Owership

WAS Calculation

Wtd Avg ARPI Units

Class A Unit - Wtd Avg Q216

Noncontrolling interest RF

Other Footnote amp MDampA Schedules

FN 3 - Property

FN 5 - Intangibles

FN 6 - Interest

FN 6 - Debt Table

AP amp Accrueds

EPS

FV table

HFS - Disposals JEs

Supplemental Schedules

Qtrly IS - Historical

PAGE WIDTH MARKER

Qtrly IS - Detailed

PAGE WIDTH MARKER

Fact Sheet - Supp

Fact Sheet - Historical

NOI - Supp

NOI - Historical

PAGE WIDTH MARKER

Supp - Debt Summary

Supp - Capital

Credit Metrics

Adjusted EBITDA

FFO - Supp Format

FFO Rec for ER and 10Q

Funds from Operations

FFO - Rolling by Quarter

image1png

image2png

image3png

30

Defined Terms and Non-GAAP Reconciliations

Unencumbered Core NOI PercentageFor the Trailing

Twelve Months Ended Mar 31 2021

Unencumbered Core NOI $ 434419Core NOI 648271

Unencumbered Core NOI Percentage 670

Fixed Charge CoverageFor the Trailing

Twelve Months EndedMar 31 2021

Interest expense per income statement $ 115328Less amortization of discounts loan costs and cash flow hedge (7411)Add capitalized interest 21225

Cash interest 129142 Dividends on preferred shares 55128

Fixed charges $ 184270

Adjusted EBITDAre - TTM $ 611661

Fixed Charge Coverage 33 x

31

Defined Terms and Non-GAAP Reconciliations

EBITDA EBITDAre Adjusted EBITDAre

EBITDA is defined as earnings before interest taxes depreciation and amortization EBITDA is a non-GAAP financial measure and is used by us andothers as a supplemental measure of performance EBITDAre is a supplemental non-GAAP financial measure which we calculate in accordance withthe definition approved by the National Association of Real Estate Investment Trusts (ldquoNAREITrdquo) by adjusting EBITDA for gains and losses from sales orimpairments of single-family properties and adjusting for unconsolidated partnerships and joint ventures on the same basis Adjusted EBITDAre is asupplemental non-GAAP financial measure calculated by adjusting EBITDAre for (1) acquisition and other transaction costs incurred with businesscombinations and the acquisition or disposition of properties as well as nonrecurring items unrelated to ongoing operations (2) noncash share-basedcompensation expense (3) hurricane-related charges net which result in material charges to the impacted single-family properties and (4) gain orloss on early extinguishment of debt

The following is a reconciliation of net income as determined in accordance with GAAP to EBITDA EBITDAre and Adjusted EBITDAre (amounts inthousands)

For the TrailingTwelve Months Ended

Mar 31 2021Net income 166223$ Interest expense 115328 Depreciation and amortization 350403 EBITDA 631954$

Gain on sale and impairment of single-family properties and other net (48523) Adjustments for unconsolidated joint ventures 1496 EBITDAre 584927$

Noncash share-based compensation - general and administrative 9546 Noncash share-based compensation - property management 2305 Acquisition other transaction costs and other (1) 14883 Adjusted EBITDAre 611661$

(1) Included in acquisition other transaction costs and other is a net $29 million nonrecurring expense related to a legal matter involving a former employee during the quarter ended September 30 2020

Index

BS Flux

IS Flux

Qtrly Income Statement - Board

Quarterly Balance Sheet

Balance Sheet

Income Statement

Comprehensive Income

Equity Statement

Cash Flow Statement

PAGE WIDTH MARKER

2Q16 Worksheet

Cash Flow Worksheet

2Q16 YTD Trial Balance

PM Expense Allocation

Discount

ampBampD ampT

ampB Page ampP of ampN

Other Schedules --gt

Share Log

Unit Log

Diluted AH LLC Owership

WAS Calculation

Wtd Avg ARPI Units

Class A Unit - Wtd Avg Q216

Noncontrolling interest RF

Other Footnote amp MDampA Schedules

FN 3 - Property

FN 5 - Intangibles

FN 6 - Interest

FN 6 - Debt Table

AP amp Accrueds

EPS

FV table

HFS - Disposals JEs

Supplemental Schedules

Qtrly IS - Historical

PAGE WIDTH MARKER

Qtrly IS - Detailed

PAGE WIDTH MARKER

Fact Sheet - Supp

Fact Sheet - Historical

NOI - Supp

NOI - Historical

PAGE WIDTH MARKER

Supp - Debt Summary

Supp - Capital

Credit Metrics

Adjusted EBITDA

FFO - Supp Format

FFO Rec for ER and 10Q

Funds from Operations

FFO - Rolling by Quarter

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32

Defined Terms and Non-GAAP Reconciliations

FFO Core FFO Adjusted FFO attributable to common share and unit holders

FFO attributable to common share and unit holders is a non-GAAP financial measure that we calculate in accordance with the definition approved byNAREIT which defines FFO as net income or loss calculated in accordance with GAAP excluding gains and losses from sales or impairment of real estateplus real estate-related depreciation and amortization (excluding amortization of deferred financing costs and depreciation of non-real estate assets)and after adjustments for unconsolidated partnerships and joint ventures to reflect FFO on the same basis

Core FFO attributable to common share and unit holders is a non-GAAP financial measure that we use as a supplemental measure of our performanceWe compute this metric by adjusting FFO attributable to common share and unit holders for (1) acquisition and other transaction costs incurred withbusiness combinations and the acquisition or disposition of properties as well as nonrecurring items unrelated to ongoing operations (2) noncashshare-based compensation expense (3) hurricane-related charges net which result in material charges to the impacted single-family properties and (4)gain or loss on early extinguishment of debt

Adjusted FFO attributable to common share and unit holders is a non-GAAP financial measure that we use as a supplemental measure of ourperformance We compute this metric by adjusting Core FFO attributable to common share and unit holders for (1) Recurring Capital Expenditures thatare necessary to help preserve the value and maintain functionality of our properties and (2) capitalized leasing costs incurred during the period As aportion of our homes are recently developed acquired andor renovated we estimate Recurring Capital Expenditures for our entire portfolio bymultiplying (a) current period actual Recurring Capital Expenditures per Same-Home Property by (b) our total number of properties excluding newlyacquired non-stabilized properties and properties classified as held for sale

We present FFO attributable to common share and unit holders as well as on a per FFO share and unit basis because we consider this metric to be animportant measure of the performance of real estate companies as do many investors and analysts in evaluating the Company We believe that FFOattributable to common share and unit holders provides useful information to investors because this metric excludes depreciation which is included incomputing net income and assumes the value of real estate diminishes predictably over time We believe that real estate values fluctuate due to marketconditions and in response to inflation We also believe that Core FFO and Adjusted FFO attributable to common share and unit holders as well as on aper FFO share and unit basis provide useful information to investors because they allow investors to compare our operating performance to priorreporting periods without the effect of certain items that by nature are not comparable from period to period

FFO Core FFO and Adjusted FFO attributable to common share and unit holders are not a substitute for net income or net cash provided by operatingactivities each as determined in accordance with GAAP as a measure of our operating performance liquidity or ability to pay dividends These metricsalso are not necessarily indicative of cash available to fund future cash needs Because other REITs may not compute these measures in the samemanner they may not be comparable among REITs

33

Defined Terms and Non-GAAP Reconciliations

The following is a reconciliation of net income attributable to common shareholders as determined in accordance with GAAP to Core FFO attributable to common share and unit holders (amounts in thousands except share and per share data)

(1) Included in acquisition other transaction costs and other is a net $29 million nonrecurring expense related to a legal matter involving a former employee during the year ended December 31 2020

(2) Reflects the effect of potentially dilutive securities issuable upon the assumed vestingexercise of restricted stock units and stock options

Mar 31 2020 Mar 31 2021 Dec 31 2019 Dec 31 2020Net income attributable to common shareholders 20244$ 30214$ 85911$ 85246$ Adjustments

Noncontrol l ing interests in the Operating Partnership 3501 4925 15221 14455 Ga in on sa le and impairment of s ingle-fami ly properties and other net (6319) (16069) (40210) (38773) Adjustments for unconsol idated joint ventures 238 382 1797 1352 Depreciation and amortization 82821 90071 329293 343153 Less depreciation and amortization of non-rea l es tate assets (2064) (2788) (7933) (9016)

FFO attributable to common share and uni t holders 98421$ 106735$ 384079$ 396417$ Adjustments

Acquis i tion other transaction costs and other (1) 2852 4846 3224 12889 Noncash share-based compensation - genera l and adminis trative 1369 4342 3466 6573 Noncash share-based compensation - property management 439 999 1342 1745 Loss on early extinguishment of debt - - 659 -

Core FFO attributable to common share and uni t holders 103081$ 116922$ 392770$ 417624$

Core FFO attributable to common share and uni t holders per FFO share and uni t 029$ 032$ 111$ 116$

Weighted-average FFO shares and uni ts Common shares outstanding 300813069 316982460 299415397 306613197 Share-based compensation plan (2) 720386 756539 686050 724523 Operating partnership uni ts 52026980 51664757 53045004 51990094

Tota l weighted-average FFO shares and uni ts 353560435 369403756 353146451 359327814

For the Three Months Ended For the Year Ended

Adjusted EBITDA

34

Defined Terms and Non-GAAP Reconciliations

Same-Home Property

A property is classified as Same-Home if it has been stabilized longer than 90 days prior to the beginning of the earliest period presented undercomparison A property is removed from Same-Home if it has been classified as held for sale or has been taken out of service as a result of a casualtyloss

Stabilized Property

A property acquired individually (ie not through a bulk purchase) is classified as stabilized once it has been renovated by the Company or newlyconstructed and then initially leased or available for rent for a period greater than 90 days Properties acquired through a bulk purchase are firstconsidered non-stabilized as an entire group until (1) we have owned them for an adequate period of time to allow for complete on-boarding to ouroperating platform and (2) a substantial portion of the properties have experienced tenant turnover at least once under our ownership providing theopportunity for renovations and improvements to meet our property standards After such time has passed properties acquired through a bulkpurchase are then evaluated on an individual property basis under our standard stabilization criteria

Total Debt

Includes principal balances on asset-backed securitizations unsecured senior notes and borrowings outstanding under our revolving credit facility asof period end and excludes unamortized discounts and unamortized deferred financing costs

Total Market Capitalization

Includes the market value of all outstanding common shares and operating partnership units (based on the NYSE AMH Class A common share closingprice as of period end) the current liquidation value of preferred shares as of period end and Total Debt

  • American Homes 4 Rent
  • Legal Disclosures
  • AMH At A Glance
  • AMH Recent Highlights amp FY 2021 Guidance
  • Slide Number 5
  • AMH Strategic Priority Grow Grow Grow
  • AMH Development - A Scalable and DifferentiatedDriver of Earnings Growth
  • AMH Core FFO Bridge
  • AMH vs the Peer Set
  • Investment Grade Balance Sheet to Drive Growth
  • Slide Number 11
  • Multi-Year Demand Tailwind and Record-Low Supply
  • Ideal AMH Footprint Migration Trends Existing Even Prior to Pandemic
  • Slide Number 14
  • AMH Development ndash Revolutionizing the Industry
  • AMH Development in Highly Desirable Neighborhoods Within Current Footprint
  • Slide Number 17
  • Slide Number 18
  • Slide Number 19
  • Slide Number 20
  • AMH Development Communities
  • AMH Development ndash Construction Sustainability
  • Slide Number 23
  • Corporate Governance Highlights
  • ESG Principles That Guide Us
  • Appendix
  • Defined Terms and Non-GAAP Reconciliations
  • Defined Terms and Non-GAAP Reconciliations
  • Defined Terms and Non-GAAP Reconciliations
  • Defined Terms and Non-GAAP Reconciliations
  • Defined Terms and Non-GAAP Reconciliations
  • Defined Terms and Non-GAAP Reconciliations
  • Defined Terms and Non-GAAP Reconciliations
  • Defined Terms and Non-GAAP Reconciliations
For the Three Months Ended For the Year Ended
Mar 31 2020 Mar 31 2021 Dec 31 2019 Dec 31 2020
Net income attributable to common shareholders $ 20244 $ 30214 $ 85911 $ 85246
Adjustments
Noncontrolling interests in the Operating Partnership 3501 4925 15221 14455
Gain on sale and impairment of single-family properties and other net (6319) (16069) (40210) (38773)
Adjustments for unconsolidated joint ventures 238 382 1797 1352
Depreciation and amortization 82821 90071 329293 343153
Less depreciation and amortization of non-real estate assets (2064) (2788) (7933) (9016)
FFO attributable to common share and unit holders $ 98421 $ 106735 $ 384079 $ 396417
Adjustments
Acquisition other transaction costs and other (1) 2852 4846 3224 12889
Noncash share-based compensation - general and administrative 1369 4342 3466 6573
Noncash share-based compensation - property management 439 999 1342 1745
Loss on early extinguishment of debt - - 659 -
Core FFO attributable to common share and unit holders $ 103081 $ 116922 $ 392770 $ 417624
Per FFO share and unit
FFO attributable to common share and unit holders $ 028 $ 029 $ 109 $ 110
Core FFO attributable to common share and unit holders per FFO share and unit $ 029 $ 032 $ 111 $ 116 85
Year-over-year change in Core FFO per FFO share and unit (2) 85 ERRORREF ERRORREF
Weighted-average FFO shares and units
Common shares outstanding 300813069 316982460 299415397 306613197
Share-based compensation plan (2) 720386 756539 686050 724523
Operating partnership units 52026980 51664757 53045004 51990094
Total weighted-average FFO shares and units 353560435 369403756 353146451 359327814
American Homes 4 Rent
Funds from Operations
(in thousands) For the Three Months Ended For the Three Months Ended For the Three Months Ended For the Three Months Ended
Jun 302016 Mar 312016 Dec 312015 Sep 302015 Jun 302015 Mar 312015 Dec 312014 Sep 302014 March 31 2016 December 31 2015 September 30 2015 June 30 2015 March 31 2015 December 31 2014 September 30 2014 June 30 2014 March 31 2014 December 31 2013 September 30 2013 June 30 2013 March 31 2013
Net loss attributable to common shareholders $ (10404) $ (4377) $ (20474) $ (28616) $ (17697) $ (17790) $ (19312) $ (21747) $ (4377) $ (19041) $ (28616) $ (17697) $ (17790) $ (19312) $ (21747) $ (12250) $ (13676) $ (14519) $ (7659) $ (13997) $ (7752)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3912 3657 3123 3861 3869 3791 3583 3912 3756 3123 3861 3869 3791 3583 4140 3715 3718 4028 4662 895
Net loss (gain) on sale impairment of single-family properties 68 (60) - - - (60) (904)
Depreciation and amortization of real estate assets 78216 68162 60714 66218 56866 51204 45513 43153 68162 60714 66218 56866 51204 45513 43153 36793 33827 31702 23211 10581 2905
Funds from operations attributable to common share and unit holders $ 67264 $ 67637 $ 43897 $ 40725 $ 43030 $ 37283 - ERRORREF $ 67637 $ 37283 $ 29992 $ 24989 $ 28683 $ 23866 $ 20901 $ 19580 $ 342 $ (3952)
Adjustments
Acquisition fees and costs expensed 3489 5653 5280 4153 4236 5908 5653 5280 4153 4236 5908 6465 14550 919 452 814 496 2099 1390
Noncash share-based compensation expense 983 870 782 913 734 696 6465 14550 870 782 913 734 696 691 751 612 532 473 153 279 174
Noncash interest expense related to acquired debt 1649 576 - - - - 691 751 576 - - (10945) -
Gain on conversion of Series E units - (11463) - - - - (11463)
Remeasurement of Series E units - - 1356 525 (2143) (1838) -
Remeasurement of preferred shares 150 300 2530 3000 (580) (120) 1007 (3588) 300 (1838) 1007 (3588) 4944 2756 1619 438 - -
Conversion of preferred units - - - - - - - - 10456 -
Core funds from operations attributable to common share and unit holders $ 73535 $ 63573 $ 53845 $ 49316 $ 45277 $ 41929 - $ 63573 $ 54196 $ 49316 $ 45277 $ 41929 $ 41965 $ 38452 $ 35299 $ 28063 $ 23807 $ 20667 $ 2231 $ (2388)
Recurring capital expenditures (8755) (6017) (5799) (8495) (10200) (7785) $ 41965 $ 11713 (6017)
Leasing costs (2151) (1929) (1844) (2312) (3011) (2410) (1929)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 55627 $ 46202 $ 38509 $ 32066 $ 31734 157 $ 55627
$ 41965
Weighted-average number of FFO shares 294044169 273898215 262322640 265691012 265763808 265758371 273898215 265758371 265750550 256170943 239138917 239127560 239122332 216348416 131893257 59094349
FFO per weighted-average FFO share $ 023 $ 025 $ 017 $ 015 $ 016 $ 014 265750550 256170943 $ 025 $ 014 $ 011 $ 010 $ 012 $ 010 $ 009 $ 009 $ 000 $ (007)
Core FFO per weighted-average FFO share $ 025 $ 023 $ 021 $ 019 $ 017 $ 016 $ 011 $ 010 $ 023 $ 021 $ 019 $ 017 $ 016 $ 016 $ 015 $ 015 $ 012 $ 010 $ 010 $ 002 $ (004)
Adjusted FFO per weighted-average FFO share $ 021 $ 020 $ 018 $ 014 $ 012 $ 012 $ 016 $ 015 $ 020
77
Quarter weighted-average shares OS 238481265 219157870 208045996 211414368 211487164 211481727 219157870 208045996 211414368 211487164 211481727 211473906 202547677 185515651 185504294 185499066 162725150 95971706 48233982
Class A units 46812904 26177307 14440670 14440670 14440670 14440670 211473906 202547677 26177307 14440670 14440670 14440670 14440670 14440670 13787292 13787292 13787292 13787292 13787292 2891133 32668
Common shares and units 285294169 245335177 222486666 225855038 225927834 225922397 14440670 13787292 245335177 222486666 225855038 225927834 225922397 225914576 216334969 199302943 199291586 199286358 176512442 98862839 48266650
Series C units - 19813038 31085974 31085974 31085974 31085974 225914576 216334969 19813038 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974
Series D units 8750000 5913462 4375000 4375000 4375000 4375000 31085974 31085974 5913462 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 31085974 31085974 31085974 10827699
Series E units - 2836538 4375000 4375000 4375000 4375000 4375000 4375000 2836538 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 972222 -
FFO shares 294044169 273898215 262322640 265691012 265763808 265758371 4375000 4375000 273898215 262322640 265691012 265763808 265758371 265750550 256170943 239138917 239127560 4375000 4375000 972222 -
265750550 256170943 239122332 216348416 131893257 59094349
Noncontrolling interest
Consolidated joint ventures 145 75 98 15 132 (87) 75 98 15 132 (87) 40 201 (73) 95
Operating Partnership 616 (3912) (3657) (3123) (3861) (3869) 40 201 (3912) (3756) (3123) (3861) (3869) (3791) (3583) (4140) (3715) (169) 229 (2) -
761 (3837) (3559) (3108) (3729) (3956) (3791) (3583) (3837) (3658) (3108) (3729) (3956) (3751) (3382) (4213) (3620) (3718) (4028) (4662) (895)
(3751) (3382) 3836 (3887) (3799) (4664) (895)
Calculation of Depreciation and amortization of real estate assets 1 (1) - -
Depreciation and amortization 79604 69517 62163 67800 59221 53664 69517 62163 67800 59221 53664 47205 44855 38325 35131
Less amort of non-RE intangibles (240) (240) (240) (240) (240) (240) 47205 44855 (240) (240) (240) (240) (240) (240) (240) (240) (240) 33160 24043 10879 2905
Less depr of non-RE assets (1148) (1115) (1111) (1051) (1833) (1914) (240) (240) (1115) (1111) (1051) (1833) (1914) (1506) (958) (942) (696) (240) (160) (137) -
Less NCI in RJ depreciation - - (98) (291) (282) (306) (1506) (958) - (98) (291) (282) (306) 54 (504) (350) (368) (743) (232) (58) -
78216 68162 60714 66218 56866 51204 54 (504) 68162 60714 66218 56866 51204 45513 43153 36793 33827 (475) (440) (103) -
45513 43153 31702 23211 10581 2905
radic
Avg Capex per Same-Home property $ 191
Valerie Ware Valerie WareFrom Same-Home Results - Sequential Quarterly History in Supp
$ 132 $ 154 $ 230 $ 283 $ 236
Number of stabilized properties 45836
Valerie Ware Valerie WareTotal SFPs less non-stabilized SFPs less HFS props from Same-Home Core NOI by segment
45582 37654 36934 36042 32987
Recurring capital expenditures $ 8754676 $ 6016824 $ 5798716 $ 8494820 $ 10199886 $ 7784932
American Homes 4 Rent
Funds from Operations For the Three Months EndedJune 30 For the Six Months EndedJune 30
(in thousands) For the Three Months Ended March 31
2016 2015 2016 2015 2013 2016 2015
Net loss attributable to common shareholders $ (10404) $ (17697) (14781) $ (35487) $ (43927) (4377) (17790)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3861 3296 7730 13303 3912 3869
Net loss on sale impairment of single-family properties 68 - 8 - (60) -
Depreciation and amortization of real estate assets 78216 56866 146378 108070 68399 68162 51204
Funds from operations attributable to common share and unit holders $ 67264 $ 43030 $ 134901 $ 80313 $ 37775 $ 67637 $ 37283
Adjustments
Acquisition fees and costs expensed 3489 4236 9142 10144 4799 5653 5908
Noncash share-based compensation expense 983 734 1853 1430 1079 870 696
Gain on remeasurement of equity method investment - - - - (10945) - -
Noncash interest expense related to acquired debt 1649 - 2225 - 576 -
Gain on conversion of Series E units - - (11463) - (11463) -
Remeasurement of Series E units - (2143) - (3981) 2057 - (1838)
Remeasurement of preferred shares 150 (580) 450 (700) 1810 300 (120)
Conversion of preferred units - - - - 10456 - -
Core funds from operations attributable to common share and unit holders $ 73535 $ 45277 $ 137108 $ 87206 $ 47031 $ 63573 $ 41929
Recurring capital expenditures (8755)
Whitney Skaff Whitney SkaffAvg capex per SH property in SH sequential history table multiplied by total properties less HFS less non-stabilized from Core NOI by type table
(10200) (14772) (17985) $ (6017) $ (7785)
Leasing costs (2151) (3011) (4080) (5421) $ (1929) $ (2410)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 32066 $ 118256 $ 63800 $ 55627 $ 31734
Weighted-average number of FFO shares (1) 294044169 265763808 283965960 265761105 239127560
FFO per weighted-average FFO share $ 023 $ 016 $ 048 $ 030 $ 016
Core FFO per weighted-average FFO share $ 025 $ 017 $ 048 $ 033 $ 020
Adjusted FFO attributable to common share and unit holders $ 021 $ 012 $ 042 $ 024
Weighted-average FFO shares and units
Common shares outstanding 238481265 211487164 228819566 211484461 185504294
Class A units 46812904 14440670 36489875 14440670 13787292
Common shares and units 285294169 225927834 265309441 225925131 199291586
Series C units - 31085974 9906519 31085974 31085974
Series D units 8750000 4375000 7331731 4375000 4375000
Series E units - 4375000 1418269 4375000 4375000
FFO shares 294044169 265763808 283965960 265761105 239127560
Noncontrolling interest
Consolidated joint ventures 145 132 220 45 58 75
Operating Partnership 616 (3861) (3296) (7730) (13303) (3912)
761 (3729) (3076) (7685) (13245) (3837)
Calculation of Depreciation and amortization of real estate assets
Depreciation and amortization 79604 59221 149121 112885 70987 69517
Less amort of non-RE intangibles (240) (240) (480) (480) (537) (240)
Less depr of non-RE assets (1148) (1833) (2263) (3747) (1033) (1115)
Less NCI in RJ depreciation - (282) - (588) -
78216 56866 146378 108070 69417 68162
radic
American Homes 4 Rent
Funds from Operations
June 30 2016
(in thousands) For the Three Months EndedJune 30 For the Six Months EndedJune 30
2016 2015 2016 2015 2013
(Unaudited) (Unaudited) (Unaudited) (Unaudited)
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (43927)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3861 3296 7730 13303
Net loss on sale impairment of single-family properties 68 - 8 - 0
Depreciation and amortization of real estate assets 78216 56866 146378 108070 68399
FFO attributable to common share and unit holders $ 67264 $ 43030 $ 134901 $ 80313 $ 37775
Adjustments
Acquisition fees and costs expensed 3489 4236 9142 10144 4799
Noncash share-based compensation expense 983 734 1853 1430 1079
Gain on remeasurement of equity method investment - - - - (10945)
Noncash interest expense related to acquired debt 1649 - 2225 -
Gain on conversion of Series E units - 0 - (11463) -
Remeasurement of Series E units - 0 (2143) - (3981) 2057
Remeasurement of preferred shares 150 (580) 450 (700) 1810
Conversion of preferred units - - - - 10456
Core FFO attributable to common share and unit holders $ 73535 $ 45277 $ 137108 $ 87206 $ 47031
Recurring capital expenditures (8755) (10200) (14772) (17985)
Leasing costs (2151) (3011) (4080) (5421)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 32066 $ 118256 $ 63800
Weighted-average FFO shares and units (1) 294044169 265763808 283965960 265761105 239127560
Per FFO share and unit
FFO attributable to common share and unit holders $ 023 $ 016 $ 048 $ 030 $ 015
Core FFO attributable to common share and unit holders $ 025 $ 017 $ 048 $ 033 $ 019
Adjusted FFO attributable to common share and unit holders $ 021 $ 012 $ 042 $ 024
radic
American Homes 4 Rent
Supplemental Information Package
Funds from Operations
June 30 2016
($ in thousands)
For the Three Months EndedJun 30 For the Six Months EndedJun 30
2016 2015 2016 2015
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3861 3296 7730
Net loss on sale impairment of single-family properties 68 - 8 -
Depreciation and amortization 79604 59221 149121 112885
Less depreciation and amortization of non-real estate assets (1388) (2073) (2743) (4227)
Less outside interest in depreciation of partially owned properties - (282) - (588)
FFO attributable to common share and unit holders $ 67264 $ 43030 $ 134901 $ 80313
Adjustments
Acquisition fees and costs expensed 3489 4236 9142 10144
Noncash share-based compensation expense 983 734 1853 1430
Noncash interest expense related to acquired debt 1649 - 2225 -
Gain on conversion of Series E units - - (11463) -
Remeasurement of Series E units - (2143) - (3981)
Remeasurement of preferred shares 150 (580) 450 (700)
Core FFO attributable to common share and unit holders $ 73535 $ 45277 $ 137108 $ 87206 624 572
Recurring capital expenditures (8755) (10200) (14772) (17985)
Leasing costs (2151) (3011) (4080) (5421)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 32066 $ 118256 $ 63800
Per FFO share and unit
FFO attributable to common share and unit holders $ 022875 $ 016191 $ 047506 $ 030220
Core FFO attributable to common share and unit holders $ 025008 $ 017037 $ 048283 $ 032814 468 471
Adjusted FFO attributable to common share and unit holders $ 021299 $ 012066 $ 041644 $ 024007 765 735
Weighted-average FFO shares and units
Common shares outstanding 238481265 211487164 228819566 211484461
Class A units 46812904 14440670 36489875 14440670
Series C units - 31085974 9906519 31085974
Series D units 8750000 4375000 7331731 4375000
Series E units - 4375000 1418269 4375000
Total weighted-average FFO shares and units 294044169 265763808 283965960 265761105
radic
For the TrailingTwelve Months EndedMar 31 2021
Mar 31 2020
Net income $ 166223
Interest expense 115328
Depreciation and amortization 350403
EBITDA $ 631954
Gain on sale and impairment of single-family properties and other net (48523)
Adjustments for unconsolidated joint ventures 1496
EBITDAre $ 584927
Noncash share-based compensation - general and administrative 9546
Noncash share-based compensation - property management 2305
Acquisition other transaction costs and other (1) 14883
Hurricane-related charges net -
Loss on early extinguishment of debt -
Gain on conversion of Series E units -
Remeasurement of Series E units -
Remeasurement of participating preferred shares -
Adjusted EBITDAre $ 611661
Recurring Capital Expenditures (46988)
Leasing costs (4135)
Fully Adjusted EBITDAre $ 560538
Rents and other single-family property revenues 1197745
Less tenant charge-backs (166589)
Adjustments for unconsolidated joint ventures - income 6906
Bad debt expense
Rents and other single-family property revenues net of tenant charge-backs and adjustments for unconsolidated joint ventures $ 1038062
Fully Adjusted EBITDAre Margin 540
Adjusted EBITDAre after Capex and Leasing Costs Margin
American Homes 4 Rent
Credit Metrics
(in thousands)
Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Net (loss) income (8265) (8398) (19938) (11347) 5028 (3753)
Interest expense 15670 22003 23866 27874 30977 35481
Depreciation and amortization 53664 59221 67800 62163 69517 79604
EBITDA 61069 72826 71728 78690 105522 111332
Noncash share-based compensation expense 696 734 913 782 870 983
Acquisition fees and costs expensed 5908 4236 4153 5280 5653 3489
Gain on conversion of Series E units - 0 - 0 - 0 - 0 (11463) - 0
Remeasurement of Series E units (1838) (2143) 525 1356 - 0 - 0
Remeasurement of preferred shares (120) (580) 3000 2530 300 150
Adjusted EBITDA 65715 75073 80319 88638 100882 115954
Interest expense 15670 22003 23866 27874 30977 35481
Add capitalized interest 4569 1910 1163 1048 636 359
Less amortization of loan fees (1969) (2388) (2412) (2673) (2676) (2762)
Less amortization of discounts - 0 - 0 - 0 - 0 (576) (1649)
Less unused fees on LOC (890) (890) (782) (999) (826) (639)
Valerie Ware Valerie WareFrom Interest Capitalization Analysis Schedule
Cash Interest 17380 20635 21835 25250 27535 30790
Add principal amortization 4058 4943 5420 6210 6611 6608
Debt service 21438 25578 27255 31460 34146 37398
Total debt 2164806 2291863 2587172 2580962 3469465 3166858
Less cash and cash equivalents (115693) (90657) (238417) (57686) (71438) (270369)
Net debt 2280499 2382520 2825589 2638648 3398027 2896489
Cash Interest 17380 20635 21835 25250 27535 30790
Principal repayments of debt 4058 4943 5420 6210 6611 6608
Preferred dividends 5569 5569 5569 5569 5569 7412
Fixed charges 27007 31147 32824 37029 39715 44810
Net debt to Adjusted EBITDA 87 79 88 74 84 62
Fixed charge coverage ratio 24 24 24 24 25 26
Interest coverage ratio 38 36 37 35 37 38
Debt sevice coverage ratio 31 29 29 28 30 31
radic
American Homes 4 Rent
Supplemental Information Package
Capital Structure
As of June 30 2016
(Amounts in thousands)
Total Capitalization
Floating rate debt $ 955466
Fixed rate debt 2211392
Total debt 3166858 312
Common shares outstanding (1) 238365359
Operating partnership units (1) 55561160
Total shares and units 293926519
NYSE AMH Class A common share closing price at June 30 2016 $ 2048
Market value of common shares and operating partnership units 6019615
Perpetual preferred shares 498750
Participating preferred shares (see below) 460162
Total equity capitalization 6978527 688
Total market capitalization $ 10145385 1000
Participating Preferred Shares
InitialLiquidation Value CurrentLiquidation Value (1) Annual Dividend Per Share Annual Dividend Amount
Series Initial Redemption Period Outstanding Shares
Per Share Total Per Share Total
50 Series A 9302017 - 9302020 5060000 $ 2500 $ 126500 $ 2714
Valerie Ware Valerie WarePer Preferred Shares Liquidation Preference schedule
$ 137348
Whitney Skaff Whitney SkaffPer Preferred Shares Liquidation Preference schedule
$ 1250 $ 6325
50 Series B 9302017 - 9302020 4400000 $ 2500 110000 $ 2714 119434 $ 1250 5500
55 Series C 3312018 - 3312021 7600000 $ 2500 190000 $ 2676 203380 $ 1375 10450
17060000 $ 426500 $ 460162 $ 22275
radic Credit Metrics (1)
Total debt to total assets 384
Total debt to total market capitalization 312
Net debt to Adjusted EBITDA 62 x
Interest coverage ratio 38 x
Debt service coverage ratio 31 x
237730284 Class A common
635075 Class B common
46811160 Class A units
8750000 Series D
293926519 common shares and convertible units
$ 2048 closing price
6019615109
5060000 Preferred A AMHPRA
$ 2675
135355000
4400000 Preferred B AMHPRB
$ 2672
117568000
7600000 Preferred C AMHPRC
$ 2653
201628000
10750000 Preferred D AMHPRD
$ 2627
282402500
9200000 Preferred E AMHPRE
$ 2509
230828000
967781500
6987396609
6987397
American Homes 4 Rent
Supplemental Information Package
Debt Summary 1 Mth Current Period End
As of June 30 2016 LIBOR
(Amounts in thousands) 047 6302016
Change from PQ Wtd Avg Int Rate Wtd Avg Years
Balance of Total Interest Rate Years to Maturity Maturity Date
Floating rate debt
Credit facility $ 142000 45 322 23 93018 014 01
AH4R 2014-SFR1 471351 149 201 29 6919 030 04
ARP 2014-SFR1 342115 108 258 32 9919 028 03
Total floating rate debt 955466 302 239 29
Fixed rate debt
AH4R 2014-SFR2 504739 159 442 83 10924 070 13
AH4R 2014-SFR3 520468 164 440 84 12924 072 14
AH4R 2015-SFR1 546358 173 414 288 4945 071 50 Amort Calc
AH4R 2015-SFR2 474532 150 436 293 10945 065 44
Exchangeable senior notes net 115000 36 325 24 111518 012 01
Secured note payable 50295 16 406 30 7119 006 00 LOC 2014-1 ARP 2014-2 2014-3 2015-1 2015-2 Exch Notes Ellington
Total fixed rate debt 2211392 698 426 175 481000 513316 528418 552830 477729
100 100 100 100 100
Total debt $ 3166858 1000 370 131 370 131 4810 5133 5284 5528 4777 - 0
Unamortized discounts and loan costs $ (72352)
Total debt per balance sheet 3094506
Discount - 0 26 28 26 13
Debt Maturity Schedule Per Year 260 3 3 1
Floating Rate of Total Annual 5131 5281 5526 4776
Year Fixed Rate Total LOC 2014-1 ARP 2014-2 2014-3 2015-1 2015-2 Exch Notes Ellington
Remaining 2016 2406 10823 13229 04 - 2406 - 2566 2639 2763 2388 - 467
2017 4810 21683 26493 08 - 4810 - 5131 5281 5526 4776 - 969
2018 146810 136723 283533 90 142000 4810 - 5131 5281 5526 4776 115000 1009
2019 801440 68564 870004 275 459325 342115 5131 5281 5526 4776 47850
2020 - 20714 20714 07 5131 5281 5526 4776 -
2021 - 20714 20714 07 5131 5281 5526 4776 -
2022 - 20714 20714 07 5131 5281 5526 4776 -
2023 - 20714 20714 07 5131 5281 5526 4776 -
2024 - 957420 957420 302 466256 480862 5526 4776 -
2025 - 10302 10302 03 - - 5526 4776
Thereafter - 923021 923021 290 - - 493861 429160 -
Total $ 955466 $ 2211392 $ 3166858 1000 142000 471351 342115 504739 520468 546358 474532 115000 50295
radic - - - - - - - - -
Variance - - -
lt 1 year obligations 1203 - 0 1283 1320 1382 1194 - 0 230 Ellington cash payouts sched
Per BS $ 3166858
Variance -
Per BS 3094506 -
Variance -
American Homes 4 Rent
NOI and Core NOI Calculation
(in thousands)
Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended YTD
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Dec 312015 Mar 312016 Jun 302016 Jun 302016 Q2 v Q4 Q2 v PY YTD v YTD Q216 Q216YTD Q215 Q215YTD Q415QTD
Net Operating Income
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 559719 $ 167995 $ 193491 $ 1073611
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 7646 2197 2724 14532
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 56546 21016 20253 114146
Total revenues from single-family properties 6559 17757 49163 64470 137949 77009 93898 110021 116356 397284 130383 151984 170842 170702 623911 191208 216468 1202289
Leased property operating expenses 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 67823 83682 75472 280907 85001 95585 536965 442 442 414 414 442
Net operating income $ 4056 $ 10898 $ 31584 $ 40000 $ 86538 $ 47743 $ 56599 $ 59438 $ 68030 $ 231810 $ 76453 $ 84161 $ 87160 $ 95230 $ 343004 $ 106207 $ 120883 $ 665324
Net operating income margin 618 614 642 620 627 620 603 540 585 583 586 554 510 558 550 555 558 553
Core Net Operating Income
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 559719 $ 167995 $ 193491 $ 361486
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 7646 2197 2724 4921
Bad debt expense (8) (100) (417) (1748) (2273) (1423) (962) (2044) (1262) (5691) (1271) (1514) (2220) (972) (5977) (1069) (1414) (2483)
Core revenues from single-family properties 6551 17610 48423 61504 134088 73696 89798 103695 109473 376662 120740 138508 148741 153399 561388 169123 194801 363924 348200
Property operating expenses 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 67823 83682 75472 280907 85001 95585 180586
Expenses reimbursed by tenant charge-backs - (47) (323) (1218) (1588) (1890) (3138) (4282) (5621) (14931) (8372) (11962) (19881) (16331) (56546) (21016) (20253) (41269)
Bad debt expense (8) (100) (417) (1748) (2273) (1423) (962) (2044) (1262) (5691) (1271) (1514) (2220) (972) (5977) (1069) (1414) (2483)
Core property operating expenses 2495 6712 16839 21504 47550 25953 33199 44257 41443 144852 44287 54347 61581 58169 218384 62916 73918 136834
Core net operating income $ 4056 $ 10898 $ 31584 $ 40000 $ 86538 $ 47743 $ 56599 $ 59438 $ 68030 $ 231810 $ 76453 $ 84161 $ 87160 $ 95230 $ 343004 $ 106207 $ 120883 $ 227090 $ 216113 2694 4363 4200
Core net operating income margin 619 619 652 650 645 648 630 573 621 615 633 608 586 621 611 628 621 624 621
Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended YTD
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Dec 312015 Mar 312016 Jun 302016 Jun 302016
Net loss attributable to common shareholders $ (17790) $ (17697) $ (28616) $ (20474) $ (84577) $ (4377) $ (10404) $ (14781)
Dividends on preferred shares 5569 5569 5569 5569 22276 5569 7412 12981
Noncontrolling interest 3956 3730 3109 3558 14353 3836 (761) 3075
Net (loss) income $ (6857) $ 1123 $ (3861) $ (9471) $ (19066) $ (6935) $ (3369) $ (12796) $ (9992) $ (33092) (8265) (8398) (19938) (11347) (47948) 5028 (3753) 1275
Income from discontinued operations (22) (986) - - (1008) - - - - - - - - - - - - -
Gain on remeasurement of equity method investment - (10945) - - (10945) - - - - - - - - - - - - -
Remeasurement of preferred shares - - - 1810 1810 457 141 1750 3810 6158 (120) (580) 3000 2530 4830 300 150 450
Remeasurement of Series E units - - 438 1619 2057 2756 4944 (3588) 1007 5119 (1838) (2143) 525 1356 (2100) - - -
Gain on conversion of Series E units - - - - - (11463) - (11463)
Depreciation and amortization 2905 10879 24043 33160 70987 35131 38325 44855 47205 165516 53664 59221 67800 62163 242848 69517 79604 149121
Acquisition fees and costs expensed 1390 2099 496 814 4799 452 919 14550 6465 22386 5908 4236 4153 5280 19577 5653 3489 9142
Noncash share-based compensation expense 174 279 153 473 1079 532 612 751 691 2586 696 734 913 782 3125 870 983 1853
Interest expense 370 - - - 370 1502 3888 5112 9379 19881 15670 22003 23866 27874 89413 30977 35481 66458
-
Advisory fees 2742 3610 - - 6352 - - - - - - - - - - - - -
General and administrative expense 1625 811 2742 3667 8845 5074 5703 5291 5879 21947 6131 6276 6090 6409 24906 8057 7346 15403
Property operating expenses for vacant single-family properties 1729 4391 7873 8348 22341 9043 5842 3885 4129 22899 5278 3616 1370 984 11248 - - -
Other expenses 694 840 1152 1084 3770 1253 2087 3340
Other revenues - (363) (300) (420) (1083) (269) (406) (372) (543) (1590) (1365) (1644) (1771) (1885) (6665) (3985) (4504) (8489)
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 56546 21016 20253 41269
Expenses reimbursed by tenant charge-backs - (47) (323) (1218) (1588) (1890) (3138) (4282) (5621) (14931) (8372) (11962) (19881) (16331) (56546) (21016) (20253) (41269)
Bad debt expense excluded from operating expenses 8 100 417 1748 2273 1423 962 2044 1262 5691 1271 1514 2220 972 5977 1069 1414 2483
Bad debt expense included in revenues (8) (100) (417) (1748) (2273) (1423) (962) (2044) (1262) (5691) (1271) (1514) (2220) (972) (5977) (1069) (1414) (2483)
Core net operating income $ - $ - $ - $ - $ - $ - $ - $ 59438 $ 68030 $ - 76453 84161 87160 95230 343004 106207 120883 227090
Less Non-Same-Home core net operating income 14076 23376 28241 32317 98010 40720 54482 95202
Same-Home core net operating income 62377 60785 58919 62913 244994 65487 66401 131888
Same-Home capital expenditures 5950 7161 5800 3867 22778 3328 4837 8165
Same-Home core net operating income after capital expenditures $ 56427 $ 53624 $ 53119 $ 59046 $ 222216 $ 62159 $ 61564 $ 123723
radic
-
529 579 700 700
American Homes 4 Rent
Supplemental Information Package
Core NOI calculation
(in thousands)
For the Three Months Ended For the Six Months Ended
Jun 30 Jun 30 For the Three Months Ended For the Three Months Ended
2016 2015 2016 2015 Mar 31 2016 Mar 31 2014 Jun 30 2014 Sep 30 2014
Initially Leased Property NOI
Rents from single-family properties $ 193491 $ 120680 $ 193491 $ 387522 $ 73761 $ 88871 $ 104210
Fees from single-family properties 2724 1331 2724 6107 1358 1889 1529
Tenant charge-backs 20253 8372 20253 17682 1890 3138 4282
Total revenues from single-family properties 216468 130383 216468 411311 77009 93898 110021
Leased property operating expenses 95585 53930 95585 171078 29266 36790 50583
Initially Leased Property NOI $ 120883 $ 76453 $ 120883 $ 240233 $ 47743 $ 57108 $ 59438
Initially Leased Property NOI margin 558 586 558 584 620 608 540
Core Net Operating Income
Rents from single-family properties $ 193491 $ 137818 $ 361486 $ 258498 167995 $ 73761 $ 88871 $ 104210
Fees from single-family properties 2724 2204 4921 3535 2197 1358 1889 1529
Bad debt expense (1414) (1514) (2483) (2785) (1069) (1423) (962) (2044)
Core revenues from single-family properties 194801 138508 363924 259248 169123 73696 89798 103695
Property operating expenses 95585 67823 180586 121753 85001 29266 36790 50583
Expenses reimbursed by tenant charge-backs (20253) (11962) (41269) (20334) (21016) (1890) (3138) (4282)
Bad debt expense (1414) (1514) (2483) (2785) (1069) (1423) (962) (2044)
Core property operating expenses 73918 54347 136834 98634 62916 25953 32690 44257
Core net operating income $ 120883 $ 84161 $ 227090 $ 160614 436 414 $ 106207 $ 47743 $ 57108 $ 59438
Core net operating income margin 621 608 624 620 628
For the Three Months Ended For the Six Months Ended
Jun 30 Jun 30 For the Three Months Ended For the Three Months Ended
2016 2015 2016 2015 Mar 31 2016 Mar 31 2014 Jun 30 2014 Sep 30 2014
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (4377)
Dividends on preferred shares 7412 5569 12981 11138 5569
Noncontrolling interest (761) 3730 3075 7686 3836
Net (loss) income (3753) (8398) 1275 (16663) 5028 $ (6935) $ (3369) $ (12796)
Remeasurement of preferred shares 150 (580) 450 (700) 300 457 141 1750
Remeasurement of Series E units - (2143) - (3981) - 2756 4944 (3588)
Gain on conversion of Series E units - - (11463) - (11463)
Depreciation and amortization 79604 59221 149121 112885 69517 35131 38325 44855
Acquisition fees and costs expensed 3489 4236 9142 10144 5653 452 919 14550
Noncash share-based compensation expense 983 734 1853 1430 870 532 612 751
Interest expense 35481 22003 66458 37673 30977 1502 3888 5112
General and administrative expense 7346 6276 15403 12407 8057 5074 5703 5291
Property operating expenses for vacant single-family properties - 3616 - 8894 - 9043 6351 3885
Other expenses 2087 840 3340 1534 1253
Other revenues (4504) (1644) (8489) (3009) (3985) (269) (406) (372)
Tenant charge-backs 20253 11962 41269 20334 21016 1890 3138 4282
Expenses reimbursed by tenant charge-backs (20253) (11962) (41269) (20334) (21016) (1890) (3138) (4282)
Bad debt expense excluded from operating expenses 1414 1514 2483 2785 1069 1423 962 2044
Bad debt expense included in revenues (1414) (1514) (2483) (2785) (1069) (1423) (962) (2044)
Core net operating income 120883 84161 227090 160614 106207 $ 47743 $ 57108 $ 59438
Less Non-Same-Home core net operating income 54482 23376 95202 37453 40557
Same-Home core net operating income 66401 60785 131888 123161 $ 65650
Same-Home capital expenditures 4837 7161 8165 13111
Same-Home core net operating income after capital expenditures $ 61564 $ 53624 $ 123723 $ 110050
radic
American Homes 4 Rent
Supplemental Information Package
Fact Sheet
(in thousands)
Dec 312012 Mar 312013 Jun 302013 Sep 302013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016 Q2 v Q4 Q2 v YE Q2 v PY
Operating Data - for the three months ended
Core revenues from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 73761 $ 88871 $ 104210 $ 109543 $ 120740 $ 138508 $ 148741 $ 153399 $ 169123 $ 194801
Core net operating income $ 64 $ 690 $ 1476 $ 1409 $ 1358 $ 1889 $ 1529 $ 1192 $ 76453 $ 84161 $ 87160 $ 95230 $ 106207 $ 120883
Core net operating income margin 619 619 652 650 648 630 573 621 633 608 586 621 628 621
GampA expense as of total revenues ERRORREF ERRORREF ERRORREF 57 66 60 48 50 47 41 35 37 41 33 Leased Same Home ARPI
Annualized GampA expense as of total assets 104 051 028 035 045 046 038 038 038 038 035 038 040 036 123114 33115 63015 93015 123115 123115 33116 63016 93016 123116
Adjusted EBITDA $ 65715 $ 75073 $ 80319 $ 88638 $ 100882 $ 115954
Per FFO share and unit
FFO attributable to common share and unit holders $ 014 $ 016 $ 015 $ 017 $ 025 $ 023 Q1 QTD 2016 - ARPI - 7246 7274
Core FFO attributable to common share and unit holders $ 016 $ 017 $ 019 $ 021 $ 023 $ 025 Q1 YTD 2016 - ARPI - 7246 7274
Adjusted FFO attributable to common share and unit holders $ 012 $ 012 $ 014 $ 018 $ 020 $ 021
Q1 QTD 2016 24116 24519 24523 22643 22730
Q1 YTD 2016 24116 24519 24523 12742 12860
Selected Balance Sheet Information - at end of period
Single-family properties net $ 1120843 $ 3039504 $ 3530122 $ 3861422 $ 4218654 $ 4483794 $ 5117743 $ 5710671 $ 6037355 $ 6162148 $ 6267464 $ 6289938 $ 7561189 $ 7521659 Q1 QTD 2015 23903 23978 24185
Total assets $ 1678261 $ 3482695 $ 3885261 $ 4224144 $ 4524033 $ 4982557 $ 5536344 $ 6227351 $ 6526078 $ 6638037 $ 6907373 $ 6751219 $ 8097710 $ 8252400 Q1 YTD 2015 23903 23978 24185
Outstanding borrowings under credit facility $ - $ 670000 $ 238000 $ 375000 $ 671000 $ 481000 $ 82000 $ 207000 $ 45000 $ 177000 $ - $ - $ 438000 $ 142000
Total debt $ - $ - $ - $ - $ 480970 $ 993058 $ 1519390 $ 2164806 $ 2291863 $ 2587172 $ 2580962 $ 3469465 $ 3166858 Average Leased Initially Leased
Total equity capitalization na na $ 3861700 $ 4103305 $ 4235450 $ 4678538 $ 4916539 $ 4967461 $ 4840764 $ 4707338 $ 4672546 $ 4824925 $ 5150343 $ 6978527 Non-Same Home Non-Same Home
Total market capitalization na na ERRORREF $ 4478305 $ 4906450 ERRORREF ERRORREF ERRORREF $ 7005570 $ 6999201 $ 7259718 $ 7405887 $ 8619808 $ 10145385
Total debt to total market capitalization 309 327 356 349 402 312
NYSE AMH Class A common share closing price na na $ 1615 $ 1620 $ 1671 $ 1776 $ 1689 $ 1703 $ 1655 $ 1604 $ 1608 $ 1666 $ 1590 $ 2048 Q2 QTD 2016 12811 13166
Q2 YTD 2016 12636 10495
Portfolio Data - at end of period
Occupied single-family properties 19978 21999 25724 27528 30185 34293 35232 35958 43907 44021 8063 8063 Q2 QTD 2015 8962 9414
Executed leases for future occupancy 688 1365 437 722 998 610 385 445 548 708 Q2 YTD 2015 5568 7908
Total leased single-family properties 1164 2338 10245 14384 17328 20666 23364 26161 28250 31183 34903 35617 36403 44455 44729 8326 229 8326 229 9826 282
Single-family properties in acquisition process 824 549 731 805 577 611 384 371 184 149 151 109 65 274
Single-family properties being renovated 3880 5250 3598 1732 1466 1179 1719 2502 1492 502 661 325 211 118
Single-family properties being prepared for re-lease 3880 na na 281 508 656 295 630 838 355 283 178 136 177 63016 QTD 63016 YTD 63015 QTD 63015 YTD
Vacant single-family properties available for re-lease 1356 2007 na 579 700 617 1442 1305 1008 1116 1389 1432 1242 1333
Vacant single-family properties available for initial lease 2736 2573 1319 744 610 1502 1661 387 232 246 221 34 Avg Initially
Total single-family properties excluding held for sale 11454 18326 21267 23224 25464 27137 30838 34573 36553 37447 38331 38735 46374 46456 7721 199 7721 199 9009 241 Leased 46036 43362 34702 33196
Single-family properties held for sale - - - 44 41 36 39 26 35 44 46 45 1581 1582
Total single-family properties 36588 37491 38377 38780 47955 48038 9258 239 9258 239 10547 281 Avg Leased 44592 41862 33043 31445
Total leased percentage 204 559 676 745 810 860 847 816 853 932 929 940 959 963 83
Total occupancy percentage 00 783 811 834 796 826 916 919 928 947 948 Avg Depr Props 46164 43529 35726 34379
Same-Home leased percentage 959 956 948 953 969 970
Same-Home occupancy percentage 944 943 938 943 958 955
Other Data Total Leased
Distributions declared per common share $ - $ - $ - $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 123115 38780 36403
Distributions declared per Series A preferred share $ - $ - $ - $ 023 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 13116 38880 36551
Distributions declared per Series B preferred share $ - $ - $ - $ - $ 035 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 22916 38971 36956
Distributions declared per Series C preferred share $ - $ - $ - $ - $ 023 $ 034 $ 034 $ 034 $ 034 $ 034 $ 034 $ 034 $ 034 33116 47955 44455
Distributions declared per Series D preferred share $ - $ - $ - $ - $ 017 63016 48038 44770
Distributions declared per Series E preferred share $ - $ - $ - $ - $ - 42525 39827
radic
GampA expense 1625 811 2742 3667 5074 5703 5291 5879 6131 6276 6090 6409 8057 7346
Advisory fees 2742 3610 - - - - - - - - - - - -
4367 4421 2742 3667 5074 5703 5291 5879 6131 6276 6090 6409 8057 7346
Common Capitalization
Class A shares 184856219 184869219 184869219 184897969 210838831 210838831 210852089 210852089 207460466 207235510 238919417 237730284
Class B shares 635075 635075 635075 635075 635075 635075 635075 635075 635075 635075 635075 635075
Class A units 13787292 13787292 13787292 13787292 13787292 14440670 14440670 14440670 14440670 14440670 45526644 45526644
Series C units 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 - -
Series D amp E units 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000
Total shares amp units 239114560 239127560 239127560 239156310 265097172 265750550 265763808 265763808 262372185 262147229 293831136 292642003
End of Quarter Closing share price $ 1615 $ 1620 $ 1671 $ 1776 $ 1689 $ 1703 $ 1655 $ 1604 $ 1608 $ 1666 $ 1590 $ 2048
Common capitalization 3861700144 3873866472 3995821528 4247416066 4477491235 4525731867 4398391022 4262851480 4218944735 4367372835 4671915062 5993308221
common shares and convertible units
Preferred Capitalization
Series A preferred 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 closing price
HPA liquidation value $ 2532 $ 2533 $ 2542 $ 2589 $ 2605 $ 2609 $ 2515 $ 2485 $ 2570 $ 2649 $ 2675
128141007 128173252 128625788 130998161 131808594 132006158 127259000 125741000 130042000 134039400 135355000
Series B preferred 4000000 4400000 4400000 4400000 4400000 4400000 4400000 4400000 4400000 4400000 4400000
HPA liquidation value $ 2532 $ 2533 $ 2542 $ 2589 $ 2605 $ 2609 $ 2515 $ 2485 $ 2570 $ 2649 $ 2675 Preferred A AMHPRA
101297239 111455001 111848511 113911444 114616168 114787963 110660000 109340000 113080000 116556000 117700000
Series C preferred 7600000 7600000 7600000 7600000 7600000 7600000 7600000 7600000 7600000
HPA liquidation value 2509 $ 2554 $ 2570 $ 2573 $ 2520 $ 2533 $ 2571 $ 2650 $ 2653 Preferred B AMHPRB
190647215 194138647 195303879 195578564 191520000 192508000 195396000 201400000 201628000
Preferred capitalization 229438246 239628253 431121513 439048252 441728641 442372685 429439000 427589000 438518000 451995400 454683000
Preferred C AMHPRC
Total Equity Capitalization 3861700144 4103304718 4235449781 4678537579 4916539487 4967460508 4840763707 4692290480 4646533735 4805890835 5123910462 6447991221
Rounded in 000s 3861700 4103305 4235450 4678538 4916539 4967461 4840764 4692290 4646534 4805891 5123910 6447991
American Homes 4 Rent
Supplemental Information Package
Fact Sheet
(in thousands)
For the Three Months Ended For the Six Months Ended For the Three Months Ended
Jun 30 Jun 30 Mar 31
2016 2015 2016 2015 2016 2015
Operating Data
Core revenues from single-family properties $ 194801 $ 138508 $ 363924 $ 259248 $ 169123 $ 120740
Core net operating income $ 120883 $ 84161 $ 227090 $ 160614 $ 106207 $ 76453
Core net operating income margin 621 608 624 620
GampA expense as of total revenues 33 41 37 43
Annualized GampA expense as of total assets 036 038 037 037
Adjusted EBITDA $ 115954 $ 75073 $ 216836 $ 140788
Per FFO share and unit
FFO attributable to common share and unit holders $ 023 $ 016 $ 048 $ 030
Core FFO attributable to common share and unit holders $ 025 $ 017 $ 048 $ 033
Adjusted FFO attributable to common share and unit holders $ 021 $ 012 $ 042 $ 024
Jun 302016 Mar 312016 Dec 312015 Sep 302015 Jun 302015 Mar 312015
Selected Balance Sheet Information - end of period
Single-family properties net $ 7521659 $ 7561189 $ 6289938 $ 6267464 $ 6162148 $ 6037355
Total assets $ 8252400 $ 8097710 $ 6751219 $ 6907373 $ 6638037 $ 6526078
Outstanding borrowings under credit facility $ 142000 $ 438000 $ - $ - $ 177000 $ 45000
Total debt $ 3166858 $ 3469465 $ 2580962 $ 2587172 $ 2291863 $ 2164806
Total equity capitalization $ 6978527 $ 5150343 $ 4824925 $ 4672546 $ 4707338 $ 4840764
Total market capitalization $ 10145385 $ 8619808 $ 7405887 $ 7259718 $ 6999201 $ 7005570
Total debt to total market capitalization 312 402 349 356 327 309
NYSE AMH Class A common share closing price $ 2048 $ 1590 $ 1666 $ 1608 $ 1604 $ 1655
Portfolio Data - end of period
Occupied single-family properties 44021 43907 35958 35232 34293 30185
Executed leases for future occupancy 708 548 445 385 610 998
Total leased single-family properties 44729 44455 36403 35617 34903 31183
Single-family properties in acquisition process 65 109 151 149 184 371
Single-family properties being renovated 118 211 325 661 502 1492
Single-family properties being prepared for re-lease 177 136 178 283 355 838
Vacant single-family properties available for re-lease 1333 1242 1432 1389 1116 1008
Vacant single-family properties available for initial lease 34 221 246 232 387 1661
Total single-family properties excluding held for sale 46456 46374 38735 38331 37447 36553
Single-family properties held for sale 1582 1581 45 46 44 35
Total single-family properties 48038 47955 38780 38377 37491 36588
Total leased percentage 963 959 940 929 932 853
Total occupancy percentage 948 947 928 919 916 826
Same-Home leased percentage 970 969 953 948 956 959
Same-Home occupancy percentage 955 958 943 938 943 944
Other Data
Distributions declared per common share $ 005 $ 005 $ 005 $ 005 $ 005 $ 005
Distributions declared per Series A preferred share $ 031 $ 031 $ 031 $ 031 $ 031 $ 031
Distributions declared per Series B preferred share $ 031 $ 031 $ 031 $ 031 $ 031 $ 031
Distributions declared per Series C preferred share $ 034 $ 034 $ 034 $ 034 $ 034 $ 034
Distributions declared per Series D preferred share $ 017 $ - $ - $ - $ -
Distributions declared per Series E preferred share $ - $ - $ - $ - $ -
radic
Total assets $ 8252400 6638037
General and administrative expense 7346 6276 8845
American Homes 4 Rent
Supplemental Information Package
Quarterly Consolidated Statement of Operations
(in thousands)
Q2 v Q4 Q2 v YE Q2 v PY
Three Months Ended Year Ended Three Months Ended
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Revenues
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 167995 $ 193491 270 270 404
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 2197 2724
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 21016 20253
Other - 363 300 420 1083 269 406 372 543 1590 1365 1644 1771 1885 3985 4504
Total revenues 6559 18120 49463 64890 139032 77278 94304 110393 116899 398874 131748 153628 172613 172587 195193 220972
Expenses
Property operating expenses 59208
Property tax expense 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 25204 28072 28686 30340 36318
HOA fees 1729 4391 7873 8348 22341 9043 5842 3885 4129 22899 5278 3034 3169 3240 3423 3822
Maintenance and turnover costs 26046 35819 27536 32369 34328
In-house maintenance - - - 794 1369
Insurance 1748 2001 2145 2103 2261
Property management expenses 13893 13771 13877 14903 16073
Bad debt expense 1514 2220 972 1069 1414
General and administrative expense 1625 811 2742 3667 8845 5074 5703 5291 5879 21947 6131 6276 6090 6409 8057 7346
Advisory fees 2742 3610 - - 6352 - - - - - - - - - - -
- -
Interest expense 370 - - - 370 1502 3888 5112 9379 19881 15670 22003 23866 27874 30977 35481
Noncash share-based compensation expense 174 279 153 473 1079 532 612 751 691 2586 696 734 913 782 870 983
Acquisition fees and costs expensed 1390 2099 496 814 4799 452 919 14550 6465 22386 5908 4236 4153 5280 5653 3489
Depreciation and amortization 2905 10879 24043 33160 70987 35131 38325 44855 47205 165516 53664 59221 67800 62163 69517 79604
Other 694 840 1152 1084 1253 2087
Total expenses 13438 28928 52886 70932 166184 81000 92588 125027 122074 420689 141971 164749 189026 180048 201328 224575
Gain on remeasurement of equity method investment - 10945 - - 10945 - - - - - - - - - - -
Gain on conversion of Series E units - - - - 11463 -
Remeasurement of Series E units - - (438) (1619) (2057) (2756) (4944) 3588 (1007) (5119) 1838 2143 (525) (1356) - -
Remeasurement of preferred shares - - - (1810) (1810) (457) (141) (1750) (3810) (6158) 120 580 (3000) (2530) (300) (150)
Net (loss) income (6879) 137 (3861) (9471) (20074) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Discontinued operations
Gain on disposition of single-family properties - 904 - - 904 - - - - - - - - - - -
Income from discontinued operations 22 82 - - 104 - - - - - - - - - - -
Income from discontinued operations 22 986 - - 1008 - - - - - - - - - - -
Net loss (6857) 1123 (3861) (9471) (19066) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Noncontrolling interest 895 4664 3798 3888 13245 3620 4212 3382 3751 14965 3956 3730 3109 3558 3836 (761)
Dividends on preferred shares - - - 1160 1160 3121 4669 5569 5569 18928 5569 5569 5569 5569 5569 7412
Conversion of preferred units - 10456 - - 10456 - - - - - - - - - - -
Net loss attributable to common shareholders $ (7752) $ (13997) $ (7659) $ (14519) $ (43927) $ (13676) $ (12250) $ (21747) $ (19312) $ (66985) $ (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404)
Weighted-average shares outstandingndashbasic and diluted 48233982 95971706 162725150 185499066 123592086 185504294 185515651 202547677 211473906 196348757 211481727 211487164 211414368 208045996 219157870 238481265
Net loss per sharendashbasic and diluted
Loss from continuing operations $ (016) $ (016) $ (005) $ - 0 $ (037) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
Income from discontinued operations - 0 001 - - 001 - - - - - - - - - - -
Net loss attributable to common shareholders
per sharendashbasic and diluted $ (016) $ (015) $ (005) $ (036) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
radic EBITDA 105522 111332
QTD Adjusted EBITDA 65715 146512 165371 165094 100882 211539 115954
YTD Adjusted EBITDA 397422 212227
Interest excluding capped amp amortized 28650 59785
Interest 31038 65228
Core NOI 106207 120883
Interest Coverage Ratio 33 x 32 x
Debt service 37649 78447
Debt service coverage ratio 27 x 27 x
American Homes 4 Rent
Supplemental Information Package
Quarterly Consolidated Statement of Operations
(in thousands)
Q2 v Q4 Q2 v YE Q2 v PY
Three Months Ended Year Ended Three Months Ended
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Revenues
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 167995 $ 193491 270 270 404
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 2197 2724
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 21016 20253
Other - 363 300 420 1083 269 406 372 543 1590 1365 1644 1771 1885 3985 4504
Total revenues 6559 18120 49463 64890 139032 77278 94304 110393 116899 398874 131748 153628 172613 172587 195193 220972
Expenses
Property operating expenses 59208 71439 - 85052 - 76456 - 85001 95585
Leased single-family properties 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 67823 83682 75472
Vacant single-family properties and other 1729 4391 7873 8348 22341 9043 5842 3885 4129 22899 5278 3616 1370 984
General and administrative expense 1625 811 2742 3667 8845 5074 5703 5291 5879 21947 6131 6276 6090 6409 8057 7346
Advisory fees 2742 3610 - - 6352 - - - - - - - - - - -
- -
Interest expense 370 - - - 370 1502 3888 5112 9379 19881 15670 22003 23866 27874 30977 35481
Noncash share-based compensation expense 174 279 153 473 1079 532 612 751 691 2586 696 734 913 782 870 983
Acquisition fees and costs expensed 1390 2099 496 814 4799 452 919 14550 6465 22386 5908 4236 4153 5280 5653 3489
Depreciation and amortization 2905 10879 24043 33160 70987 35131 38325 44855 47205 165516 53664 59221 67800 62163 69517 79604
Other 694 840 1152 1084 1253 2087
Total expenses 13438 28928 52886 70932 166184 81000 92588 125027 122074 420689 141971 164749 189026 180048 201328 224575
Gain on remeasurement of equity method investment - 10945 - - 10945 - - - - - - - - - - -
Gain on conversion of Series E units - - - - 11463 -
Remeasurement of Series E units - - (438) (1619) (2057) (2756) (4944) 3588 (1007) (5119) 1838 2143 (525) (1356) - -
Remeasurement of preferred shares - - - (1810) (1810) (457) (141) (1750) (3810) (6158) 120 580 (3000) (2530) (300) (150)
Net (loss) income (6879) 137 (3861) (9471) (20074) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Discontinued operations
Gain on disposition of single-family properties - 904 - - 904 - - - - - - - - - - -
Income from discontinued operations 22 82 - - 104 - - - - - - - - - - -
Income from discontinued operations 22 986 - - 1008 - - - - - - - - - - -
Net loss (6857) 1123 (3861) (9471) (19066) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Noncontrolling interest 895 4664 3798 3888 13245 3620 4212 3382 3751 14965 3956 3730 3109 3558 3836 (761)
Dividends on preferred shares - - - 1160 1160 3121 4669 5569 5569 18928 5569 5569 5569 5569 5569 7412
Conversion of preferred units - 10456 - - 10456 - - - - - - - - - - -
Net loss attributable to common shareholders $ (7752) $ (13997) $ (7659) $ (14519) $ (43927) $ (13676) $ (12250) $ (21747) $ (19312) $ (66985) $ (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404)
Weighted-average shares outstandingndashbasic and diluted 48233982 95971706 162725150 185499066 123592086 185504294 185515651 202547677 211473906 196348757 211481727 211487164 211414368 208045996 219157870 238481265
Net loss per sharendashbasic and diluted
Loss from continuing operations $ (016) $ (016) $ (005) $ - 0 $ (037) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
Income from discontinued operations - 0 001 - - 001 - - - - - - - - - - -
Net loss attributable to common shareholders
per sharendashbasic and diluted $ (016) $ (015) $ (005) $ (036) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
radic EBITDA 105522 111332
QTD Adjusted EBITDA 65715 75073 80319 88638 100882 115954 115954
YTD Adjusted EBITDA 216836 140788
Interest excluding capped amp amortized 28650 59785
Interest 31038 65228
Core NOI 106207 120883
Interest Coverage Ratio 33 x 18 x
Debt service 37649 78447
Debt service coverage ratio 27 x 15 x
American Homes 4 Rent
2Q16 HFS Property Disposals
Adjusting Journal Entries
(in thousands)
Adjusting Journal Entries Top-Side Presentation
Record HFS classification Assets
Single-family properties
NBV (Dr) Assets held for sale 131762 radic Land $ (26264)
(Dr) Casualty loss Buildings and improvements (110068)
(Dr) Impairment charge - Single-family properties held for sale 131762
(Dr) Due from related party - $ (4570)
(Dr) Accumulated depreciation 4570 radic Less accumulated depreciation 4570
(Cr) Land (26264) radic Single-family properties net $ -
(Cr) Building and improvements (110068) radic Cash and cash equivalents
Resident security deposits
Check - Rent and other receivables
Escrow deposits
radic - Agreed to FA register Deferred leasing costs and other intangibles net
Goodwill
Prepaid expenses and other assets
Total assets $ -
Liabilities
Senior secured line of credit
Accounts payable and accrued expenses
Amounts payable to affiliates -
Contingently convertible Series E units liability
Preferred shares conversion liability
Total liabilities -
Commitments and contingencies
Equity
Shareholders equity
Class A common shares
Class B common shares
Preferred shares
Additional paid-in capital
Accumulated deficit -
Total shareholders equity -
Noncontrolling interest
Total equity -
Total liabilities and equity $ -
-
Revenues
Rents from single-family properties
Other revenues from single-family properties
Other -
Total revenues -
Expenses
Property operating expenses
Leased single-family properties
Vacant single-family properties and other -
Management company operating expenses
General and administrative expense
Interest expense
Noncash share-based compensation expense
Acquisition fees and costs expensed
Equity in income from unconsolidated JV
Advisory fees
Depreciation and amortization
Impairment of single-family properties
Total expenses -
Gain on remeasurement of equity method investment
Remeasurement of Series E units
[Remeasurement of preferred shares]
Loss from continuing operations -
Discontinued operations
Gain on disposition of single-family properties
Income from discontinued operations
Total income from discontinued operations -
Net loss -
Noncontrolling interest
Dividends on preferred shares
Conversion of preferred units
Net loss attributable to common shareholders $ -
radic
(in thousands) June 30 2016
Description Quoted Prices in Active Markets for Identical Assets(Level 1) Significant Other Observable Inputs(Level 2) Significant Unobservable Inputs(Level 3) Total
Assets
Interest rate cap agreement $ - $ - $ - $ -
Liabilities
Preferred shares derivative liability $ - $ - $ 63240 $ 63240 - 0
December 31 2015
Description Quoted Prices in Active Markets for Identical Assets(Level 1) Significant Other Observable Inputs(Level 2) Significant Unobservable Inputs(Level 3) Total
Assets
Interest rate cap agreement $ - $ - $ - $ -
Liabilities
Contingently convertible Series E units liability $ - $ - $ 69957 $ 69957 $ -
Preferred shares derivative liability $ - $ - $ 62790 $ 62790 $ -
Description January 1 2016 Issuances Conversions Remeasurement included in earnings June 30 2016
Liabilities
Contingently convertible Series E units liability $ 69957 $ - $ (69957) $ - $ - - 0
Preferred shares derivative liability $ 62790 $ - $ - $ 450 $ 63240 - 0
Description January 1 2015 Issuances Conversions Remeasurement included in earnings June 30 2015
Liabilities
Contingently convertible Series E units liability $ 72057 $ - $ - $ (3981) $ 68076
Preferred shares derivative liability $ 57960 $ - $ - $ (700) $ 57260
radic
American Homes 4 Rent
Financial Statement Footnote Support
Note 11 Earnings per share
June 30 2016
(amounts in thousands)
For the Three Months Ended June 30 For the Six Months Ended June 30
2016 2015 2016 2015 2013
Income (loss) (numerator)
Net (loss) income $ (3753) $ (8398) $ 1275 $ (16663) $ (20074)
Income from discontinued operations - - - - 1008
Noncontrolling interest (761) 3730 3075 7686 13245
Dividends on preferred shares 7412 5569 12981 11138 1160
Conversion of preferred units - - - - 10456
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (43927)
Weighted-average shares (denominator) 238481265 211487164 228819566 211484461 123592086
Net loss per sharendashbasic and diluted
Loss from continuing operations $ (004) $ (008) $ (006) $ (017) $ (037)
Income from discontinued operations - - - - 001
Net loss per sharendashbasic and diluted $ (004) $ (008) $ (006) $ (017) $ (036)
radic
American Homes 4 Rent
Accounts payable and accrued expenses
June 30 2016
(in thousands)
(Unadjusted) Permanent Topside Topside (Adjusted)
Account June 30 2016 Topside Rollover Accrued Property Tax Adjustment Accrued Payroll Reclass Rounding June 30 2016
Accounts Payable Σ A 2120010-2120015 288 288
Accrued Property Taxes Σ B 2120301-2120340 2122305 84642 397 85039
Other Accrued Liabilities Σ C All Other 33456 (100) (78) 1 33279
Accrued Distribution Payable Σ D 2123300-2123400 - 0 - 0
Accrued Construction and Maintenance Liabilities Σ E 2123800 10418 10418
Resident Security Deposits Σ F 2122701-2122720 70344 70344
Prepaid Rent Σ G 2123650 15939 15939
Total 215087 (100) - 0 - 0 397 (78) 1 215307
Per BS 215307
Variance - 0
(Unadjusted) Topside Topside (Adjusted)
Account March 31 2016 Permanent Topside Rollover Rounding March 31 2016
Accounts Payable Σ A 2120010-2120015 139 139
Accrued Property Taxes Σ B 2120301-2120340 64634 64634
Other Accrued Liabilities Σ C All Other 41916 (100) 2 41818
Accrued Distribution Payable Σ D 2123300-2123400 - 0 - 0
Accrued Construction and Maintenance Liabilities Σ E 2123800 10995 10995
Resident Security Deposits Σ F 2122701-2122720 66989 66989
Prepaid Rent Σ G 2123650 16371 16371
Total 201044 (100) - 0 - 0 - 0 - 0 2 200946
Per BS 200946
Variance - 0
Yardi Acct Trial balance 63016 33116 Qtrly Flux
2120010 ACCOUNTS PAYABLE (599283) A (138727) A 460557 460557
2120011 ACCRUED ACCOUNTS PAYABLE 311019 A (683) A (311703)
2120200 ACCRUED PURCHASING FROM PO - C - C -
2120250 ACCRUED PURCHASING FROM PO CLEARING - C - C -
2120301 ACCRUED PROPERTY TAXES (71049768) B (34839582) B 36210186
2120302 ACCRUED PROPERTY TAX (NAV - WASTE) - B - B - 0 20398990
2120303 ACCRUED PROPERTY TAX (NAV - ANNUAL) - B - B - 0
2120320 ACCRUED PRIOR YEAR PROPERTY TAX (32106506) B (40845144) B (8738638)
2120321 ACCRUED PRIOR YEAR HOA EXPENSES (5668) C (18696) C (13028)
2120330 ACCRUED PROPERTY TAX - OLD OWNER - B - B -
2120340 ACCRUED PROPERTY TAX (OTHER) (496545) B (377609) B 118937
2120350 ACCRUED PROPERTY TAX (HUD) 6740 B 6850 B 110
2120355 ACCRUED PRIOR YEAR PROPERTY TAX (HUD) (495620) B (553966) B (58346)
2120360 ACCRUED PROPERTY TAXCLEARING 20092527 B 12900922 B (7191606)
2120600 SALES TAX LIABILITY (64929) C (30949) C 33980
2120610 SALES TAX LIABILITY - OLD OWNER (1403595) C (1436943) C (33348)
2120700 STATE TAX WITHHOLDING (1978) C (1978) C - 0
2120705 STATE TAX LIABILITY (785468) C (1268796) C (483328)
2120707 STATE TAX LIABILITY ndash OLD OWNER (61360) C (817018) C (755658)
2120710 INCOME TAX WITHHOLDING (62232) C (5726) C 56506
2120715 ESCHEAT LIABILITY (96188) C (96188) C - 0
2120720 ACCRUED PERSONAL PROPERTY TAX (371484) C (428944) C (57459) (57459)
2120721 ACCRUED PERS PROPERTY TAX ndash OLD OWNER (614587) C (614887) C (300)
2120900 ACCRUED LIABILITIES (107865) C (3942022) C (3834158)
2120950 ACCRUED MEDICAL INSURANCE - C - C - 0
2120952 ACCRUED DENTAL INSURANCE - C - C - 0
2120954 ACCRUED VISION INSURANCE 563 C 880 C 317
2120956 ACCRUED TELEHEALTH (2620) C (2280) C 340
2120960 ACCRUED 401K TRADROTH (45662) C (8571) C 37091
2120962 ACCRUED HEALTH SAVINGS ACCOUNT (3970) C (787) C 3183
2120964 ACCRUED FLEXIBLE SPENDING ACCOUNT 5770 C 10524 C 4754
2120970 ACCRUED LIFE amp ADD INSURANCE (4569) C (2411) C 2159
2120972 ACCRUED VOLUNTARY LIFE amp ADD INSURANCE 133 C 973 C 840
2120974 ACCRUED SHORT TERM DIS (52) C 885 C 937
2120976 ACCRUED LONG TERM DIS (14) C 1068 C 1082
2120978 ACCRUED OTHER INSURANCE (12010) C (7759) C 4251
2120980 ACCRUED OTHER PAYROLL DEDUCTIONS 14 C (4414) C (4428)
2120984 WELLNESS CREDIT LIABILITY (49657) C (50000) C (344)
2120999 PAYROLL CLEARING ACCOUNT (6458) C 158 C 6616
2121000 ACCRUED PAYROLL (751883) C (1706102) C (954219)
2121100 ACCRUED VACATION (1510663) C (1507738) C 2925
2121110 ACCRUED BENEFITS (24430) C 29474 C 53905
2121160 ACCRUED LIABILITIES - OTHER AMIP (260286) C (293897) C (33611)
2121200 ACCRUED AUDIT FEES - 0 C (200000) C (200000)
2121300 ACCRUED TAX FEES (40894) C (22000) C 18894
2121400 ACCRUED LITIGATION LOSSES (484000) C (514000) C (30000)
2121450 ACCRUED MANAGEMENT FEES - C - C -
2121500 ACCRUED HOA EXPENSE (19791) C (46183) C (26392)
2121600 ACCRUED ELECTRICITY EXPENSE (2452348) C (2050051) C 402296
2121700 ACCRUED GAS EXPENSE (477310) C (1237138) C (759828)
2121800 ACCRUED WATER EXPENSE (1299571) C (1160616) C 138955
2121900 ACCRUED TRASH EXPENSE (264214) C (227148) C 37066
2122000 ACCRUED SEWER EXPENSE (1242941) C (1265332) C (22391) (22391)
2122100 ACCRUED INSURANCE EXPENSE (43841) C (200100) C (156259)
2122120 ACCRUED OTHER - OLD OWNER (591304) C (739499) C (148195)
2122125 ACCRUED WOS - OLD OWNER 1657 C (37573) C (39230)
2122127 Accrued Severance ndash Old Owner (6112528) C (6677249) C (564720)
2122130 ACCRUED HOA DUES - OLD OWNER - C - C -
2122300 ACCRUED PROP TAX PRE-PURCH (193450) B (76859) B 116591
2122305 ACCRUED PRIOR YEAR PRE-PURCH (399797) B (848599) B (448803) (448803)
2122500 ACCRUED PROPERTY LOSS (2970) C - C 2970
2122701 SECURITY DEPOSITS (69352232) F (66071878) F 3280354
2122702 SECURITY DEPOSITS - OFFICE LEASE (19868) F (19868) F - 0
2122800 PET DEPOSITS (735903) F (743053) F (7150)
2122850 KEY DEPOSITS (235829) F (154597) F 81232
2122855 SECURITY DEPOSITS PAYABLE TO PM - F - F - ERRORVALUE
2123100 ACCRUED INTEREST (602235) C (1216658) C (614423)
2123110 INTEREST ACCRUAL - 2014-1 (8670051) C (8742640) C (72589) (72589)
2123120 INTEREST ACCRUAL - OLD OWNER (166111) C (1100486) C (934375)
2123200 ACCRUED OFFERING COSTS (337000) C - C 337000
2123205 ACCRUED INCENTIVE (2117421) C (1449261) C 668160
2123220 TAX PREPARATION ACCRUAL - OLD OWNER (258137) C (339300) C (81163)
2123300 ACCRUED DISTRIBUTION - D - D - 0 - 0
2123600 ACCRUED STOCK OPTIONS - NON EMPLOYEE - C - C -
2123650 PREPAID RENT (15939303) G (16371311) G (432008) (432008) 5439992
2123750 REFUND CLEARING ACCOUNT (8352) C - C 8352
2123800 GENERAL ACCRUAL (10417917) E (10995171) E (577254)
2123850 ACCRUED LIENS - C - C -
2123860 STATE TAX LIABILITY - C - C -
2123950 DEFERRED RENT INCOME - C - C -
2123965 DEFERRED PET INCOME (1574511) C (1356042) C 218469
2140300 MORTGAGES (0) C (0) C - 0
2710500 CONSERVICE FEE PAYABLE (450850) C (1132877) C (682027)
- 0
- 0
AP AND ACCRUED EXPENSES ($215087605) ($201045570) 14042035
radic
American Homes 4 Rent
Financial Statement Footnote Support
Note 6 Debt
June 30 2016
(in thousands)
Outstanding Principal Balance
Interest Rate (1) Maturity Date June 30 2016 December 31 2015
AH4R 2014-SFR1 securitization (2) 201 June 9 2019 $ 471351 $ 473755
ARP 2014-SFR1 securitization (3) 258 September 9 2019 342115 -
AH4R 2014-SFR2 securitization 442 October 9 2024 504739 507305
AH4R 2014-SFR3 securitization 440 December 9 2024 520468 523109
AH4R 2015-SFR1 securitization (4) 414 April 9 2045 546358 549121
AH4R 2015-SFR2 securitization (5) 436 October 9 2045 474532 476920
Total asset-backed securitizations 2859563 2530210
Exchangeable senior notes 325 November 15 2018 115000 -
Secured note payable 406 July 1 2019 50295 50752
Credit facility (6) 322 September 30 2018 142000 -
Total debt (7) 3166858 2580962
Unamortized discount on ARP 2014-SFR1 securitization (11293) -
Unamortized discount on exchangeable senior notes (2382) -
Equity component of exchangeable senior notes (6184) -
Deferred financing costs net (52493) (56567)
Total debt per balance sheet $ 3094506 $ 2524395
radic
$ - $ -
check -
American Homes 4 Rent
Financial Statement Footnote Support
Note 6 Debt
June 30 2016
(in thousands)
For the Three Months Ended June 30 For the Six Months Ended June 30
2016 2015 2016 2015 2013
Gross interest $ 35840 $ 23913 $ 67453 $ 44152 $ 10016 $ 31613
Capitalized interest (359) (1910) (995) (6479) (9646) (636)
Interest expense $ 35481 $ 22003 $ 66458 $ 37673 $ 370 $ 30977
radic Per IS 35481 22003 66458 37673 370
Variance - - - - -
American Homes 4 Rent
Q2 2016 Footnote Calculations
Intangibles
(in thousands)
June 30 2016 December 31 2015
Deferred leasing costs $ 12866 $ 8692 Amortization expense - YTD 63016
Deferred financing costs 12804 12454 Deferred leasing costs 4370
Intangible assets In-place lease values 14984
In-place lease values 22754 152 Trademark 330
Trademark 3100 3100 Database 150
Database 2100 2100 Amortization expense - YTD 63016 19834
53624 26498 Amortization expense - YTD 33116 7581
Less accumulated amortization (37225) (16069) Amortization expense - QTD 63016 12253
Total $ 16399 $ 10429
radic - -
19834 Amort
129287 Deprec
149121 Amortization + Depreciation
149121 Per IS
- Check
American Homes 4 Rent
Q2 2016 10-Q Footnote Calculations
Depreciation expense
(in thousands)
Depreciation expense per GL on real estate 127024
Depreciation expense per GL on non-real estate 2263
Total depreciation expense 129287
Amortization expense per GL 19834
Depreciation and amortization per IS 149121
check -
Depreciation expense on real estate 2Q16 YTD 127024
Depreciation expense on real estate 1Q16 YTD 60822
Depreciation expense on real estate 2Q16 QTD 66202
radic
Depreciation expense 1Q15 YTD
Depreciation expense 1Q15 YTD 129287
Depreciation expense for 1Q15 QTD 129287
Amercian Homes 4 Rent
Noncontrolling Interest Rollforward
As of June 30 2016
3401500 3401600 3401700 Process
Former ARPI AH4R LLC AH4R LLC via RJ AH4R Investments LLC AH4R LLC AH4R LLC AMIP Management LLC 1 Run GL querry on the non-controlling accounts
Class A Units Class A Units 35 Convertible Perpetual Preferred Units Series C Convertible Units Series D Convertible Units 50 Noncontrolling Interest Total RJ and Class A 3400800 and 3401400
Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Class C 3401500
Class D 3401600
Balances as of December 31 2015 - 0 - 0 $ - 14440670 233602684 $ 217820272 - 0 - 0 - 0 - 0 31085974 481832597 $ 393577969 4375000 65187500 $ 65187500 - 0 - 0 $ (698187) - 0 $ 675887555
Conversion of Series C convertible units to Class A units 31085974 $ 481832597 $ 396605432 - 0 $ - 0 $ - 0 (31085974) $ (481832597) $ (396605432) $ - 0
Conversion of Series E units to Series D units - 0 $ - 0 $ - 0 4375000 $ 58493750 $ 58493750 $ 58493750
Issuance of Class A units in connection with Merger 1343843 $ 18813802 $ 18813802 - 0 $ - 0 $ - 0 $ 18813802
Redemptions of Class A units (47119) $ (659666) $ (659666) $ (659666)
1Q16 Distributions paid declared amp accrued $ (2747906) - 0 $ - 0 $ - 0 $ (243338) $ (2991244)
Income (loss) allocation to non-controlling interests $ 20217 $ 729955 - 0 $ - 0 $ - 0 $ 3027463 $ 133918 $ (74913) $ 3836641
Balances as of March 31 2016 1296724 18154136 $ 18174353 45526644 715435281 $ 612407753 - 0 - 0 - 0 - 0 - 0 - 0 $ (0) 8750000 123681250 $ 123571831 - 0 - 0 $ (773099) - 0 $ 753380838
Redemptions of Class A units (12208) $ (170912) $ (170912) $ (170912)
2Q16 Distributions paid declared amp accrued $ (130505) $ (2276332) - 0 $ - 0 $ - 0 $ (306250) $ (200000) $ (2913087)
Income (loss) allocation to non-controlling interests $ (16921) $ (598896) - 0 $ - 0 $ - 0 $ - 0 $ (145482) $ (761298)
Balances as of June 30 2016 1284516 17983224 $ 17856016 45526644 715435281 $ 609532525 - 0 - 0 - 0 - 0 - 0 - 0 $ (0) 8750000 123681250 $ 123265581 - 0 - 0 $ (1118581) - 0 $ 749535540
- 0 - 0 - 0
Class A Unit - Income (loss) allocation (6-mos ended 63016)
(in thousands) Check figures
Net income (loss) YTD 63016 1275000
Net income (loss) QTD 33116 5028000
Net income (loss) from income statement - QTD 63016 (3753000) Balance sheet NCI - per FS 749535
Preferred distribution - 0 Balance sheet NCI - per RF 749535
2Q16 Net income (loss) for Class A NCI allocation (3753000) variance - 0
AH LLC Former ARPI
2Q16 Weighted-average Class A NCI 1596 045 Income statement NCI - per FS 3075
Income statement NCI - per RF 3075
2Q16 Net income attributable to Class A NCI (598896) (16921) variance - 0
radic
American Homes 4 Rent
Class A Units - Weighted Average Calculation
Beginning of period 4116
Balance sheet date 63016
Total days in period 91
AH LLC Former ARPI
2Q16 Weighted-average Class A unit NCI 1596 045
REIT Former ARPI AH LLC Total
Description of Issuance Date of Issuance Days to Weight Units Weighted Avg Units Weighted Avg Units Weighted Avg Units Weighted Avg
Opening balance - 10113 10113 91 185491294 185491294 - - 13787292 13787292 199278586 199278586
Class A common shares issued to trustees 11813 91 13000 13000 - - - - 13000 13000
Balance at 123113 185504294 185504294 - - 13787292 13787292 199291586 199291586
Balance at 33114 185504294 185504294 - - 13787292 13787292 199291586 199291586
Exercise of stock options 51914 91 6000 6000 - - - - 6000 6000
Exercise of stock options 52014 91 6750 6750 - - - - 6750 6750
Exercise of stock options 52214 91 3000 3000 - - - - 3000 3000
Exercise of stock options 52814 91 3000 3000 - - - - 3000 3000
Exercise of stock options 53014 91 3000 3000 - - - - 3000 3000
Exercise of stock options 6314 91 3000 3000 - - - - 3000 3000
Exercise of stock options 6614 91 2000 2000 - - - - 2000 2000
Exercise of stock options 61114 91 2000 2000 - - - - 2000 2000
Balance at 63014 185533044 185533044 - - 13787292 13787292 199320336 199320336
Class A common shares offering - Beazer Acquisition 7114 91 8158001 8158001 - - - - 8158001 8158001
Class A common shares offering 81314 91 15832861 15832861 - - - - 15832861 15832861
Class A common shares offering - Shoe offering 91114 91 1950000 1950000 - - - - 1950000 1950000
Balance at 93014 211473906 211473906 - - 13787292 13787292 225261198 225261198
45 property contribution from Sponsor 121214 91 - - - - 653378 653378 653378 653378
Balance at 123114 211473906 211473906 - - 14440670 14440670 225914576 225914576
RSU vesting (stock issuance) 2615 91 12470 12470 - - - - 12470 12470
RSU vesting (stock issuance) 22015 91 645 645 - - - - 645 645
RSU vesting (stock issuance) 22715 91 143 143 - - - - 143 143
Balance at 33115 211487164 211487164 - - 14440670 14440670 225927834 225927834
No second quarter activity
Balance at 63015 211487164 211487164 - - 14440670 14440670 225927834 225927834
RSU vesting (stock issuance) 8115 91 423 423 - - - - 423 423
Exercise of stock options 83115 91 5000 5000 - - - - 5000 5000
Exercise of stock options 91715 91 5000 5000 - - - - 5000 5000
Exercise of stock options 91815 91 5000 5000 - - - - 5000 5000
Repurchase of Class A common shares 92815 91 (303063) (303063) - - - - (303063) (303063)
Repurchase of Class A common shares 92915 91 (3000000) (3000000) - - - - (3000000) (3000000)
Repurchase of Class A common shares 93015 91 (103983) (103983) - - - - (103983) (103983)
Balance at 93015 208095541 208095541 - - 14440670 14440670 222536211 222536211
Exercise of stock options 102315 91 1600 1600 - - - - 1600 1600
Repurchase of Class A common shares 121115 91 (197356) (197356) - - - - (197356) (197356)
Repurchase of Class A common shares 121415 91 (29200) (29200) - - - - (29200) (29200)
Balance at 123115 207870585 207870585 - - 14440670 14440670 222311255 222311255
Repurchase of Class A common shares 11316 91 (300000) (300000) - - - - (300000) (300000)
Repurchase of Class A common shares 11416 91 (499300) (499300) - - - - (499300) (499300)
Repurchase of Class A common shares 11516 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 11916 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12016 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12116 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12216 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12516 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12616 91 (153700) (153700) - - - - (153700) (153700)
Repurchase of Class A common shares 12716 91 (53900) (53900) - - - - (53900) (53900)
RSU vesting (stock issuance) 2616 91 10506 10506 - - - - 10506 10506
RSU vesting (stock issuance) 22016 91 500 500 - - - - 500 500
ARPI merger (stock issuance) 22616 91 6590 6590 - - - - 6590 6590
Series C conversion 22816 91 - 0 - 0 - - 31085974 31085974 31085974 31085974
ARPI merger (stock issuance) 22916 91 36546170 36546170 1343843 1343843 - - 37890013 37890013
Exercise of Stock Options 3416 91 11500 11500 - - - - 11500 11500
Repurchase of Class A common shares 3716 91 (163132) (163132) - - - - (163132) (163132)
Repurchase of Class A common shares 3816 91 (203286) (203286) - - - - (203286) (203286)
Repurchase of Class A common shares 3916 91 (5516) (5516) - - - - (5516) (5516)
Repurchase of Class A common shares 31016 91 (58700) (58700) - - - - (58700) (58700)
Redemption of OP units 31016 91 7399 7399 (7437) (7437) - - (38) (38)
Exercise of Stock Options 31116 91 5500 5500 - - - - 5500 5500
Repurchase of Class A common shares 31116 91 (257777) (257777) - - - - (257777) (257777)
Repurchase of Class A common shares 31416 91 (460189) (460189) - - - - (460189) (460189)
Redemption of OP units 31416 91 10817 10817 (10817) (10817) - - - -
Repurchase of Class A common shares 31516 91 (524000) (524000) - - - - (524000) (524000)
Redemption of OP units 31516 91 - 0 - 0 (6449) (6449) - - (6449) (6449)
Repurchase of Class A common shares 31616 91 (485000) (485000) - - - - (485000) (485000)
Redemption of OP units 31616 91 - 0 - 0 (12208) (12208) - - (12208) (12208)
Exercise of Stock Options 31716 91 5500 5500 - - - - 5500 5500
Redemption of OP units 31816 91 10208 10208 (10208) (10208) - - - -
Repurchase of Class A common shares 31816 91 (32073) (32073) - - - - (32073) (32073)
Repurchase of Class A common shares 32116 91 (32730) (32730) - - - - (32730) (32730)
Repurchase of Class A common shares 32816 91 (28258) (28258) - - - - (28258) (28258)
Repurchase of Class A common shares 32916 91 (553241) (553241) - - - - (553241) (553241)
Repurchase of Class A common shares 33016 91 (553000) (553000) - - - - (553000) (553000)
Repurchase of Class A common shares 33116 91 (242981) (242981) - - - - (242981) (242981)
Balance at 33116 239554492 239554492 1296724 1296724 45526644 45526644 286377860 286377860
Repurchase of Class A common shares 4116 91 (8850) (8850) - - - - (8850) (8850)
Repurchase of Class A common shares 4716 85 (20000) (18681) - - - - (20000) (18681)
Repurchase of Class A common shares 4816 84 (386800) (357046) - - - - (386800) (357046)
Repurchase of Class A common shares 41316 79 (328079) (284816) - - - - (328079) (284816)
Redemption of OP units 41416 78 12208 10464 (12208) (10464) - - - -
Repurchase of Class A common shares 41916 73 (380255) (305040) - - - - (380255) (305040)
Repurchase of Class A common shares 42016 72 (3600) (2848) - - - - (3600) (2848)
Repurchase of Class A common shares 42616 66 (151714) (110034) - - - - (151714) (110034)
Repurchase of Class A common shares 42716 65 (5575) (3982) - - - - (5575) (3982)
Exercise of Stock Options 52716 35 10000 3846 - - - - 10000 3846
Exercise of Stock Options 6716 24 2500 659 - - - - 2500 659
RSU vesting (stock issuance) 61716 14 282 43 - - - - 282 43
Exercise of Stock Options 62016 11 8250 997 - - - - 8250 997
Exercise of Stock Options 62816 3 62500 2060 - - - - 62500 2060
Balance at 63016 238365359 238481264 1284516 1286260 45526644 45526644 285176519 285294168
radic
-
-
-
- - ERRORDIV0 ERRORDIV0 -
American Homes 4 Rent 30 MTD (do not touch)
Weighted-average unit calculation - OP units owned by former ARPI 182 YTD (do not touch)
63016 91 Current Qtr (do not touch)
Month Start Date 6116 input
Year Start Date 1116 input
Date for MTD Ended June 30 2016 QTD Ended June 30 2016 YTD Ended June 30 2016 Quarter Start Date 4116 input
Class of Units Date of Issuance WAS Calculation No of Days Wtd Avg Units No of Days Wtd Avg Units No of Days Wtd Avg Units Three Months Ended 63016 input
Year Ended 63016 input
Ending balance December 31 2015 - 0 - 0 - 0 - 0
ARPI Merger (stock issuance) A 1343843 22916 22916 30 1343843 91 1343843 123 908202
Redemption of OP units A (7437) 31016 31016 30 (7437) 91 (7437) 113 (4617)
Redemption of OP units A (10817) 31416 31416 30 (10817) 91 (10817) 109 (6478)
Redemption of OP units A (6449) 31516 31516 30 (6449) 91 (6449) 108 (3827)
Redemption of OP units A (12208) 31616 31616 30 (12208) 91 (12208) 107 (7177)
Redemption of OP units A (10208) 31816 31816 30 (10208) 91 (10208) 105 (5889)
Ending balance March 31 2016 1296724 1296724 1296724 880214
Redemption of OP units (12208) 41416 41416 30 (2012) 78 (10464) 78 (10464)
Ending balance June 30 2016 1284516 1294712 1286260 869750
- 0 - 0 - 0
Check - 0
radic
American Homes 4 Rent
Financial Statement Footnote Support
Weighted-Average Share calculations for EPS
63016
30 MTD (do not touch)
182 YTD (do not touch)
Date for MTD Ended June 30 2016 QTD Ended June 30 2016 YTD Ended June 30 2016 91 Current Qtr (do not touch)
Class of Shares Date of Issuance WAS Calculation No of Days Wtd Avg Shares No of Days Wtd Avg Shares No of Days Wtd Avg Shares
Month Start Date 6116 input
Year Start Date 1116 input
Initial formation (101912) A 1000 101912 1113 30 1000 91 1000 182 1000 Quarter Start Date 4116 input
367 Property Contribution (123112) A 3300000 123112 1113 30 3300000 91 3300000 182 3300000 Three Months Ended 63016 input
367 Contribution of properties (123112) B 667 123112 1113 30 667 91 667 182 667 Year Ended 63016 input
Private placement (112112) A 34640899 112112 112112 30 34640899 91 34640899 182 34640899
Over allotment (121012) A 719999 121012 121012 30 719999 91 719999 182 719999
Management A 2100 122712 122712 30 2100 91 2100 182 2100
Beginning balance January 1 2013 38664665 38664665 38664665 38664665
2770 Property Contribution B 634408 22813 22813 30 634408 91 634408 182 634408
2013 Offering A 46718750 31413 31413 30 46718750 91 46718750 182 46718750
Ending balance March 31 2013 86017823 86017823 86017823 86017823
Stock Grant to Trustees A 6500 4413 4413 30 6500 91 6500 182 6500
Issuance of shares to AH4R LLC in settlement of subscription agreement A 434783 41613 41613 30 434783 91 434783 182 434783
Alaska Transaction Exchange A 43609394 61113 61113 30 43609394 91 43609394 182 43609394
Ending balance June 30 2013 130068500 130068500 130068500 130068500
Initial Public Offering of Class A common shares A 44117647 8613 8613 30 44117647 91 44117647 182 44117647
Concurrent private placement of Class A common shares A 4687500 8613 8613 30 4687500 91 4687500 182 4687500
Underwriters option to purchase Class A common shares A 6617647 82113 82113 30 6617647 91 6617647 182 6617647
Ending balance September 30 2013 185491294 185491294 185491294 185491294
Stock Grant to Trustees A 13000 11713 11713 30 13000 91 13000 182 13000
Ending balance December 31 2013 185504294 185504294 185504294 185504294
Ending balance March 31 2014 185504294 185504294 185504294 185504294
Exercise of stock options A 6000 51914 51914 30 6000 91 6000 182 6000
Exercise of stock options A 6750 52014 52014 30 6750 91 6750 182 6750
Exercise of stock options A 3000 52214 52214 30 3000 91 3000 182 3000
Exercise of stock options A 3000 52814 52814 30 3000 91 3000 182 3000
Exercise of stock options A 3000 53014 53014 30 3000 91 3000 182 3000
Exercise of stock options A 3000 6314 6314 30 3000 91 3000 182 3000
Exercise of stock options A 2000 6614 6614 30 2000 91 2000 182 2000
Exercise of stock options A 2000 61114 61114 30 2000 91 2000 182 2000
Ending balance June 30 2014 185533044 185533044 185533044 185533044
Issuance of Class A common shares A 8158001 7114 7114 30 8158001 91 8158001 182 8158001
Issuance of Class A common shares A 15832861 81314 81314 30 15832861 91 15832861 182 15832861
Class A common shares offering - Shoe offering A 1950000 91114 91114 30 1950000 91 1950000 182 1950000
Ending balance September 30 2014 211473906 211473906 211473906 211473906
No fourth quarter activity
Ending balance December 31 2014 211473906 211473906 211473906 211473906
RSU vesting (stock issuance) A 12470 2615 2615 30 12470 91 12470 182 12470
RSU vesting (stock issuance) A 645 22015 22015 30 645 91 645 182 645
RSU vesting (stock issuance) A 143 22715 22715 30 143 91 143 182 143
Ending balance March 31 2015 211487164 211487164 211487164 211487164
No second quarter activity
Ending balance June 30 2015 211487164 211487164 211487164 211487164
RSU vesting (stock issuance) A 423 8115 8115 30 423 91 423 182 423
Exercise of stock options A 5000 83115 83115 30 5000 91 5000 182 5000
Exercise of stock options A 5000 91715 91715 30 5000 91 5000 182 5000
Exercise of stock options A 5000 91815 91815 30 5000 91 5000 182 5000
Repurchase of Class A common shares A (303063) 92815 92815 30 (303063) 91 (303063) 182 (303063)
Repurchase of Class A common shares A (3000000) 92915 92915 30 (3000000) 91 (3000000) 182 (3000000)
Repurchase of Class A common shares A (103983) 93015 93015 30 (103983) 91 (103983) 182 (103983)
Ending balance September 30 2015 208095541 208095541 208095541 208095541
Exercise of stock options A 1600 102315 102315 30 1600 91 1600 182 1600
Repurchase of Class A common shares A (197356) 121115 121115 30 (197356) 91 (197356) 182 (197356)
Repurchase of Class A common shares A (29200) 121415 121415 30 (29200) 91 (29200) 182 (29200)
Ending balance December 31 2015 207870585 207870585 207870585 207870585
Repurchase of Class A common shares A (300000) 11316 11316 30 (300000) 91 (300000) 170 (280220)
Repurchase of Class A common shares A (499300) 11416 11416 30 (499300) 91 (499300) 169 (463636)
Repurchase of Class A common shares A (54000) 11516 11516 30 (54000) 91 (54000) 168 (49846)
Repurchase of Class A common shares A (54000) 11916 11916 30 (54000) 91 (54000) 164 (48659)
Repurchase of Class A common shares A (54000) 12016 12016 30 (54000) 91 (54000) 163 (48363)
Repurchase of Class A common shares A (54000) 12116 12116 30 (54000) 91 (54000) 162 (48066)
Repurchase of Class A common shares A (54000) 12216 12216 30 (54000) 91 (54000) 161 (47769)
Repurchase of Class A common shares A (54000) 12516 12516 30 (54000) 91 (54000) 158 (46879)
Repurchase of Class A common shares A (153700) 12616 12616 30 (153700) 91 (153700) 157 (132587)
Repurchase of Class A common shares A (53900) 12716 12716 30 (53900) 91 (53900) 156 (46200)
RSU vesting (stock issuance) A 10506 2616 2616 30 10506 91 10506 146 8428
RSU vesting (stock issuance) A 500 22016 22016 30 500 91 500 132 363 - 0
RSU vesting (stock issuance) A 6590 22616 22616 30 6590 91 6590 126 4562
ARPI merger (stock issuance) A 36546170 22916 22916 30 36546170 91 36546170 123 24698785
Exercise of Stock Options A 11500 3416 3416 30 11500 91 11500 119 7519
Repurchase of Class A common shares A (163132) 3716 3716 30 (163132) 91 (163132) 116 (103974)
Repurchase of Class A common shares A (203286) 3816 3816 30 (203286) 91 (203286) 115 (128450)
Repurchase of Class A common shares A (5516) 3916 3916 30 (5516) 91 (5516) 114 (3455)
Repurchase of Class A common shares A (58700) 31016 31016 30 (58700) 91 (58700) 113 (36446)
Redemption of OP units A 7399 31016 31016 30 7399 91 7399 113 4594
Exercise of Stock Options A 5500 31116 31116 30 5500 91 5500 112 3385
Repurchase of Class A common shares A (257777) 31116 31116 30 (257777) 91 (257777) 112 (158632)
Repurchase of Class A common shares A (460189) 31416 31416 30 (460189) 91 (460189) 109 (275608)
Redemption of OP units A 10817 31416 31416 30 10817 91 10817 109 6478
Repurchase of Class A common shares A (524000) 31516 31516 30 (524000) 91 (524000) 108 (310945)
Repurchase of Class A common shares A (485000) 31616 31616 30 (485000) 91 (485000) 107 (285137)
Exercise of Stock Options A 5500 31716 31716 30 5500 91 5500 106 3203
Redemption of OP units A 10208 31816 31816 30 10208 91 10208 105 5889
Repurchase of Class A common shares A (32073) 31816 31816 30 (32073) 91 (32073) 105 (18504)
Repurchase of Class A common shares A (32730) 32116 32116 30 (32730) 91 (32730) 102 (18343)
Repurchase of Class A common shares A (28258) 32816 32816 30 (28258) 91 (28258) 95 (14750)
Repurchase of Class A common shares A (553241) 32916 32916 30 (553241) 91 (553241) 94 (285740)
Repurchase of Class A common shares A (553000) 33016 33016 30 (553000) 91 (553000) 93 (282577)
Repurchase of Class A common shares A (242981) 33116 33116 30 (242981) 91 (242981) 92 (122826)
Ending balance March 31 2016 239554492 239554492 239554492 229356179
Repurchase of Class A common shares A (8850) 4116 4116 30 (8850) 91 (8850) 91 (4425)
Repurchase of Class A common shares A (20000) 4716 4716 30 (20000) 85 (18681) 85 (9341)
Repurchase of Class A common shares A (386800) 4816 4816 30 (386800) 84 (357046) 84 (178523)
Repurchase of Class A common shares A (328079) 41316 41316 30 (328079) 79 (284816) 79 (142408)
Redemption of OP units A 12208 41416 41416 30 12208 78 10464 78 5232
Repurchase of Class A common shares A (380255) 41916 41916 30 (380255) 73 (305040) 73 (152520)
Repurchase of Class A common shares A (3600) 42016 42016 30 (3600) 72 (2848) 72 (1424)
Repurchase of Class A common shares A (151714) 42616 42616 30 (151714) 66 (110034) 66 (55017)
Repurchase of Class A common shares A (5575) 42716 42716 30 (5575) 65 (3982) 65 (1991)
Exercise of Stock Options A 10000 52716 52716 30 10000 35 3846 35 1923
Exercise of Stock Options A 2500 6716 6716 24 2000 24 659 24 330
RSU vesting (stock issuance) A 282 61716 61716 14 132 14 43 14 22
Exercise of Stock Options A 8250 62016 62016 11 3025 11 997 11 499
Exercise of Stock Options A 62500 62816 62816 3 6250 3 2060 3 1030
Ending balance June 30 2016 238365359 238303234 238481265 228819566
- 0 ERRORDIV0 ERRORDIV0 - 0
Check - 0
Shares and units for dilution consideration
As of June 30 2016
OP Units and PS 92571160
Warrant -
Stock options 3006000
RSUs 134950
95712110
radic
Class A Class B Class A Preferred Class C Class D Class E Series A Pref Series B Pref Series C Pref Series D Pref Series E Pref Total
Shares Shares Units Units Units Units Units Units Units Units Units Units Units
Formation Initial shareunit issuance 10232012 1000 - 0 1 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1
Private placement 11142012 34000000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Private placement - shoe 11142012 1360898 - 0 - 0 - 0 - 0 - 0 - 0
Warrant issuance 11142012 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Issuance of shares to officers 12282012 2100 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
AH LLC contribution - 367 properties 12312012 3300000 667 32667 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 32667
RJ 1 contribution 12312012 - 0 - 0 - 0 653492 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 653492
AH LLC contribution - 2770 properties 02282013 - 0 634408 - 0 - 0 31085974 - 0 - 0 - 0 - 0 - 0 - 0 - 0 31085974
Issuance of shares to trustees 03252013 6500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Private placement follow on 03072013 40625000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Private placement follow on shoe 03072013 6093750 - 0 - 0 - 0 - 0 - 0 - 0
Warrant exercised 04162013 434783 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RJ 2 contribution 06142013 - 0 - 0 705167 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 705167
Conversion of preferred units (RJ1) 06142013 - 0 - 0 653492 (653492) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Management Internalization 06102013 - 0 - 0 - 0 - 0 - 0 4375000 4375000 - 0 - 0 - 0 - 0 - 0 8750000
Alaska Venture Acquisition 06112013 43609394 - 0 12395965 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 12395965
Initial Public Offering of Class A common shares 08062013 44117647 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Concurrent private placement of Class A common shares 08062013 4687500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Underwriters option to purchase Class A common shares 08212013 6617647 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A participating preferred shares 10252013 - 0 - 0 - 0 - 0 - 0 - 0 - 0 4400000 - 0 - 0 - 0 - 0 4400000
Series A participating preferred shares - Shoe 11082013 - 0 - 0 - 0 - 0 - 0 - 0 - 0 660000 - 0 - 0 - 0 - 0 660000
Class A Common Shares issued to trustees 11082013 13000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series B participating preferred shares 12302013 - 0 - 0 - 0 - 0 - 0 - 0 - 0 4000000 - 0 - 0 - 0 4000000
Series B participating preferred shares - Shoe 01232014 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 400000 - 0 - 0 - 0 400000
Series C participating preferred shares 05022014 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 7600000 - 0 - 0 7600000
Option exercised 05192014 6000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05202014 6750 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05222014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05282014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05302014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 06032014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 06062014 2000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 06112014 2000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A Common stock 08072014 8158001 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A Common stock 08132014 15832861 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A Common stock - Shoe Offering 09112014 1950000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
AH LLC contribution - 45 properties 12122014 - 0 - 0 653378 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 653378
RSUs vested (shares issued) 02062015 12470 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSUs vested (shares issued) 02202015 645 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSUs vested (shares issued) 02272015 143 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSUs vested (shares issued) 08012015 423 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 08312015 5000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 09172015 5000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 09182015 5000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 09282015 (303063) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 09292015 (3000000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 09302015 (103983) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 10232015 1600 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12112015 (197356) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12142015 (29200) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11316 (300000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11416 (499300) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11516 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11916 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12016 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12116 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12216 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12516 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12616 (153700) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12716 (53900) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 2616 10506 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 22016 500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 22616 6590 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series C conversion 22816 - 0 - 0 31085974 - 0 (31085974) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series E conversion 22816 - 0 - 0 - 0 - 0 - 0 4375000 (4375000) - 0 - 0 - 0 - 0 - 0 - 0
ARPI merger (stock issuance) 22916 36546170 - 0 1343843 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1343843
Exercise of Stock Options 3416 11500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 3716 (163132) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 3816 (203286) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 3916 (5516) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31016 (58700) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31016 7399 - 0 (7437) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (7437)
Exercise of Stock Options 31116 5500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31116 (257777) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31416 (460189) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31416 10817 - 0 (10817) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (10817)
Redemption of OP units 31516 - 0 - 0 (6449) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (6449)
Repurchase of Class A common shares 31516 (524000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31616 (485000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31616 - 0 - 0 (12208) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (12208)
Exercise of Stock Options 31716 5500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31816 10208 - 0 (10208) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (10208)
Repurchase of Class A common shares 31816 (32073) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 32116 (32730) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 32816 (28258) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 32916 (553241) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 33016 (553000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 33116 (242981) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 4116 (8850) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 4716 (20000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 4816 (386800) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 41316 (328079) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 41416 12208 - 0 (12208) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (12208)
Repurchase of Class A common shares 41916 (380255) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 42016 (3600) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 42616 (151714) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 42716 (5575) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series D Perpetual Preferred Offering 52416 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 9000000 - 0 9000000
Series D Perpetual Preferred Offering - shoe 52416 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1350000 - 0 1350000
Series D Perpetual Preferred Offering - private placement 52416 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 400000 - 0 400000
Exercise of Stock Options 52716 10000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Exercise of Stock Options 6716 2500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 61716 282 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Exercise of Stock Options 62016 8250 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Exercise of Stock Options 62816 62500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series E Perpetual Preferred Offering 62916 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 8000000 8000000
Series E Perpetual Preferred Offering - shoe 62916 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1200000 1200000
237730284 635075 46811160 - 0 - 0 8750000 - 0 5060000 4400000 7600000 10750000 9200000 92571160
- 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
American Homes 4 Rent
Fully-diluted AH LLC Ownership Calculation
June 30 2016
AH LLC All SharesUnits
Class A Class B Preferred Class A Class C Class D Class E Class A Class B Preferred Class A Class C Class D Class E
Shares Shares Shares Units Units Units Units Total Shares Shares Shares Units Units Units Units Total
June 30 2013 3735783 635075 - 0 13787292 31085974 4375000 4375000 57994124 129433425 635075 - 0 13787292 31085974 4375000 4375000 183691766 - 0
29 1000 00 1000 1000 1000 1000 316
September 30 2013 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184856219 635075 - 0 13787292 31085974 4375000 4375000 239114560 - 0
37 1000 00 1000 1000 1000 1000 256
December 31 2013 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184869219 635075 9060000 13787292 31085974 4375000 4375000 248187560 - 0
37 1000 00 1000 1000 1000 1000 246
March 31 2014 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184869219 635075 9460000 13787292 31085974 4375000 4375000 248587560 - 0
37 1000 00 1000 1000 1000 1000 246
June 30 2014 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184897969 635075 17060000 13787292 31085974 4375000 4375000 256216310 - 0
37 1000 00 1000 1000 1000 1000 239
September 30 2014 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 210838831 635075 17060000 13787292 31085974 4375000 4375000 282157172
33 1000 00 1000 1000 1000 1000 217
December 31 2014 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 210838831 635075 17060000 14440670 31085974 4375000 4375000 282810550
33 1000 00 1000 1000 1000 1000 218
March 31 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 210852089 635075 17060000 14440670 31085974 4375000 4375000 282823808
33 1000 00 1000 1000 1000 1000 218
June 30 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 210852089 635075 17060000 14440670 31085974 4375000 4375000 282823808 - 0
33 1000 00 1000 1000 1000 1000 218
September 30 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 207460466 635075 17060000 14440670 31085974 4375000 4375000 279432185 - 0
33 1000 00 1000 1000 1000 1000 221
December 31 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 207235510 635075 17060000 14440670 31085974 4375000 4375000 279207229 - 0
33 1000 00 1000 1000 1000 1000 221
March 31 2016 6860783 635075 - 0 45526644 - 0 8750000 - 0 61772502 238919417 635075 17060000 46823368 - 0 8750000 - 0 312187860 - 0
29 1000 00 972 00 1000 00 198
June 30 2016 6860783 635075 - 0 45526644 - 0 8750000 - 0 61772502 237730284 635075 37010000 46811160 - 0 8750000 - 0 330936519 - 0
29 1000 00 973 00 1000 00 187
radic
- 0
- 0
- 0
- 0 - 0 ERRORDIV0 ERRORDIV0 - 0
American Homes 4 Rent
Operating Partnership Units Log
REIT Former ARPI AH4R LLC TOTAL UNITS PERCENTAGE OF CUMULATIVE UNITS ISSUED HELD BY 5 SERIES A PARTICIPATING PREFERRED UNITS 5 SERIES B PARTICIPATING PREFERRED UNITS 5 SERIES C PARTICIPATING PREFERRED UNITS 65 SERIES D PARTICIPATING PREFERRED UNITS 635 SERIES E PARTICIPATING PREFERRED UNITS 35 CONVERTIBLE PREFERRED OP UNITS 39 Series C Convertible UNITS Series D amp E UNITS
DATE DESCRIPTION CURRENT CUMULATIVE CURRENT CUMULATIVE CURRENT CUMULATIVE TOTAL CURRENT UNITS ISSUED CUMULATIVE UNITS ISSUED REIT Former ARPI AH4R LLC REIT CUMULATIVE REIT CUMULATIVE REIT CUMULATIVE REIT CUMULATIVE REIT CUMULATIVE AH4R LLC CUMULATIVE AH4R LLC CUMULATIVE AH4R LLC CUMULATIVE
102212 Formation of REIT LP 1000 1000 1 1 1001 1001 9990 010 - 0 - 0 - 0 - 0 - 0 - 0
112113 Units issued first closing 34640899 34641899 1 34640899 34641900 10000 000 - 0 - 0 - 0 - 0 - 0 - 0
121013 Units issued second closing 719999 35361898 1 719999 35361899 10000 000 - 0 - 0 - 0 - 0 - 0 - 0
122713 Shares issued to management (100 shareholders) 2100 35363998 1 2100 35363999 10000 000 - 0 - 0 - 0 - 0 - 0 - 0
123112 Contribution Agreement (Cash) 35363998 32667 32668 32667 35396666 9991 009 - 0 - 0 - 0 - 0 - 0 - 0
123112 Contribution Agreement (Class B Shares) 667 35364665 32668 667 35397333 9991 009 - 0 - 0 - 0 - 0 - 0 - 0
123112 Contribution Agreement (Class A shares) 3300000 38664665 32668 3300000 38697333 9992 008 - 0 - 0 - 0 - 0 - 0 - 0
123112 RJ1 transaction issuance of preferred units 38664665 32668 - 0 38697333 9992 008 653492 653492 - 0 - 0 - 0 - 0
22813 2770 Property Contribution (Series C Convertible to AH4R LLC) 38664665 32668 - 0 38697333 9992 008 653492 31085974 31085974 - 0 - 0
22813 2770 Property Contribution (REGULAR OP UNITS TO REIT) 634408 39299073 32668 634408 39331741 9992 008 653492 31085974 - 0 - 0
31413 2013 OFFERING UNITS ISSUED TO REIT 46718750 86017823 32668 46718750 86050491 9996 004 653492 31085974 - 0 - 0
4413 UNITS ISSUED FOR REIT SHARES TO TRUSTEE 6500 86024323 32668 6500 86056991 9996 004 653492 31085974 - 0 - 0
41613 ISSUANCE OF SHARES TO AH4R LLC IN SETTLEMENT OF SUBSCRIPTION AGREEMENT 434783 86459106 32668 434783 86491774 9996 004 653492 31085974 - 0
61013 Internalization of Advisor amp Management Holdings LLC 86459106 32668 - 0 86491774 9996 004 653492 31085974 8750000 8750000
61113 Alaska Transaction 43609394 130068500 12395965 12428633 56005359 142497133 9128 872 653492 31085974 8750000
61413 RJ2 transaction issuance of Class A Units 130068500 705167 13133800 705167 143202300 9083 917 - 0 653492 31085974 - 0 8750000
61413 RJ1 conversion of preferred units to Class A Units 130068500 653492 13787292 653492 143855792 9042 958 (653492) - 0 31085974 - 0 8750000
Unit Count at June 30 2013 130068500 13787292 143855792 9042 958 - 0 - 0 - 0 31085974 8750000 183691766
8613 Initial Public Offering 44117647 174186147 13787292 44117647 187973439 9267 733 - 0 31085974 8750000
8613 Concurrent Private Placement - AH LLC 3125000 177311147 13787292 3125000 191098439 9279 721 - 0 31085974 8750000
8613 Concurrent Private Placement - APFC 1562500 178873647 13787292 1562500 192660939 9284 716 - 0 31085974 8750000
82113 Over-allotment option exercise 6617647 185491294 13787292 6617647 199278586 9308 692 - 0 31085974 8750000
Unit Count at September 30 2013 185491294 13787292 199278586 9308 692 - 0 - 0 - 0 31085974 8750000 239114560
102513 Series A Preferred Offering 185491294 13787292 - 0 199278586 9308 692 4400000 4400000 - 0 - 0 31085974 8750000
11813 Series A Preferred Offering - shoe 185491294 13787292 - 0 199278586 9308 692 660000 5060000 - 0 - 0 31085974 8750000
11813 Class A common shares issued to trustees 13000 185504294 13787292 13000 199291586 9308 692 5060000 - 0 - 0 31085974 8750000
123013 Series B Preferred Offering 185504294 13787292 - 0 199291586 9308 692 5060000 4000000 4000000 - 0 31085974 8750000
Unit Count at December 31 2013 185504294 13787292 199291586 9308 692 5060000 4000000 - 0 31085974 8750000 248187560
12314 Series B Preferred Offering - shoe 185504294 13787292 - 0 199291586 9308 692 - 0 5060000 400000 4400000 - 0 31085974 8750000
Unit Count at March 31 2014 185504294 13787292 199291586 9308 692 5060000 4400000 - 0 31085974 8750000 248587560
5214 Series C Preferred Offering 185504294 13787292 - 0 199291586 9308 692 5060000 4400000 7600000 7600000 - 0 - 0 - 0 - 0 31085974 8750000
51914 Exercise of Stock Options 6000 185510294 13787292 6000 199297586 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
52014 Exercise of Stock Options 6750 185517044 13787292 6750 199304336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
52214 Exercise of Stock Options 3000 185520044 13787292 3000 199307336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
52814 Exercise of Stock Options 3000 185523044 13787292 3000 199310336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
53014 Exercise of Stock Options 3000 185526044 13787292 3000 199313336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
6314 Exercise of Stock Options 3000 185529044 13787292 3000 199316336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
6614 Exercise of Stock Options 2000 185531044 13787292 2000 199318336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
61114 Exercise of Stock Options 2000 185533044 13787292 2000 199320336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
Unit Count at June 30 2014 185533044 13787292 199320336 9308 692 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 256216310
7114 Class A common shares offering - Beazer Acquisition 8158001 193691045 13787292 8158001 207478337 9335 665 5060000 4400000 7600000 - 0 - 0 31085974 8750000
81314 Class A common shares offering 15832861 209523906 13787292 15832861 223311198 9383 617 5060000 4400000 7600000 - 0 - 0 31085974 8750000
91114 Class A common shares offering - Shoe offering 1950000 211473906 13787292 1950000 225261198 9388 612 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at September 30 2014 211473906 13787292 225261198 9388 612 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282157172
121214 45 Property Contribution 211473906 653378 14440670 653378 225914576 9361 639 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at December 31 2014 211473906 14440670 225914576 936 64 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282810550
2615 RSU vesting (stock issuance) 12470 211486376 14440670 12470 225927046 936 64 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22015 RSU vesting (stock issuance) 645 211487021 14440670 645 225927691 936 64 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22715 RSU vesting (stock issuance) 143 211487164 14440670 143 225927834 936 64 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at March 31 2015 211487164 14440670 225927834 936 64 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282823808
No second quarter activity
Unit Count at June 30 2015 211487164 14440670 225927834 936 64 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282823808
8115 RSU vesting (stock issuance) 423 211487587 14440670 423 225928257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
83115 Exercise of Stock Options 5000 211492587 14440670 5000 225933257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
91715 Exercise of Stock Options 5000 211497587 14440670 5000 225938257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
91815 Exercise of Stock Options 5000 211502587 14440670 5000 225943257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
92815 Repurchase of Class A common shares (303063) 211199524 14440670 (303063) 225640194 5060000 4400000 7600000 - 0 - 0 31085974 8750000
92915 Repurchase of Class A common shares (3000000) 208199524 14440670 (3000000) 222640194 5060000 4400000 7600000 - 0 - 0 31085974 8750000
93015 Repurchase of Class A common shares (103983) 208095541 14440670 (103983) 222536211 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at September 30 2015 208095541 14440670 222536211 935 65 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 279432185
102315 Exercise of Stock Options 1600 208097141 14440670 1600 222537811 5060000 4400000 7600000 - 0 - 0 31085974 8750000
121115 Repurchase of Class A common shares (197356) 207899785 14440670 (197356) 222340455 5060000 4400000 7600000 - 0 - 0 31085974 8750000
121415 Repurchase of Class A common shares (29200) 207870585 14440670 (29200) 222311255 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at December 31 2015 207870585 14440670 222311255 935 65 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 279207229
11316 Repurchase of Class A common shares (300000) 207570585 14440670 (300000) 222011255 5060000 4400000 7600000 - 0 - 0 31085974 8750000
11416 Repurchase of Class A common shares (499300) 207071285 14440670 (499300) 221511955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
11516 Repurchase of Class A common shares (54000) 207017285 14440670 (54000) 221457955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
11916 Repurchase of Class A common shares (54000) 206963285 14440670 (54000) 221403955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12016 Repurchase of Class A common shares (54000) 206909285 14440670 (54000) 221349955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12116 Repurchase of Class A common shares (54000) 206855285 14440670 (54000) 221295955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12216 Repurchase of Class A common shares (54000) 206801285 14440670 (54000) 221241955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12516 Repurchase of Class A common shares (54000) 206747285 14440670 (54000) 221187955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12616 Repurchase of Class A common shares (153700) 206593585 14440670 (153700) 221034255 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12716 Repurchase of Class A common shares (53900) 206539685 14440670 (53900) 220980355 5060000 4400000 7600000 - 0 - 0 31085974 8750000
2616 RSU vesting (stock issuance) 10506 206550191 14440670 10506 220990861 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22016 RSU vesting (stock issuance) 500 206550691 14440670 500 220991361 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22616 RSU vesting (stock issuance) 6590 206557281 14440670 6590 220997951 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22816 Series C conversion - 0 206557281 31085974 45526644 31085974 252083925 5060000 4400000 7600000 - 0 - 0 (31085974) - 0 8750000
22916 Series E conversion into Series D units - 0 206557281 45526644 - 0 252083925 5060000 4400000 7600000 - 0 - 0 - 0 8750000
22916 ARPI Merger (stock issuance) 36546170 243103451 1343843 1343843 45526644 37890013 289973938 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3416 Exercise of Stock Options 11500 243114951 1343843 45526644 11500 289985438 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3716 Repurchase of Class A common shares (163132) 242951819 1343843 45526644 (163132) 289822306 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3816 Repurchase of Class A common shares (203286) 242748533 1343843 45526644 (203286) 289619020 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3916 Repurchase of Class A common shares (5516) 242743017 1343843 45526644 (5516) 289613504 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31016 Repurchase of Class A common shares (58700) 242684317 1343843 45526644 (58700) 289554804 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31016 Redemption of OP units 7399 242691716 (7437) 1336406 45526644 (38) 289554766 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31116 Exercise of stock options 5500 242697216 1336406 45526644 5500 289560266 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31116 Repurchase of Class A common shares (257777) 242439439 1336406 45526644 (257777) 289302489 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31416 Repurchase of Class A common shares (460189) 241979250 1336406 45526644 (460189) 288842300 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31416 Redemption of OP units 10817 241990067 (10817) 1325589 45526644 - 0 288842300 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31516 Redemption of OP units - 0 241990067 (6449) 1319140 45526644 (6449) 288835851 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31516 Repurchase of Class A common shares (524000) 241466067 1319140 45526644 (524000) 288311851 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31616 Repurchase of Class A common shares (485000) 240981067 1319140 45526644 (485000) 287826851 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31616 Redemption of OP units - 0 240981067 (12208) 1306932 45526644 (12208) 287814643 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31716 Exercise of stock options 5500 240986567 1306932 45526644 5500 287820143 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31816 Redemption of OP units 10208 240996775 (10208) 1296724 45526644 - 0 287820143 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31816 Repurchase of Class A common shares (32073) 240964702 1296724 45526644 (32073) 287788070 5060000 4400000 7600000 - 0 - 0 - 0 8750000
32116 Repurchase of Class A common shares (32730) 240931972 1296724 45526644 (32730) 287755340 5060000 4400000 7600000 - 0 - 0 - 0 8750000
32816 Repurchase of Class A common shares (28258) 240903714 1296724 45526644 (28258) 287727082 5060000 4400000 7600000 - 0 - 0 - 0 8750000
32916 Repurchase of Class A common shares (553241) 240350473 1296724 45526644 (553241) 287173841 5060000 4400000 7600000 - 0 - 0 - 0 8750000
33016 Repurchase of Class A common shares (553000) 239797473 1296724 45526644 (553000) 286620841 5060000 4400000 7600000 - 0 - 0 - 0 8750000
33116 Repurchase of Class A common shares (242981) 239554492 1296724 45526644 (242981) 286377860 5060000 4400000 7600000 - 0 - 0 - 0 8750000
Unit Count at March 31 2016 239554492 1296724 45526644 286377860 8365 045 1590 5060000 4400000 7600000 - 0 - 0 - 0 - 0 8750000 312187860
4116 Repurchase of Class A common shares (8850) 239545642 1296724 45526644 (8850) 286369010 5060000 4400000 7600000 - 0 - 0 - 0 8750000
4716 Repurchase of Class A common shares (20000) 239525642 1296724 45526644 (20000) 286349010 5060000 4400000 7600000 - 0 - 0 - 0 8750000
4816 Repurchase of Class A common shares (386800) 239138842 1296724 45526644 (386800) 285962210 5060000 4400000 7600000 - 0 - 0 - 0 8750000
41316 Repurchase of Class A common shares (328079) 238810763 1296724 45526644 (328079) 285634131 5060000 4400000 7600000 - 0 - 0 - 0 8750000
41416 Redemption of OP units 12208 238822971 (12208) 1284516 45526644 - 0 285634131 5060000 4400000 7600000 - 0 - 0 - 0 8750000
41916 Repurchase of Class A common shares (380255) 238442716 1284516 45526644 (380255) 285253876 5060000 4400000 7600000 - 0 - 0 - 0 8750000
42016 Repurchase of Class A common shares (3600) 238439116 1284516 45526644 (3600) 285250276 5060000 4400000 7600000 - 0 - 0 - 0 8750000
42616 Repurchase of Class A common shares (151714) 238287402 1284516 45526644 (151714) 285098562 5060000 4400000 7600000 - 0 - 0 - 0 8750000
42716 Repurchase of Class A common shares (5575) 238281827 1284516 45526644 (5575) 285092987 5060000 4400000 7600000 - 0 - 0 - 0 8750000
52416 Series D Perpetual Preferred Offering - 0 238281827 1284516 45526644 - 0 285092987 5060000 4400000 7600000 9000000 9000000 - 0 - 0 - 0 8750000
52416 Series D Perpetual Preferred Offering - shoe - 0 238281827 1284516 45526644 - 0 285092987 5060000 4400000 7600000 1350000 10350000 - 0 - 0 - 0 8750000
52416 Series D Perpetual Preferred Offering - private placement - 0 238281827 1284516 45526644 - 0 285092987 5060000 4400000 7600000 400000 10750000 - 0 - 0 - 0 8750000
52716 Exercise of Stock Options 10000 238291827 1284516 45526644 10000 285102987 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
6716 Exercise of Stock Options 2500 238294327 1284516 45526644 2500 285105487 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
61716 RSU vesting (stock issuance) 282 238294609 1284516 45526644 282 285105769 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
62016 Exercise of Stock Options 8250 238302859 1284516 45526644 8250 285114019 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
62816 Exercise of Stock Options 62500 238365359 1284516 45526644 62500 285176519 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
62916 Series E Perpetual Preferred Offering - 0 238365359 1284516 45526644 - 0 285176519 5060000 4400000 7600000 - 0 10750000 8000000 8000000 - 0 8750000
63016 Series E Perpetual Preferred Offering - shoe - 0 238365359 1284516 45526644 - 0 285176519 5060000 4400000 7600000 - 0 10750000 1200000 9200000 - 0 8750000
Unit Count at June 30 2016 238365359 1284516 45526644 285176519 8359 045 1596 5060000 4400000 7600000 10750000 9200000 - 0 - 0 8750000 330936519
radic
American Homes 4 Rent
Common Share Log
Former ARPI CLASS A COMMON SHARES CLASS B COMMON SHARES SERIES A PREFERRED SHARES SERIES B PREFERRED SHARES SERIES C PREFERRED SHARES SERIES D PREFERRED SHARES SERIES E PREFERRED SHARES
DATE EVENT AH LLC Current Cumulative Current Cumulative Current Cumulative Current Cumulative Current Cumulative Current Cumulative Current Cumulative
101912 AH4R REIT FORMATION (1) - 0 - 0 - 0 - 0 - 0 - 0 - 0
102212 AH4R LP FORMATION (ALSO REFERRED TO AS OP) (2) - 0 - 0 - 0 - 0 - 0 - 0 - 0
102212 REIT CONTRIBUTES ITS INITIAL CASH TO THE LP Y 1000 1000 - 0 - 0 - 0 - 0 - 0 - 0
102212 LLC CONTRIBUTES ITS INITIAL CASH TO THE LP 1000 - 0 - 0 - 0 - 0 - 0 - 0
112112 SHARESUNITS ISSUED BY REIT IN INITIAL OFFERING 34640899 34641899 - 0 - 0 - 0 - 0 - 0 - 0
121012 SHARESUNITS ISSUED BY REIT IN SHOE OFFERING 719999 35361898 - 0 - 0 - 0 - 0 - 0 - 0
122712 REIT ISSUED SHARES TO MANAGEMENT AND SPOUSES (100 SHAREHOLDER REQUIREMENT) 2100 35363998 - 0 - 0 - 0 - 0 - 0 - 0
122712 OP UNITS ISSUED TO REIT (4) 35363998 - 0 - 0 - 0 - 0 - 0 - 0
123112 CLASS A SHARES ISSUED TO AH4R LLC RELATED TO CONTRIBUTION AGREEMENT Y 3300000 38663998 - 0 - 0 - 0 - 0 - 0 - 0
123112 REIT IS ISSUED UNITS RELATED TO CLASS A SHARES 38663998 - 0 - 0 - 0 - 0 - 0 - 0
123112 CLASS B SHARES ISSUED TO AH4R LLC RELATED TO CONTRIBUTION AGREEMENT (6) 38663998 667 667 - 0 - 0 - 0 - 0 - 0
123112 REIT IS ISSUED UNITS RELATED TO CLASS B SHARES (NOTE REGULAR UNITS) 38663998 667 - 0 - 0 - 0 - 0 - 0
123112 OP UNITS ISSUED TO AH4R LLC RELATED TO CONTRIBUTION AGREEMENT 38663998 667 - 0 - 0 - 0 - 0 - 0
123112 OP ISSUES 35 CONVERTIBLE PREFERRED UNITS TO AH4R LLC (5) 38663998 667 - 0 - 0 - 0 - 0 - 0
22813 REIT ISSUED CLASS B SHARES TO AH4R LLC (2770 PROPERTY CONTRIBUTION) 38663998 634408 635075 - 0 - 0 - 0 - 0 - 0
31413 2013 OFFERING CLASS A SHARES ISSUED 46718750 85382748 635075 - 0 - 0 - 0 - 0 - 0
4413 REIT ISSUED TO TRUSTEES 6500 85389248 635075 - 0 - 0 - 0 - 0 - 0
41613 ISSUANCE OF SHARES TO AH4R LLC IN SETTLEMENT OF SUBSCRIPTION AGREEMENT Y 434783 85824031 635075 - 0 - 0 - 0 - 0 - 0
61113 Alaska Transaction 43609394 129433425 635075 - 0 - 0 - 0 - 0 - 0
Share count at June 30 2013 129433425 635075 - 0 - 0 - 0 - 0 - 0
8613 Initial Public Offering 44117647 173551072 635075 - 0 - 0 - 0 - 0 - 0
8613 Concurrent Private Placement - AH LLC Y 3125000 176676072 635075 - 0 - 0 - 0 - 0 - 0
8613 Concurrent Private Placement - APFC 1562500 178238572 635075 - 0 - 0 - 0 - 0 - 0
82113 Over-allotment option exercise 6617647 184856219 635075 - 0 - 0 - 0 - 0 - 0
Share count at September 2013 184856219 635075 - 0 - 0 - 0 - 0 - 0
102513 Series A Preferred Offering - 0 184856219 - 0 635075 4400000 4400000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
11813 Series A Preferred Offering - shoe - 0 184856219 - 0 635075 660000 5060000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
11813 Class A common shares issued to trustees 13000 184869219 - 0 635075 - 0 5060000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
123013 Series B Preferred Offering - 0 184869219 - 0 635075 - 0 5060000 4000000 4000000 - 0 - 0 - 0 - 0 - 0 - 0
Share count at December 31 2013 184869219 635075 5060000 4000000 - 0 - 0 - 0
12314 Series B Preferred Offering - shoe - 0 184869219 - 0 635075 - 0 5060000 400000 4400000 - 0 - 0 - 0 - 0 - 0 - 0
Share count at March 31 2014 184869219 635075 5060000 4400000 - 0 - 0 - 0
5214 Series C Preferred Offering - 0 184869219 - 0 635075 - 0 5060000 - 0 4400000 7600000 7600000 - 0 - 0 - 0 - 0
51914 Exercise of Stock Options 6000 184875219 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
52014 Exercise of Stock Options 6750 184881969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
52214 Exercise of Stock Options 3000 184884969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
52814 Exercise of Stock Options 3000 184887969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
53014 Exercise of Stock Options 3000 184890969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
6314 Exercise of Stock Options 3000 184893969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
6614 Exercise of Stock Options 2000 184895969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
61114 Exercise of Stock Options 2000 184897969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
Share count at June 30 2014 184897969 635075 5060000 4400000 7600000 - 0 - 0
7114 Class A common shares offering - Beazer Acquisition 8158001 193055970 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
81314 Class A common shares offering 15832861 208888831 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
91114 Class A common shares offering - Shoe offering 1950000 210838831 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
Share count at September 30 2014 210838831 635075 5060000 4400000 7600000 - 0 - 0
No activity during the fourth quarter
Share count at December 31 2014 210838831 635075 5060000 4400000 7600000 - 0 - 0
2615 RSU vesting (stock issuance) 12470 210851301 - 0 - 0 - 0 - 0 - 0 - 0
22015 RSU vesting (stock issuance) 645 210851946 - 0 - 0 - 0 - 0 - 0 - 0
22715 RSU vesting (stock issuance) 143 210852089 - 0 - 0 - 0 - 0 - 0 - 0
Share count at March 31 2015 210852089 635075 5060000 4400000 7600000 - 0 - 0
No activity during the second quarter
Share count at June 30 2015 210852089 635075 5060000 4400000 7600000 - 0 - 0
8115 RSU vesting (stock issuance) 423 210852512 - 0 - 0 - 0 - 0 - 0 - 0
83115 Exercise of Stock Options 5000 210857512 - 0 - 0 - 0 - 0 - 0 - 0
91715 Exercise of Stock Options 5000 210862512 - 0 - 0 - 0 - 0 - 0 - 0
91815 Exercise of Stock Options 5000 210867512 - 0 - 0 - 0 - 0 - 0 - 0
92815 Repurchase of Class A common shares (303063) 210564449 - 0 - 0 - 0 - 0 - 0 - 0
92915 Repurchase of Class A common shares (3000000) 207564449 - 0 - 0 - 0 - 0 - 0 - 0
93015 Repurchase of Class A common shares (103983) 207460466 - 0 - 0 - 0 - 0 - 0 - 0
- 0 - 0
Share count at September 30 2015 207460466 635075 5060000 4400000 7600000 - 0 - 0
- 0
102315 Exercise of Stock Options 1600 207462066 - 0 - 0 - 0 - 0 - 0 - 0
121115 Repurchase of Class A common shares (197356) 207264710
121415 Repurchase of Class A common shares (29200) 207235510
Share count at December 31 2015 207235510 635075 5060000 4400000 7600000 - 0 - 0
- 0
11316 Repurchase of Class A common shares (300000) 206935510 - 0 - 0 - 0 - 0 - 0 - 0
11416 Repurchase of Class A common shares (499300) 206436210 - 0 - 0 - 0 - 0 - 0 - 0
11516 Repurchase of Class A common shares (54000) 206382210 - 0 - 0 - 0 - 0 - 0 - 0
11916 Repurchase of Class A common shares (54000) 206328210 - 0 - 0 - 0 - 0 - 0 - 0
12016 Repurchase of Class A common shares (54000) 206274210 - 0 - 0 - 0 - 0 - 0 - 0
12116 Repurchase of Class A common shares (54000) 206220210 - 0 - 0 - 0 - 0 - 0 - 0
12216 Repurchase of Class A common shares (54000) 206166210 - 0 - 0 - 0 - 0 - 0 - 0
12516 Repurchase of Class A common shares (54000) 206112210 - 0 - 0 - 0 - 0 - 0 - 0
12616 Repurchase of Class A common shares (153700) 205958510 - 0 - 0 - 0 - 0 - 0 - 0
12716 Repurchase of Class A common shares (53900) 205904610 - 0 - 0 - 0 - 0 - 0 - 0
2616 RSU vesting (stock issuance) 10506 205915116 - 0 - 0 - 0 - 0 - 0 - 0
22016 RSU vesting (stock issuance) 500 205915616 - 0 - 0 - 0 - 0 - 0 - 0
22616 RSU vesting (stock issuance) 6590 205922206 - 0 - 0 - 0 - 0 - 0 - 0
22916 ARPI merger (stock issuance) Y 36546170 242468376 - 0 - 0 - 0 - 0 - 0 - 0
3416 Exercise of Stock Options 11500 242479876 - 0 - 0 - 0 - 0 - 0 - 0
3716 Repurchase of Class A common shares (163132) 242316744 - 0 - 0 - 0 - 0 - 0 - 0
3816 Repurchase of Class A common shares (203286) 242113458 - 0 - 0 - 0 - 0 - 0 - 0
3916 Repurchase of Class A common shares (5516) 242107942 - 0 - 0 - 0 - 0 - 0 - 0
31016 Repurchase of Class A common shares (58700) 242049242 - 0 - 0 - 0 - 0 - 0 - 0
31016 Redemption of OP units Y 7399 242056641 - 0 - 0 - 0 - 0 - 0 - 0
31116 Exercise of Stock Options 5500 242062141 - 0 - 0 - 0 - 0 - 0 - 0
31116 Repurchase of Class A common shares (257777) 241804364 - 0 - 0 - 0 - 0 - 0 - 0
31416 Repurchase of Class A common shares (460189) 241344175 - 0 - 0 - 0 - 0 - 0 - 0
31416 Redemption of OP units Y 10817 241354992 - 0 - 0 - 0 - 0 - 0 - 0
31516 Repurchase of Class A common shares (524000) 240830992 - 0 - 0 - 0 - 0 - 0 - 0
31616 Repurchase of Class A common shares (485000) 240345992 - 0 - 0 - 0 - 0 - 0 - 0
31716 Exercise of Stock Options 5500 240351492 - 0 - 0 - 0 - 0 - 0 - 0
31816 Repurchase of Class A common shares (32073) 240319419 - 0 - 0 - 0 - 0 - 0 - 0
31816 Redemption of OP units Y 10208 240329627 - 0 - 0 - 0 - 0 - 0 - 0
32116 Repurchase of Class A common shares (32730) 240296897 - 0 - 0 - 0 - 0 - 0 - 0
32816 Repurchase of Class A common shares (28258) 240268639 - 0 - 0 - 0 - 0 - 0 - 0
32916 Repurchase of Class A common shares (553241) 239715398 - 0 - 0 - 0 - 0 - 0 - 0
33016 Repurchase of Class A common shares (553000) 239162398 - 0 - 0 - 0 - 0 - 0 - 0
33116 Repurchase of Class A common shares (242981) 238919417 - 0 - 0 - 0 - 0 - 0 - 0
Share count at March 31 2016 238919417 635075 5060000 4400000 7600000 - 0 - 0
4116 Repurchase of Class A common shares (8850) 238910567 - 0 - 0 - 0 - 0 - 0 - 0
4716 Repurchase of Class A common shares (20000) 238890567 - 0 - 0 - 0 - 0 - 0 - 0
4816 Repurchase of Class A common shares (386800) 238503767 - 0 - 0 - 0 - 0 - 0 - 0
41316 Repurchase of Class A common shares (328079) 238175688 - 0 - 0 - 0 - 0 - 0 - 0
41416 Redemption of OP units Y 12208 238187896 - 0 - 0 - 0 - 0 - 0 - 0
41916 Repurchase of Class A common shares (380255) 237807641 - 0 - 0 - 0 - 0 - 0 - 0
42016 Repurchase of Class A common shares (3600) 237804041 - 0 - 0 - 0 - 0 - 0 - 0
42616 Repurchase of Class A common shares (151714) 237652327 - 0 - 0 - 0 - 0 - 0 - 0
42716 Repurchase of Class A common shares (5575) 237646752 - 0 - 0 - 0 - 0 - 0 - 0
52416 Series D Perpetual Preferred Offering - 0 237646752 - 0 - 0 - 0 - 0 9000000 9000000 - 0
52416 Series D Perpetual Preferred Offering - shoe - 0 237646752 - 0 - 0 - 0 - 0 1350000 10350000 - 0
52416 Series D Perpetual Preferred Offering - private placement - 0 237646752 - 0 - 0 - 0 - 0 400000 10750000 - 0
52716 Exercise of Stock Options 10000 237656752 - 0 - 0 - 0 - 0 - 0 10750000 - 0
6716 Exercise of Stock Options 2500 237659252 - 0 - 0 - 0 - 0 - 0 10750000 - 0
61716 RSU vesting (stock issuance) 282 237659534 - 0 - 0 - 0 - 0 - 0 10750000 - 0
62016 Exercise of Stock Options 8250 237667784 - 0 - 0 - 0 - 0 - 0 10750000 - 0
62816 Exercise of Stock Options 62500 237730284 - 0 - 0 - 0 - 0 - 0 10750000 - 0
62916 Series E Perpetual Preferred Offering - 0 237730284 - 0 - 0 - 0 - 0 - 0 10750000 8000000 8000000
63016 Series E Perpetual Preferred Offering - shoe - 0 237730284 - 0 - 0 - 0 10750000 1200000 9200000
Share count at June 30 2016 237730284 635075 5060000 4400000 7600000 10750000 9200000
Check - 0
Other Calculations
AH LLC Class A Common Shares 6860783
Total Class A Common Shares - 63016 237730284
AH LLC Class A Common Share Ownership percentage - 63016 29
Former ARPI Class A Common Shares 36586802
Former ARPI Class A Common Share Ownership percentage - 63016 154
radic
(6215656)
REIT COMBINED (reit)
General Ledger
Period = Sep 2014-Jun 2016
Book = AccrualAccrual Cons
Sort On =
Property Property Name Date Period PersonDescription Control Reference Debit Credit Net Balance Remarks
2140110 LOAN DISCOUNT 000 = Beginning Balance =
4rah4re American Homes 4 Rent (Eliminations) 9114 09-2014 J-820022 Beginning Balance 000 2564797 -2564797 -2564797
4rah4re American Homes 4 Rent (Eliminations) 93015 09-2015 0915 Rev Loan Discount Elim (J-820022) J-5872587 0915 Rev Loan Discount Elim (J-820022) 2564797 000 2564797 000 0915 Rev Loan Discount Elim (J-820022)
4ramhb2 AMH 2014-2 Borrower LLC 9114 09-2014 J-866246 Beginning Balance 2564797 000 2564797 2564797
4ramhb2 AMH 2014-2 Borrower LLC 103114 10-2014 2014-2 Loan Discount Amortization-October J-1230139 000 30026 -30026 2534771 Loan Discount Amortization-October
4ramhb2 AMH 2014-2 Borrower LLC 113014 11-2014 Loan Discount Amortization November J-1230142 000 20949 -20949 2513822 Loan Discount Amortization November
4ramhb2 AMH 2014-2 Borrower LLC 123114 12-2014 2014-2 Loan Discount Amortization-December J-1322649 000 21647 -21647 2492175 2014-2 Loan Discount Amortization-December
4ramhb2 AMH 2014-2 Borrower LLC 2415 01-2015 2014-2 Loan Discount Amortization-January J-1622380 000 21647 -21647 2470528 2014-2 Loan Discount Amortization-January
4ramhb2 AMH 2014-2 Borrower LLC 22815 02-2015 2014-2 Loan Discount Amortization-February J-1806396 000 19552 -19552 2450976 2014-2 Loan Discount Amortization-February
4ramhb2 AMH 2014-2 Borrower LLC 33115 03-2015 J-2047296 000 21647 -21647 2429329 2014-2 March Loan Discount Amortization
4ramhb2 AMH 2014-2 Borrower LLC 43015 04-2015 J-2561034 000 20949 -20949 2408380 April 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 53115 05-2015 J-2849477 000 21647 -21647 2386733 May 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 63015 06-2015 J-3562538 000 20949 -20949 2365784 June 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 73115 07-2015 J-4152246 000 21647 -21647 2344137 July 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 83115 08-2015 J-4655786 000 21647 -21647 2322490 Aug 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 93015 09-2015 J-5330934 000 20949 -20949 2301541 Sep 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 93015 09-2015 AHSFR amp RELATED IMPACT TO INTERCO ACCTS J-5973363 AHSFR amp RELATED IMPACT TO INTERCO ACCTS 000 2564797 -2564797 -263256 AHSFR amp RELATED IMPACT TO INTERCO ACCTS
4ramhb2 AMH 2014-2 Borrower LLC 93015 09-2015 AHSFR amp RELATED IMPACT TO INTERCO ACCTS J-5973363 AHSFR amp RELATED IMPACT TO INTERCO ACCTS 2564797 000 2564797 2301541 AHSFR amp RELATED IMPACT TO INTERCO ACCTS
4ramhb2 AMH 2014-2 Borrower LLC 103115 10-2015 J-6317873 000 21647 -21647 2279894 Sep 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 113015 11-2015 J-6879804 000 20949 -20949 2258945 Nov 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 123115 12-2015 J-7666779 000 21647 -21647 2237298 Dec 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 13116 01-2016 J-8248915 000 21647 -21647 2215651 Jan 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 22916 02-2016 J-9116640 000 20250 -20250 2195401 Feb 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 33116 03-2016 J-9545759 000 21647 -21647 2173754 Feb 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 43016 04-2016 J-10511276 000 20949 -20949 2152805 Apr 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 53116 05-2016 J-11146801 000 21647 -21647 2131158 May 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Take Two J-11870488 000 20949 -20949 2110209 June 16 Loan Discount Amort - Take Two
4ramhb3 AMH 2014-3 Borrower LLC 112514 11-2014 Trifecta Closing Statement J-1229964 2841003 000 2841003 4951212 Trifecta Closing Statement
4ramhb3 AMH 2014-3 Borrower LLC 123114 12-2014 Loan Discount Amortization December J-1339245 000 28666 -28666 4922546 Loan Discount Amortization December
4ramhb3 AMH 2014-3 Borrower LLC 13115 01-2015 Loan Discount Amortization-January J-1629685 000 24017 -24017 4898529 Loan Discount Amortization-January
4ramhb3 AMH 2014-3 Borrower LLC 22815 02-2015 Loan Discount Amortization-February J-1806994 000 21693 -21693 4876836 Loan Discount Amortization-February
4ramhb3 AMH 2014-3 Borrower LLC 33115 03-2015 J-2047381 000 24017 -24017 4852819 2014-3 March Loan Discount Amortization
4ramhb3 AMH 2014-3 Borrower LLC 43015 04-2015 J-2561054 000 23242 -23242 4829577 April 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 53115 05-2015 J-2849486 000 24017 -24017 4805560 May 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 63015 06-2015 J-3563341 000 23242 -23242 4782318 June 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 73115 07-2015 J-4152295 000 24017 -24017 4758301 July 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 83115 08-2015 J-4655788 000 24017 -24017 4734284 Aug 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 93015 09-2015 J-5330944 000 23242 -23242 4711042 Sep 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 103115 10-2015 J-6317960 000 24017 -24017 4687025 Oct 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 113015 11-2015 J-6880055 000 23242 -23242 4663783 Nov 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 123115 12-2015 J-7666780 000 24017 -24017 4639766 Dec 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 13116 01-2016 J-8249550 000 24017 -24017 4615749 Jan 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 22916 02-2016 J-9116860 000 22468 -22468 4593281 Feb 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 33116 03-2016 J-9546042 000 24017 -24017 4569264 Mar 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 43016 04-2016 J-10511292 000 23242 -23242 4546022 Apr 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 53116 05-2016 J-11146802 000 24017 -24017 4522005 May 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Trifecta J-11870489 000 23242 -23242 4498763 June 16 Loan Discount Amort - Trifecta
4ramhb4 AMH 2015-1 Borrower LLC 3615 03-2015 Four Square Closing Statement J-1843187 2611413 000 2611413 7110176 Four Square Closing Statement
4ramhb4 AMH 2015-1 Borrower LLC 33115 03-2015 J-2049707 000 6177 -6177 7103999 2015-1 March Loan Discount Amortization
4ramhb4 AMH 2015-1 Borrower LLC 43015 04-2015 J-2561055 000 33867 -33867 7070132 April 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 53115 05-2015 J-2849494 000 22167 -22167 7047965 May 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 63015 06-2015 J-3564293 000 21452 -21452 7026513 June 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 73115 07-2015 J-4152334 000 22167 -22167 7004346 July 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 83115 08-2015 J-4655929 000 22167 -22167 6982179 Aug 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 93015 09-2015 J-5330957 000 21452 -21452 6960727 Sep 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 103115 10-2015 J-6317964 000 22167 -22167 6938560 Oct 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 113015 11-2015 J-6880306 000 21452 -21452 6917108 Nov 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 123115 12-2015 J-7666791 000 22167 -22167 6894941 Dec 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 13116 01-2016 J-8249793 000 22167 -22167 6872774 Jan 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 22916 02-2016 J-9116878 000 20737 -20737 6852037 Feb 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 33116 03-2016 J-9546043 000 22167 -22167 6829870 Mar 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 43016 04-2016 J-10511311 000 21452 -21452 6808418 Apr 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 53116 05-2016 J-11146803 000 22167 -22167 6786251 May 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Four Square J-11870503 000 21452 -21452 6764799 June 16 Loan Discount Amort - Four Square
4ramhb5 AMH 2015-2 Borrower LLC 92215 09-2015 J-5743273 1331370 000 1331370 8096169 Chanel Closing Statement
4ramhb5 AMH 2015-2 Borrower LLC 93015 09-2015 J-5824423 000 3281 -3281 8092888 Sep 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 93015 09-2015 J-5921800 103015 000 103015 8195903 adjust Sep 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 93015 09-2015 J-5923278 000 103015 -103015 8092888 adjust Sep 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 103115 10-2015 J-6318036 000 11301 -11301 8081587 Oct 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 113015 11-2015 J-6880557 000 10937 -10937 8070650 Nov 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 123115 12-2015 J-7666792 000 11301 -11301 8059349 Dec 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 13116 01-2016 J-8250303 000 11301 -11301 8048048 Jan 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 22916 02-2016 J-9117510 000 10572 -10572 8037476 Feb 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 33116 03-2016 J-9546044 000 11301 -11301 8026175 Mar 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 43016 04-2016 J-10511312 000 10937 -10937 8015238 Apr 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 53116 05-2016 J-11146804 000 11301 -11301 8003937 May 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Chanel J-11870764 000 10937 -10937 7993000 June 16 Loan Discount Amort - Chanel
Net Change=7993000 14581192 6588192 7993000 = Ending Balance =
radic
14581192 6588192 radic
2014-2 2110209 radic Agreed to PDF of Yardi GL Detail
2014-3 2388554
2015-1 2266036
2015-2 1228201
American Homes 4 Rent
Management Company Expenses
63016
Property
Manager Advisor TRS Acquisitions Construction Total Balance per TB Variance
6200105 PROPERTY MANAGEMENT FEES - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6200110 PROPERTY MANAGEMENT FEES 3RD PARTY - 0 - 0 - 0 - 0 - 0 - 0 0 -
6200115 LEASING COMMISSSIONS FEES 3rd PARTY - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100100 SALARIES - REGULAR 15284883 2850628 121794 - 0 - 0 18257305 18257305 -
6100101 SALARIES - PAYROLL ACCRUAL 141809 17307 (1250) - 0 - 0 157867 157867 -
6100102 SALARIES - VACATIONPTO ACCRUAL 194620 21320 (3417) - 0 - 0 212523 212523 -
6100103 SALARIES - INCENTIVE ACCRUAL (164060) (28195) (51381) - 0 - 0 (243636) (243636) -
6100105 SALARIES - VACATIONPTO 866082 151246 17472 - 0 - 0 1034800 1034800 -
6100110 SALARIES - SICK - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100115 SALARIES - HOLIDAY 471933 89237 3731 - 0 - 0 564902 564902 -
6100120 SALARIES - PERSONAL - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100125 SALARIES - UNPAID SALARY (9363) (4304) (90) - 0 - 0 (13758) (13758) -
6100130 SALARIES - CA MISSED MEAL 2885 586 14 - 0 - 0 3485 3485 -
6100135 SALARIES - RETRO 14446 2641 90 - 0 - 0 17177 17177 -
6100140 SALARIES - ON CALL - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100145 SALARIES - SHD - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100150 SALARIES - PAY IN LIEU - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100155 SALARIES - OVERTIME 1223651 50632 1081 - 0 - 0 1275364 1275364 -
6100160 SALARIES - DOUBLE TIME 2480 86 1 - 0 - 0 2567 2567 -
6100165 SALARIES - HOLIDAY WORKED 84444 2550 102 - 0 - 0 87097 87097 -
6100170 SALARIES - COMMISSION 74194 - 0 - 0 - 0 - 0 74194 74194 -
6100175 SALARIES - RENEWAL COMMISSION - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100200 BONUS 379060 2600 40000 - 0 - 0 421660 421660 -
6100205 BONUS - ANNUAL 941965 582330 10429 - 0 - 0 1534725 1534725 -
6100210 BONUS - QUARTER 1 270019 - 0 36465 - 0 - 0 306484 306484 -
6100215 BONUS - QUARTER 2 - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100220 BONUS - QUARTER 3 1000 - 0 - 0 - 0 - 0 1000 1000 -
6100225 BONUS - QUARTER 4 226005 - 0 31003 - 0 - 0 257008 257008 -
6100230 BONUS - CALL CENTER - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100235 BONUS - LEASING - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100240 BONUS - SIGN ON - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100245 BONUS - RJ1 INCENTIVE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100300 OTHER SALARIES - FAMILY LEAVE 9594 858 38 - 0 - 0 10490 10490 -
6100305 OTHER SALARIES - ADMIN LEAVE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100310 OTHER SALARIES - SEVERENCE 92235 11988 23474 - 0 - 0 127697 127697 -
6100315 OTHER SALARIES - JURY DUTY 721 18 1 - 0 - 0 740 740 -
6100320 OTHER SALARIES - BEREAVEMENT 12551 461 16 - 0 - 0 13029 13029 -
6100325 OTHER SALARIES - RELOCATION 19596 - 0 - 0 - 0 - 0 19596 19596 -
6100330 OTHER SALARIES - RESTRICTED STOCK UNITS - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100335 OTHER SALARIES - REFERRAL FEE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100340 OTHER SALARIES - MISC SALARIES 2343 (22) (0) - 0 - 0 2321 2321 -
6100345 OTHER SALARIES - AUTO ALLOWANCE 36751 9750 500 - 0 - 0 47001 47001 -
6100350 OTHER SALARIES - EMPLOYEE LODGING - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100500 MEDICAL INSURANCE 2223581 226287 12411 - 0 - 0 2462279 2462279 -
6100501 MEDICAL INSURANCE - EMPLOYEE REIMB (706436) (76402) (4657) - 0 - 0 (787495) (787495) -
6100505 DENTAL INSURANCE 174620 13881 1014 - 0 - 0 189515 189515 -
6100506 DENTAL INSURANCE - EMPLOYEE REIMB (101325) (8153) (591) - 0 - 0 (110070) (110070) -
6100510 VISION INSURANCE 10 (6) 1 - 0 - 0 4 4 -
6100511 VISION INSURANCE - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100515 TELEHEALTH - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100550 401K TRADROTH 210030 103399 3512 - 0 - 0 316941 316941 -
6100555 HEALTH SAVINGS ACCOUNT - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100560 FLEXIBLE SPENDING ACCOUNT - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100600 LIFE amp ADD INSURANCE 13431 2150 93 - 0 - 0 15674 15674 -
6100605 VOLUNTARY LIFE amp ADD INSURANCE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100606 VOLUNTARY LIFE amp ADD INSURANCE - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100610 SHORT TERM DIS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100611 SHORT TERM DIS - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100615 LONG TERM DIS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100616 LONG TERM DIS - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100620 WORKERS COMPOTHER INSURANCE 257810 22428 935 - 0 - 0 281173 281173 -
6100650 OTHER PAYROLL DEDUCTIONS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100900 SALARY AND BENEFITS - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100905 STATE UNEMPLOYMENT INSURANCE 411086 31124 1450 - 0 - 0 443660 443660 -
6100910 FUTA 52150 13919 465 - 0 - 0 66534 66534 -
6100915 PAYROLL TAXES 123387 - 0 - 0 - 0 - 0 123387 123387 -
6100920 PAYROLL TAXES - SOCIAL SECURITY EMPLOYER 1191664 211687 17698 - 0 - 0 1421049 1421049 -
6100925 PAYROLL TAXES - MEDICARE EMPLOYER 285440 58277 4197 - 0 - 0 347915 347915 -
6100930 PAYROLL TAXES - OTHER EMPLOYER (41) (22) (4) - 0 - 0 (67) (67) -
6100935 MEDICARE SURTAX - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100940 OREGON WBF TAX 35 - 0 - 0 - 0 - 0 35 35 -
6100950 PAYROLL RECLASS ACCOUNT 466 14964 19411 - 0 - 0 34842 34842 -
6101000 AIRFARE 188038 52983 7117 - 0 - 0 248138 248138 -
6101100 CAR RENTAL 51667 4974 1168 - 0 - 0 57808 57808 -
6101200 FUEL AND MILEAGE 704314 2256 135 - 0 - 0 706705 706705 -
6101300 TAXI 5616 2807 103 - 0 - 0 8525 8525 -
6101400 PARKING 11102 5244 381 - 0 - 0 16726 16726 -
6101500 MEALS 101100 22454 1567 - 0 - 0 125122 125122 -
6101600 LODGING 196825 35454 3159 - 0 - 0 235437 235437 -
6101700 ENTERTAINMENT 1062 - 0 - 0 - 0 - 0 1062 1062 -
6101800 CELL PHONE DATA REIMBURSEMENT 114561 10587 149 - 0 - 0 125297 125297 -
6102000 DUES AND SUBSCRIPTION 54311 96016 15 - 0 - 0 150341 150341 -
6102100 CONFERENCE AND EDUCATION 59291 44354 2 - 0 - 0 103647 103647 -
6102200 PROF LICENSE AND FEES 85272 3136 - 0 - 0 - 0 88408 88408 -
6102300 EMPLOYEE EVENT ACCOUNT 34925 4110 17 - 0 - 0 39052 39052 -
6102310 EMPLOYEE GIFTS 11476 1073 19 - 0 - 0 12568 12568 -
6102400 RELOCATION 310 190 0 - 0 - 0 501 501 -
6102500 PERSONNEL PROCUREMENT 749022 81689 2008 - 0 - 0 832719 832719 -
6102510 ASSESSMENT TOOLS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6102520 BACKGROUND CHECKS 41484 3598 98 - 0 - 0 45180 45180 -
6102530 AGENCY PROCUREMENT 46509 3761 101 - 0 - 0 50372 50372 -
6102600 TEMPORARY SERVICES 482660 188016 5954 - 0 - 0 676630 676630 -
6102700 CONSULTING 94037 1045165 151 - 0 - 0 1139353 1139353 -
6103000 OFFICE RENT 927113 157102 - 0 - 0 - 0 1084216 1084216 -
6103050 STORAGE RENT 37957 3495 - 0 - 0 - 0 41452 41452 -
6103100 OFFICE COMMON AREA MAINTENANCE 93182 18601 - 0 - 0 - 0 111782 111782 -
6103110 OFFICE PROPERTY TAXES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6103120 OFFICE UTILITIES 72809 - 0 - 0 - 0 - 0 72809 72809 -
6103130 OFFICE REPAIRS AND MAINTENANCE 62936 4133 - 0 - 0 - 0 67069 67069 -
6103200 OFFICE EQUIPMENT 99083 66640 - 0 - 0 - 0 165723 165723 -
6103210 COMPUTER EQUIPMENT EXPENSE 8114 95811 - 0 - 0 - 0 103925 103925 -
6103300 OFFICE SUPPLIES 187967 19923 8 - 0 - 0 207898 207898 -
6103310 POSTAGE AND COURIER 112833 78651 10 - 0 - 0 191495 191495 -
6103500 OFFICE PHONE INTERNET 462259 126442 98 - 0 - 0 588799 588799 -
6103510 INTERNET 28647 1010 50 - 0 - 0 29707 29707 -
6104000 PROFESSIONAL SERVICES 939097 314773 53 - 0 - 0 1253923 1253923 -
6104100 CHARITABLE CONTRIBUTION - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104110 CLOUD SERVICE 64202 879287 - 0 - 0 - 0 943489 943489 -
6104120 WEBSITE 262 352 - 0 - 0 - 0 613 613 -
6104130 ONLINE ADVERTISING 16817 - 0 - 0 - 0 - 0 16817 16817 -
6104135 ADVERTISING - NON GampA 197665 3793 0 - 0 - 0 201459 201459 -
6104140 SOFTWARE EXPENSE 48054 46202 67 - 0 - 0 94323 94323 -
6104150 SOFTWARE LICENSING 379705 774086 - 0 - 0 - 0 1153791 1153791 -
6104200 PM TERMINATION FEE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104250 CONSERVICE MONTHLY SERVICE FEE 149131 - 0 - 0 - 0 - 0 149131 149131 -
6104255 CONSERVICE OTHER FEES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104260 ONLINE LOCKBOX SERVICE 619531 - 0 - 0 - 0 - 0 619531 619531 -
6104265 RESIDENT SCREENING 150964 - 0 - 0 - 0 - 0 150964 150964 -
6104270 MLS SERVICE FEE 7884 - 0 - 0 - 0 - 0 7884 7884 -
6104275 PROMOTIONAL ITEMS 21917 - 0 - 0 - 0 - 0 21917 21917 -
6104280 PAYROLL PROCESSING COSTS 66713 6016 146 - 0 - 0 72875 72875 -
6104285 BENEFIT PROCESSING FEES 58030 5246 162 - 0 - 0 63439 63439 -
6104290 EAP FEES (36643) 642 18 - 0 - 0 (35983) (35983) -
6104295 WELLNESS EXPENSE (2) 0 (0) - 0 - 0 (2) (2) -
6104300 DUE DILIGENCE 1122 - 0 411 - 0 - 0 1533 1533 -
6104350 LEGAL - SETTLEMENTS 211771 51206 298 - 0 - 0 263275 263275 -
6104400 IT SERVICE MANAGEMENT - 0 563046 - 0 - 0 - 0 563046 563046 -
6104500 OTHER EVICTION-MAILPOSTAGE - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6104510 OTHER EVICTION-LEGAL NOTICES 0 - 0 - 0 - 0 - 0 0 0 -
6104520 LEGAL NON GampA 344696 7608 214 - 0 - 0 352518 352518 -
6104600 OTHER 9516 17712 (1) - 0 - 0 27227 27227 -
6104605 VEHICLE INSURANCE 38494 - 0 - 0 - 0 - 0 38494 38494 -
6104610 BANK CHARGES - 0 - 0 - 0 - 0 - 0 - 0 0 (0)
6104800 GROSS RECEIPTS TAX 4970 - 0 - 0 - 0 - 0 4970 4970 -
6105300 FUEL amp MAINTENANCE 27645 - 0 - 0 - 0 - 0 27645 27645 -
6104700 PERSONAL PROPERTY TAXES 16391 2851 - 0 - 0 - 0 19242 19242 -
6104701 PERSONAL PROPERTY TAXES - INTEREST amp LATE FEES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104702 PERSONAL PROPERTY TAXES - PENALTIES 132 - 0 - 0 - 0 - 0 132 132 -
6104710 COUNTY RECORDING FEES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104900 CALL CENTER - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104905 INTELLECTUAL PROPERTY FEE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104910 ADMIN 1304 - 0 - 0 - 0 - 0 1304 1304 -
6104920 PROPERTY RELATED COSTS - CLEARING (12) - 0 - 0 - 0 - 0 (12) (12) -
6105100 UNIFORMS 9651 - 0 - 0 - 0 - 0 9651 9651 -
6105200 TOOLS amp EQUIPMENT 140991 - 0 - 0 - 0 - 0 140991 140991 -
6105350 VEHICLE REPAIRS AND MAINTENANCE 1864 - 0 - 0 - 0 - 0 1864 1864 -
6105400 SUPPLIES amp MATERIALS 205293 3 0 - - 205296
Total 33139396 9227746 309684 - - 42676827 42471531 (0)
Property operating expenses 33139396 - - - - 33139396
General and administrative - 9227746 309684 - - 9537431
33139396 9227746 309684 - - 42676827
radic
REIT COMBINED (reit)
Trial Balance Cr Dr Details
Period = Jan 2016-Jun 2016
Book = AccrualAccrual Cons Tree = ysi_tb
Yardi Acct ASSETS Mapping Beg Bal Debit Credit End Bal other 1 other 2 other 3 other 4 other 5 Type
1010100 PETTY CASH Cash and cash equivalents 50000 46764 000 96764 Assets
1010200 CNB (MAIN) Cash and cash equivalents 1042264848 335219052494 312623605702 23637711640 Assets
1010300 CNB (MAIN) - AHLPC 23866 Cash and cash equivalents -646391586 20697055364 20231928849 -181265071 Assets
1010350 CNB (PAYROLL) Cash and cash equivalents 918425 3889925194 3890855619 -12000 Assets
1010360 BOA (FLEXIBLE SPENDING ACCOUNTS) Cash and cash equivalents 000 1185524 4500 1181024 Assets
1010400 CNB (MANUAL CHECK ACCOUNT) Cash and cash equivalents 000 2500000 000 2500000 Assets
1010420 TRUST (OPERATING) Cash and cash equivalents -169714124 23465192794 23272322897 23155773 Assets
1010530 CNB (OPERATING) Cash and cash equivalents 000 040 000 040 Assets
1011000 WFB (MAIN) Cash and cash equivalents 000 256334223 258125800 -1791577 Assets
1011100 WFB (OPERATING) Cash and cash equivalents 865942007 8020066855 8525317664 360691198 Assets
1011210 WFB (FL - ACQUISITIONS) Cash and cash equivalents 10336370 21891510 27807441 4420439 Assets
1011230 WFB (MAIN - AHLP1) Cash and cash equivalents 33641579 6793608124 6800699555 26550148 Assets
1011240 WFB OPERATING ACCOUNT-SECURITIZATION Cash and cash equivalents 365248 14382169890 14382300000 235138 Assets
1011250 PNC CASH MANAGEMENT ACCOUNT Resident security deposits 1690574977 22863409721 23095811877 1458172821 Assets
1011255 PNC PROPERTY INS ESCROW Resident security deposits 000 26370700 000 26370700 Assets
1011260 PNC PROPERTY TAX ESCROW Resident security deposits 3014419957 258291550 000 3272711507 Assets
1011265 PNC ADVANCE RENT ACCOUNT Resident security deposits 154860391 61965976 51366331 165460036 Assets
1011270 PNC CAPITAL EXPENDITURE ESCROW Resident security deposits 895161654 547500000 000 1442661654 Assets
1011300 WFB (SWEEP) Cash and cash equivalents 000 70376002 70376002 000 Assets
1012000 PNC (KY - ACQUISITIONS) Cash and cash equivalents 000 7303817 7303817 000 Assets
1012100 PNC (MAIN) Cash and cash equivalents 810869 2000000 1035436 1775433 Assets
1013500 BOA (MAIN) Cash and cash equivalents 000 2054401345 1810262353 244138992 Assets
1015000 CASHIERS CHECK Cash and cash equivalents 2838320000 7815530000 9574660000 1079190000 Assets
1016040 CNB NCAROLINA UTILITY DEBIT CARD Cash and cash equivalents 6000 116292 122292 000 Assets
1016210 CNB NEVADA I UTILITY DEBIT CARD 23904 Cash and cash equivalents 599695 51858052 51245513 1212234 Assets
1016230 CNB NEVADA III UTILITY DEBIT CARD 23890 Cash and cash equivalents 73003 6662 79665 000 Assets
1016240 CNB NEVADA IV UTILITY DEBIT CARD 24250 Cash and cash equivalents -55312 65812 10500 000 Assets
1016250 CNB NEVADA V UTILITY DEBIT CARD 13512 Cash and cash equivalents 997346 3065812 2267522 1795636 Assets
1016700 CASH - AMIP Cash and cash equivalents 85259719 3390359100 2972944900 502673919 Assets
1017100 COURT ACCOUNT (ORANGE COUNTY) Cash and cash equivalents 35089100 75480502 85569602 25000000 Assets
1017110 COURT ACCOUNT (POLK COUNTY) Cash and cash equivalents 25900000 000 25900000 000 Assets
1017120 COURT ACCOUNT (PASCO COUNTY) Cash and cash equivalents 61097450 196370290 193925980 63541760 Assets
1017140 COURT ACCOUNT (DUVAL COUNTY) Cash and cash equivalents 68398000 236485650 281511250 23372400 Assets
1017150 COURT ACCOUNT (BROWARD) Cash and cash equivalents 000 7669000 7669000 000 Assets
1017160 COURT ACCOUNT (PALMBEACH) Cash and cash equivalents 000 3094000 3094000 000 Assets
1017170 COURT ACCOUNT (HILLSBOROUGH) Cash and cash equivalents 71454250 296760750 310185020 58029980 Assets
1017200 COURT ACCOUNT (INDIAN RIVER) Cash and cash equivalents 5000000 000 5000000 000 Assets
1017220 COURT ACCOUNT(MANATEE COUNTY) Cash and cash equivalents 20639680 000 20639680 000 Assets
1017240 COURT ACCOUNT (PINELLAS COUNTY) Cash and cash equivalents 16882000 000 16882000 000 Assets
1017270 COURT ACCOUNT (ST LUCIE) Cash and cash equivalents 000 24259420 24259420 000 Assets
1017280 COURT ACCOUNT (NASSAU COUNTY) Cash and cash equivalents 000 16228600 11891510 4337090 Assets
1017402 JPM (DEPOSITORY) - BEAZER Cash and cash equivalents 000 2750202 2750202 000 Assets
1017404 JPM (DISBURSEMENT) - BEAZER Cash and cash equivalents 000 4879224 4879224 000 Assets
1018106 PREPAID CASH - SERVICELIVE Cash and cash equivalents 000 5000000 000 5000000 Assets
1019900 CASH - PREPAID Cash and cash equivalents 1400685068 5649132349 5896486391 1153331026 Assets
1020005 RESTRICTED CASH - AMIP Resident security deposits 1184784 92548900 86229300 7504384 Assets
1020010 TRUST (SECURITY DEPOSITS) Resident security deposits -155498 909002 992746 -239242 Assets
1020059 TRUST (SECURITY DEPOSITS) - SECURITIZATION - TX Resident security deposits -315000 000 000 -315000 Assets
1020070 SECURITY DEPOSIT - MULTIPLE STATES Resident security deposits 5372455820 2749716264 1094896098 7027275986 Assets
1110000 ACCOUNTS RECEIVABLE Rent and other receivables net 1437427788 2846357119 2499864220 1783920687 Assets
1110100 ACCOUNTS RECEIVABLE OTHER Rent and other receivables net 23067699 515931387 516062050 22937036 Assets
1110105 AR VENDOR PAYMENTS Rent and other receivables net 19022780 107297162 19952414 106367528 Assets
1110116 AR ndash CONTRA Rent and other receivables net -191971393 717781459 721121610 -195311544 Assets
1110120 UTILITY CHARGEBACK ACCRUAL RECEIVABLE Rent and other receivables net 807779749 3352354189 3236105454 924028484 Assets
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4001515 TENANT CHARGEBACKS ELECTRICITY - CONTRA Tenant charge-backs 000 20831059 16157346 4673713 (35928) Revenues
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4001525 TENANT CHARGEBACKS TRASH - CONTRA Tenant charge-backs 000 2959601 2160703 798898 (3941) Revenues
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4001560 TENANT CHARGEBACKS - CONSERVICE VACANT RECOVERY FEE Tenant charge-backs 000 27500 587500 -560000 (150) Revenues
4001605 TENANT CHARGEBACKS ACCRUED ELECTRICITY Tenant charge-backs 000 1010725102 1157781519 -147056417 1025054 Revenues
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5501600 GARAGE DOOR Property operating expenses 000 896144 000 896144 Expenses
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5501900 CITY CODE VIOLATIONS Property operating expenses 000 2226589 46454 2180135 Expenses
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5502000 GENERAL REPAIRS AND MAINTENANCE (TURN) Property operating expenses 000 27498770 796177 26702593 Expenses
5502100 PAINTING (TURN) Property operating expenses 000 191236040 3459494 187776546 Expenses
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5502201 REPAIRS amp MAINTENANCE (TURN) Property operating expenses 000 51910288 4184140 47726148 Expenses
5502210 WINDOWDOOR REPAIRS (TURN) Property operating expenses 000 57370755 3232434 54138321 Expenses
5502300 POOL (TURN) Property operating expenses 000 647816 142865 504951 Expenses
5502400 PEST CONTROL (TURN) Property operating expenses 000 18230045 276427 17953618 Expenses
5502500 LANDSCAPING (TURN) Property operating expenses 000 177309314 1115850 176193464 Expenses
5502510 FENCINGRETAINING WALL REPAIRS (TURN) Property operating expenses 000 15590065 416127 15173938 Expenses
5502520 DRIVEWAYCONCRETE REPAIRS (TURN) Property operating expenses 000 1097926 57000 1040926 Expenses
5502600 APPLIANCE REPAIRS (TURN) Property operating expenses 000 24501252 1817009 22684243 Expenses
5502610 ELECTRICAL REPAIRS (TURN) Property operating expenses 000 31639903 1204040 30435863 Expenses
5502620 FLOORING REPAIRS (TURN) Property operating expenses 000 1827892 1827892 000 Expenses
5502630 HARDWAREFINISH REPAIRS (TURN) Property operating expenses 000 41788416 2490024 39298392 Expenses
5502700 HVAC REPAIRS (TURN) Property operating expenses 000 34110556 10083349 24027207 Expenses
5502710 PLUMBING REPAIRS (TURN) Property operating expenses 000 35226961 2045838 33181123 Expenses
5502720 MOLD REMEDIATION (TURN) Property operating expenses 000 1450940 346000 1104940 Expenses
5502800 ROOF REPAIRS (TURN) Property operating expenses 000 12158836 820480 11338356 Expenses
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9991010 EMPLOYEE COUNT General and administrative expense 1642800 597400 82100 2158100 Expenses
9991020 TEMPORARY EMPLOYEE COUNT General and administrative expense 70100 16200 200 86100 Expenses
9991990 STATISTICAL OFFSET General and administrative expense -1712900 82300 613600 -2244200 Expenses
Total (000) 3459495971370 3459495971370 000
Assets 825265124218 Variance
Liabilities 337283316279 -
Equity 488222150588
Net Loss (240342649)
Liabilities amp Equity w NI 825265124218
Revenues 41616501569
Expenses 41856844218
Net Loss (240342649)
radic
radic
American Homes 4 Rent
Cash Flow Worksheet
June 30 2016
(in thousands) radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic
Cash amp Restricted Rent amp other Due from Escrow Def Lease Costs Accumulated Asset-backed securitization certificates Prepaid expenses amp Single-family Accumulated AMH ARPI Asset-backed Exchangeable Secured AP amp accrued Amounts due from (payable Series E Preferred Shares Class A Class B Preferred Accumulated Accumulated Noncontrolling
cash equivalents Cash receivables Trustee deposits amp Intangibles Amortization Goodwill other assets properties depreciation Credit facility Credit facility securitizations net Senior Notes net Note Payable expenses to) affiliates Liability Conversion Liab Common Common Shares APIC OCI deficit interest TOTAL
Balance at 63016 (+DEBIT -CREDIT) (FORMULA FROM BS) 270369 133996 19257 23 833 53624 (37225) 25666 120655 142386 8057307 (535648) (142000) - (2795777) (106434) (50295) (215307) 1157 - (63240) (2377) (6) (370) (4462743) - 335684 (749535) -
Balance at 123115 (+DEBIT -CREDIT) (FORMULA FROM BS) 57686 111282 13920 16 503 26498 (16069) 25666 120655 121124 6705982 (416044) - - (2473643) - (50752) (154751) (4093) (69957) (62790) (2072) (6) (171) (3554063) 102 296865 (675888) -
(212683) (22714) (5337) (7) (330) (27126) 21156 - - (21262) (1351325) 119604 142000 - 322134 106434 (457) 60556 (5250) (69957) 450 305 - 199 908680 102 (38819) 73647 -
CASH FLOWS FROM OPERATING ACTIVITIES IS checks
Net loss (1800) 3075 1275 -
Adjustments to reconcile net loss to net cash used for operating activities
Depreciation and amortization 19834 2263 127024 149121 -
Noncash amortization of deferred financing costs 1284
Valerie Ware Valerie WarePer capitalized interest split schedule
3995
Valerie Ware Valerie WarePer capitalized interest split schedule
5279
Amortization of discount on exchangeable senior notes 1106 1106
Amortization of discount on ARP 2014-SFR1 securitization 1119 1119
Noncash share-based compensation 1853 1853 -
Provision for bad debt 2483 2483
Gain on conversion of Series E to Series D units (11463) (11463) -
Remeasurement of preferred shares 450 450 -
Equity in net loss (income) of unconsolidated ventures 261
Valerie Ware Valerie Ware$230K adjustment to reclass distribution to ARP JV to distributions from unconsolidated joint ventures net under investing activities See Equity in Income JV GL detail
261
Net (gain) loss on sale impairment of single-family properties 8 8
Net gain on sale of non-performing loans (1656)
Valerie Ware Valerie WarePer GainLoss on Foreclosures schedule
(1656)
Changes in operating assets and liabilities -
Rent and other receivables (6977) (6977)
Restricted cash for resident security deposits (12394)
Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger
(12394)
Prepaid expenses and other assets 3807 3807
Deferred leasing costs (4080) (4080)
Accounts payable and accrued expenses 12208 (137) 12071
Security deposit liability 12370
Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger
12370
Amounts payable to affiliates (5250) (5250)
Net cash provided by (used for) operating activities 149383 (12394) (4494) - - (4080) 21118 - - 4675 8 127024 - - 5114 1106 - 24578 (5250) (11463) 450 - - - 1716 - (1800) 3075 149383
CASH FLOWS FROM INVESTING ACTIVITIES
Cash paid for single-family properties (7) (60614) (1345) (61966)
Escrow deposits for purchase of single-family properties (330) (330)
Change in other restricted cash (799) (799)
Cash acquired in ARPI merger 15499 15499
Payoff of credit facility assumed in ARPI merger (350000) (350000)
Net proceeds received from sale of single-family properties 15493
Valerie Ware Valerie WareProceeds from Accounting Disposition Summary
15493
Net proceeds received from sale of non-performing loans 16405
Valerie Ware Valerie WarePer Gains Loss on Forfeitures schedule
16405
Purchase of commercial office building (20056) (20056)
Investment in unconsolidated joint ventures -
Valerie Ware Valerie WareSee Investment in JV GL detail
-
Investment in mortgage financing receivables -
Valerie Ware Valerie WareNo NPL additions during 2016
-
Distributions from unconsolidated joint venture net 5770
Whitney Skaff Whitney SkaffSupport for $6M distribution recd in Investment in JV GL Detail Support for $230K distribution paid in Equity in Income JV GL detail
5770
Improvements to single-family properties 38 (16524)
Valerie Ware Valerie WareReduced for ARPI Building Improvements Beg Bal of $76401K
119 (1162) (17529)
Maintenance capital expenditures for single-family properties (12675)
Valerie Ware Valerie WarePer maintenance capex file
(12675)
Net cash used for investing activities (425687) (799) - (7) (330) - 38 - - 2119 (74320) - - (350000) 119 - - (2507) - - - - - - - - - - (410188)
CASH FLOWS FROM FINANCING ACTIVITIES
Proceeds from issuance of Class A common shares 2 - 2
Proceeds from issuance of perpetual preferred shares - 199 482527 482726
Repurchases of Class A common shares -
Proceeds from exercise of stock options 1682
Valerie Ware Valerie WareSee APIC GL Detail
1682
Repurchases of Class A common shares (62) (96036) (96098)
Redemptions of Class A units (29)
Whitney Skaff Whitney SkaffPer OP Unit Redemption Log
(262)
Whitney Skaff Whitney SkaffPer OP Unit Redemption Log
(291) 0
Proceeds from asset-backed securitizations -
Payments on asset-backed securitizations (12762) (12762)
Proceeds from credit facility 626000
Valerie Ware Valerie WarePer Treasurys credit facility rollforward of draws and paydowns
626000
Payments on credit facility (484000)
Valerie Ware Valerie WarePer Treasurys credit facility rollforward of draws and paydowns

Valerie Ware Valerie WareSee APIC GL Detail
(484000)
Payments on secured note payable (457) (457)
Change in restricted cash related to financings -
Contributions from noncontrolling interests -
Distributions to noncontrolling interests - (5905) (5905)
Distributions to common shareholders (24038) (24038)
Distributions to preferred shareholders (12981) (12981)
Deferred financing costs (350) (40) (390)
Net cash provided by financing activities 473488 - - - - (350) - - - - - - 142000 - (12802) - (457) - - - - (60) - 199 388144 - (37019) (6167) 473488
NET INCREASE IN CASH AND CASH EQUIVALENTS 197184 (13193) (4494) (7) (330) (4430) 21156 - - 6794 (74312) 127024 142000 (350000) (7569) 1106 (457) 22071 (5250) (11463) 450 (60) - 199 389860 - (38819) (3092) 212683
NON CASH ITEMS
Accrued deferred financing costs - - -
Accrued Class A common share distribution -
Accrued Series C distribution - - -
HFS Reclassification 4272
Valerie Ware Valerie WareIncludes 123115 HFS topside reclass
(4272) -
Write off of deferred leasing costs - -
Valerie Ware Valerie WareWrite-offs per Deferred Leasing Costs Rollforward
-
Writedowns and casualty loss of real estate 2570 (2570)
Valerie Ware Valerie WareWritedowncasualty losses and accelerated depreciation from AD rollforward
-
Dispositions of real estate 578 (578)
Valerie Ware Valerie WareDisposals per AD Rollforward
-
Unrealized gainloss on interest rate cap agreement (102) 102 -
Conversion of NPL to properties 7180 (7180)
Valerie Ware Valerie Ware16405 of proceeds from sales of NPLs from GainsLosses on Foreclosures schedule
-
Conversion of Series E to Series D units (58494) 58494 -
American Residential Properties Inc Merger (15499) (9521)
Valerie Ware Valerie WareIncludes $4154K of restricted cash for security deposits per ARPI opening balance sheet accounts
(843) (22696) (35134) (1277253) 350000 329703 112298 38485
Valerie Ware Valerie WareIncludes $4154K of security deposit liability per ARPI opening balance sheet accounts
365 511281 18814 -
Noncash redemptions of Class A units 569 (569) -
Equity bifurcation of exchangeable senior notes net (6970) 6970 -
Rounding -
(15499) (9521) (843) - - (22696) - - - (28056) (1277013) (7420) - 350000 329703 105328 - 38485 - (58494) - 365 - - 518820 102 - 76739 -
RECONCILIATION
INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS 212683 (22714) (5337) (7) (330) (27126) 21156 - - (21262) (1351325) 119604 142000 - 322134 106434 (457) 60556 (5250) (69957) 450 305 - 199 908680 102 (38819) 73647 235397
FROM ABOVE 212683 (22714) (5337) (7) (330) (27126) 21156 - - (21262) (1351325) 119604 142000 - 322134 106434 (457) 60556 (5250) (69957) 450 305 - 199 908680 102 (38819) 73647 235397
DIFFERENCE (MUST EQUAL ZERO) - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
CASH AND CASH EQUIVALENTS BEGINNING OF PERIOD 57686 57686
CASH AND CASH EQUIVALENTS END OF PERIOD 270369 270369
Amounts payable to affiliates related to property acquisitions - x
Accounts payable and accrued expenses related to property acquisitions (1345) x
Accounts payable and accrued expenses related to deferred financing costs - 0
x
Cash paid for interest 58865
Deferred financing costs - cash payments x
Gross deferred finance cost (LOC) increase 123115 - 63016 350
Valerie Ware Valerie WareAdditions to LOC per Deferred Costs and Other Intangibles Rollforward

Whitney Skaff Whitney SkaffPer OP Unit Redemption Log
Gross deferred finance cost (securitization) increase 123115 - 63016 40
Valerie Ware Valerie WareAdditions to securitizations per Deferred Costs and Other Intangibles Rollforward

Whitney Skaff Whitney SkaffPer OP Unit Redemption Log

Valerie Ware Valerie WarePer capitalized interest split schedule

Valerie Ware Valerie WareWrite-offs per Deferred Leasing Costs Rollforward

Valerie Ware Valerie WareIncludes $4154K of restricted cash for security deposits per ARPI opening balance sheet accounts

Valerie Ware Valerie WareIncludes 123115 HFS topside reclass

Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger

Valerie Ware Valerie WareWritedowncasualty losses and accelerated depreciation from AD rollforward

Valerie Ware Valerie WarePer capitalized interest split schedule

Valerie Ware Valerie WareDisposals per AD Rollforward

Valerie Ware Valerie Ware16405 of proceeds from sales of NPLs from GainsLosses on Foreclosures schedule

Valerie Ware Valerie Ware$230K adjustment to reclass distribution to ARP JV to distributions from unconsolidated joint ventures net under investing activities See Equity in Income JV GL detail

Valerie Ware Valerie WarePer GainLoss on Foreclosures schedule

Valerie Ware Valerie WareIncludes $4154K of security deposit liability per ARPI opening balance sheet accounts

Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger

Valerie Ware Valerie WareProceeds from Accounting Disposition Summary

Valerie Ware Valerie WarePer Gains Loss on Forfeitures schedule

Valerie Ware Valerie WareSee Investment in JV GL detail

Valerie Ware Valerie WareNo NPL additions during 2016

Whitney Skaff Whitney SkaffSupport for $6M distribution recd in Investment in JV GL Detail Support for $230K distribution paid in Equity in Income JV GL detail

Valerie Ware Valerie WareReduced for ARPI Building Improvements Beg Bal of $76401K

Valerie Ware Valerie WarePer maintenance capex file
x
Less accrued deferred finance costs - 0 x
Cash payments 40
radic
American Residential Properties Inc Merger Per PPA Per BS
Single-family properties 1277253 1277253
Cash and cash equivalents 15568 15499
Restricted cash 9452 9521
Rent and other receivables net 789 843
Escrow deposits prepaid expenses and other assets 35188 35134
Deferred costs and other intangibles net 22696 22696
Credit facility (350000) (350000)
Asset-backed securitization (329703) (329703)
Exchangeable senior notes net (112298) (112298)
Accounts payable and accrued expenses (38485) (38485)
Class A common shares and units issued (530460) (530460)
- 0 - 0
American Homes 4 Rent
June 30 2016 Financial Statement Worksheet
(in thousands) Permanent Top-Side Roll-Overs
Land Building Recurring Top-sides Topside Topside Topside Topside Topside Topside Topside Topside
Reclass to 4Q13 Property Mgmt Co 1 2 3 4 5 6 7 8
Trial Balance Link GampA correct recording Sales Impairment Preferred Bad Debt 2014 HFS Unadjusted Record Expenses Preferred Noncontrolling Held for Sale Accrued Property Tax Adjustment Accrued Payroll Reclass NCI Adjustment Adjusted
June 30 2016 Rounded in 000s Allocation of 1Q13 top-side and HFS Dividend (Sponsor) Impairment June 30 2016 Net Income Relassification Dividend Interest Reclassification Rounding June 30 2016
Assets
Single-family properties
Land 1500680075 $ 1500680 $ 940 $ (44) $ 1501576 $ (26264) $ 1475312
Buildings and improvements 6561419049 $ 6561419 $ (940) $ (179) $ 6560300 $ (110068) $ 1 $ 6450233
Single-family properties held for sale - 0 $ - $ - $ 131762 $ 131762
8062099124 $ 8062099 $ - $ - $ - $ - $ - $ - $ (223) $ 8061876 $ - $ - $ - $ - $ (4570) $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ 8057307
Less accumulated depreciation (540217511) $ (540218) $ (540218) $ 4570 $ (535648)
Single-family properties net 7521881613 $ 7521881 $ - $ - $ - $ - $ - $ (223) $ 7521658 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ 7521659
Cash and cash equivalents 270368720 $ 270369 $ 270369 $ 270369
Resident security deposits 133996028 $ 133996 $ 133996 $ 133996
Rent and other receivables net 19296459 $ 19296 $ (16) $ 19280 $ 19280
Amounts due from affiliates 1168649 $ 1169 $ (12) $ 1157 $ 1157
Escrow deposits 833183 $ 833 $ 833 $ 833
Deferred costs and other intangibles net 16399480 $ 16399 $ 16399 $ 16399
Asset-backed securitization certificates 25665800 $ 25666 $ 25666 $ 25666
Goodwill 120655080 $ 120655 $ 120655 $ 120655
Investment in unconsolidated joint ventures - $ - $ - $ -
Prepaid expenses and other assets 142386229 $ 142386 $ 142386 $ 142386
Total assets $ 8252651242 $ 8252650 $ - $ - $ (12) $ - $ (16) $ (223) $ 8252399 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ 8252400
Liabilities
Senior secured line of credit 142000000 $ 142000 $ 142000 $ 142000
Asset-backed securitization 2795777262 $ 2795777 $ 2795777 $ 2795777
Exchangeable senior notes net 106433664 $ 106434 $ 106434 $ 106434
Secured note payable 50294632 $ 50295 $ 50295 $ 50295
Accounts payable and accrued expenses 215087605 $ 215088 $ (100) $ 214988 $ 397 $ (78) $ 215307
Amounts payable to affiliates - $ - $ - $ -
Contingently convertible Series E units liability - $ - $ - $ - $ -
Preferred shares conversion liability 63240000 $ 63240 $ 63240 $ - $ 63240
Total liabilities 3372833163 $ 3372834 $ - $ - $ - $ (100) $ - $ - $ - $ 3372734 $ - $ - $ - $ - $ - $ 397 $ (78) $ - $ - $ - $ - $ - $ - $ - $ 3373053
Commitments and contingencies
Equity
Shareholders equity
Class A common shares 2377303 $ 2377 $ 2377 $ 2377
Class B common shares 6351 $ 6 $ 6 $ 6
Preferred shares 370100 $ 370 $ 370 $ 370
Additional paid-in capital 4406405958 $ 4406406 $ 993 $ 42363 $ 4449762 $ 12981 $ 4462743
Accumulated deficit (277395653) $ (277396) $ (993) $ 88 $ (42363) $ (16) $ (223) $ (320903) $ (2404) $ 1 $ (12981) $ 616 $ - $ (397) $ 78 $ 306 $ (335684)
Members Equity
Jeanette Peck Jeanette PeckThis should be eliminated
- 0 $ - $ - $ -
Accumulated other comprehensive income - 0 $ - $ - $ -
Total shareholders equity 4131764059 $ 4131763 $ - $ - $ 88 $ - $ (16) $ (223) $ 4131612 $ (2404) $ 1 $ - $ 616 $ - $ (397) $ 78 $ 306 $ - $ - $ - $ - $ - $ - $ 4129812
Noncontrolling interest E 750457447 $ 750457 $ 750457 $ (616) $ - $ (306) $ 749535
Total equity 4882221506 $ 4882220 $ - $ - $ 88 $ - $ (16) $ (223) $ 4882069 $ (2404) $ 1 $ - $ - $ - $ (397) $ 78 $ - $ - $ - $ - $ - $ - $ - $ 4879347
Total liabilities and equity $ 8255054669 $ 8255054 $ - $ - $ (12) $ - $ (16) $ (223) $ 8254803 $ (2404) $ 1 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 8252400
(2403426) $ (2404) $ - $ - $ - $ - $ - $ - $ (2404) $ 2404 $ (1) $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ -
Revenues
Rents from single-family properties $ 361486097 $ 361486 $ 361486 $ 361486
Fees from single-family properties 4920857 $ 4921 $ 4921 $ 4921
Tenant charge-backs 41269223 $ 41269 $ 41269 $ 41269
Other 8488839 $ 8489 $ 8489 $ - $ - $ 8489
Total revenues 416165016 $ 416165 $ - $ 416165 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 416165
Expenses
Property operating expenses $ 147049652 $ 147050 $ 147050 $ 33139 $ 397 $ 180586
Management company operating expenses 42676827 $ 42677 $ 42677 $ (42677) $ -
General and administrative expense 5865801 $ 5866 $ 5866 $ 9537 $ - $ 15403
Interest expense 66457531 $ 66458 $ 66458 $ 66458
Noncash share-based compensation expense 1853169 $ 1853 $ 1853 $ 1853
Acquisition fees and costs expensed 9220192 $ 9220 $ 9220 $ (78) $ 9142
Equity in income from unconsolidated JV - 0 $ - $ - $ -
Advisory fees - 0 $ - $ - $ -
Depreciation and amortization 149120638 $ 149121 $ 149121 $ - $ - $ 149121
Other E 3339723 $ 3340 $ 3340 $ 3340
Total expenses $ 425583533 $ 425585 $ - $ 425585 $ - $ (1) $ - $ - $ - $ 397 $ (78) $ - $ - $ - $ - $ - $ - $ - $ 425903
Gain on remeasurement of equity method investment - 0 $ - $ - $ -
Gain on conversion of Series E units 11462500 $ 11463 $ 11463 $ 11463
Remeasurement of preferred Shares (450000) $ (450) $ (450) $ (450)
Loss from continuing operations 1593983 $ 1593 $ - $ 1593 $ - $ 1 $ - $ - $ - $ (397) $ 78 $ - $ - $ - $ - $ - $ - $ - $ 1275
Discontinued operations
Gain on disposition of single-family properties - 0 $ - $ - $ -
Income from discontinued operations - 0 $ - $ - $ -
Total income from discontinued operations - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ -
Net income 1593983 $ 1593 $ - $ 1593 $ - $ 1 $ - $ - $ - $ (397) $ 78 $ - $ - $ - $ - $ - $ - $ - $ 1275
Noncontrolling interest 3997409 $ 3997 $ 3997 $ (616) $ - $ (306) $ 3075
Dividends on preferred shares - 0 $ - $ - $ 12981 $ 12981
Conversion of preferred units - 0 $ - $ - $ -
Net loss attributable to common shareholders $ (2403426) $ (2404) $ - $ (2404) $ - $ 1 $ (12981) $ 616 $ - $ (397) $ 78 $ 306 $ - $ - $ - $ - $ - $ - $ (14781)
radic
(0)
American Homes 4 Rent
Condensed Consolidated Statements of Cash Flows
(Amounts in thousands)
For the Six Months Ended June 30 1Q16 2Q16 3Q16 4Q16
2016 2015 2013 Variance
Operating activities Checks
Net income (loss) 1275 $ (16663) $ (19066) $ - $ 5028 $ (3753)
Adjustments to reconcile net income (loss) to net cash provided by operating activities
Depreciation and amortization 149121 112885 70987 - 69517 79604
Noncash amortization of deferred financing costs 5279 3500 186 2838 2441
Noncash amortization of discount on exchangeable senior notes 1106 - 1079 290 816
Noncash amortization of discount on ARP 2014-SFR1 securitization 1119 - 286 833
Noncash share-based compensation 1853 1430 - 870 983
Provision for bad debt 2483 2785 2273 1069 1414
Gain on conversion of Series E units to Series D units (11463) - - (11463) -
Remeasurement of Series E units - 0 (3981) 2057 - - -
Remeasurement of preferred shares 450 (700) 1810 - 300 150
Equity in net income of unconsolidated ventures 261 273 - 232 29
Net loss on sale impairment of single-family properties 8 - (60) 68
Net gain on sale of non-performing loans (1656) -
Other changes in operating assets and liabilities
Rent and other receivables (6977) (5305) 3339 (3277) (3700)
Restricted cash for resident security deposits (12394) (9223) (26430) (13170) 776
Prepaid expenses and other assets 3807 2546 (16238) 659 3148
Deferred leasing costs (4080) (5421) (9710) (1929) (2151)
Accounts payable and accrued expenses 12071 6267 13543 (4011) 16082
Resident security deposit liability 12370 9223 26430 (4155) 13170 (800)
Amounts payable to affiliates (5250) 6211 (22239) (4946) (304)
Net cash provided by operating activities 149383 103827 28021 55403 93980
Investing activities
Cash paid for single-family properties (61966) (438689) (2011977) (34181) (27785)
Escrow deposits for purchase of single-family properties (330) (3113) (13740) (467) 137
Increase in other restricted cash (799) (8416) - 1891 (2690)
Cash acquired in ARPI merger 15499 - 33099 15499 -
Payoff of credit facility assumed in ARPI merger (350000) - (350000) -
Net proceeds received from sales of single-family properties 15493 - 8844 7582 7911
Net proceeds received from sales of non-performing loans 16405 -
Purchase of commercial office building (20056) -
Investment in unconsolidated joint ventures - 0 (10003) - - -
Purchase of outside interests in RJ joint ventures - 0 - - - -
Distributions from unconsolidated joint venture - 0 - 3431 - -
Investments in mortgage financing receivables - 0 (7731) - - -
Distributions from unconsolidated joint ventures net 5770 - - 5770
Renovations to single-family properties (17529) (93655) (382070) (12118) (5411)
Other capital expenditures for single-family properties (12675) (15925) - (4526) (8149)
Net cash used for investing activities (410188) (577532) (2362413) (376320) (33868)
Financing activities
Net proceeds from issuance of Class A common shares 2 - 1548280 1 1
Net proceeds from issuance of perpetual preferred shares 482726 - 212596 - 482726
Proceeds from exercise of stock options 1682 - - 337 1345
Repurchase of Class A common shares (96098) - - (76045) (20053)
Redemptions of Class A units (291) - (291) -
Proceeds from asset-backed securitizations - 0 552830 - - -
Payments on asset-backed securitizations (12762) (8557) - (6381) (6381)
Proceeds from credit facility 626000 628000 1425000 521000 105000
Payments on credit facility (484000) (658000) (1050000) (83000) (401000)
Payments on secured note payable (457) (444) - (230) (227)
Distributions to noncontrolling interests (5905) (12108) (11829) (2991) (2914)
Distributions to common shareholders (24038) (21148) - (12122) (11916)
Distributions to preferred shareholders (12981) (11138) (1160) (5569) (7412)
Deferred financing costs paid (390) (13860) (11314) (40) (350)
Net cash provided by financing activities 473488 455575 2111573 334669 138819
Net increase in cash and cash equivalents 212683 (18130) (222819) 13752 198931
Cash and cash equivalents beginning of period 57686 108787 397198 57686 71438
Cash and cash equivalents end of period 270369 $ 90657 $ 174379 $ - $ 71438 270369
American Homes 4 Rent
Condensed Consolidated Statements of Cash Flows Continued
(Amounts in thousands)
(Unaudited)
0
For the Six Months Ended June 30
2016 2015
For the Six Months Ended June 30
2016 2015 2013
Supplemental cash flow information
Cash payments for interest (58865) $ (33431) $ (5473)
Supplemental schedule of noncash investing and financing activities
Accounts payable and accrued expenses related to property acquisitions (1345) $ (344) $ 24589
Accounts payable and accrued expenses related to deferred financing costs - 0 $ - $ - $ 833
Amounts payable to affiliates related to property acquisitions - 0 $ - $ (244)
Accrued distribution to Series C convertible units - 0 $ 4698 $ 5387
Accrued distribution to common shareholders - 0 $ - $ - $ 9274
Contribution of properties (see Note 10)
Single-family properties including related assets and liabilities - 0 $ - $ 32229
Additional paid-in capital - 0 $ - $ (384255)
Due from affiliates - 0 $ - $ (2508)
Issuance of Series C convertible units to noncontrolling interest - 0 $ - $ 391701
Issuance of Class B common shares - 0 $ - $ 7993
Issuance of Class A units - 0 $ - $ -
Acquistions for equity (See Note 11)
Single-family properties - 0 $ - $ 966571
Cash and cash equivalents - 0 $ - $ 33099
Other net assets and liabilities - 0 $ - $ (36760)
Deferred costs and other intangibles - 0 $ - $ 133195
Class A common shares - 0 $ - $ (436)
Additional paid-in capital - 0 $ - $ (703856)
Issuance of Class A units to noncontrolling interest - 0 $ - $ (221934)
Issuance of Series D units to noncontrolling interest - 0 $ - $ (65188)
Contingently convertible Series E units liability - 0 $ - $ (64881)
Noncontrolling interest in consolidated subsidiaries - 0 $ - $ (39321)
Merger with ARPI (see Note 10)
Single-family properties 1277253 $ -
Cash and cash equivalents 15499 $ -
Restricted cash 9521 $ -
Rent and other receivables net 843 $ -
Escrow deposits prepaid expenses and other assets 35134 $ -
Deferred costs and other intangibles net 22696 $ -
Credit facility (350000) $ -
Asset-backed securitization (329703) $ -
Exchangeable senior notes net (112298) $ -
Accounts payable and accrued expenses (38485) $ -
Class A common shares and units issued (530460) $ -
radic
American Homes 4 Rent
Consolidated Statements of Members Equity
(in thousands)
Class A common shares Class B common shares Preferred shares
Additional Accumulated other
Number Number Number paid-in Accumulated comprehensive Shareholders Noncontrolling Total
of shares Amount of shares Amount of shares Amount capital deficit loss equity interest equity
Balances at December 31 2015 207235510 $ 2072 635075 $ 6 17060000 $ 171 $ 3554063 $ (296865) $ (102) $ 3259345 $ 675888 $ 3935233
Share-based compensation - - - - - - 1853 - - 1853 - 1853
Common stock issued under
share-based compensation
plans net of shares withheld
for employee taxes 123628 2 - - - - 1545
Valerie Ware Valerie WareSee APIC GL Detail in Equity folder
- - 1547 - 1547
Issuance of Class A common
shares and units in connection
with the Merger 36546170 365 - - - - 511281
Whitney Skaff Whitney SkaffSee APIC GL Detail in Equity folder
- - 511646 18814 530460
Issuance of perpetual preferred
shares net of offering
costs of $15996 - - - - 19950000 199 482527 - - 482726 - 482726
Redemptions of Class A units 40632 - - - - - 540 - - 540 (831) (291)
Repurchase of Class A common
shares (6215656) (62) - - - - (96036) - - (96098) - (96098)
Assumption of exchangeable
senior notes - - - - - - 6970 - - 6970 - 6970
Conversion of Series E units
to Series D units - - - - - - - - - - 58494 58494
Distributions to equity holders
Preferred shares - - - - - - - (12981) - (12981) - (12981)
Noncontrolling interests - - - - - - - - - (5905) (5905)
Common shares - - - - - - - (24038) - (24038) - (24038)
Net (loss) income - - - - - - - (1800) - (1800) 3075 1275
Total other comprehensive income - - - - - - - - 102 102 - 102
Balances at June 30 2016 237730284 $ 2377 635075 $ 6 37010000 $ 370 $ 4462743 $ (335684) $ - $ 4129812 $ 749535 $ 4879347
radic Check figures
237730284 2377 635075 6 37010000 370 4462743 (335684) - 4129812 749535 4879347
- - - - - - - - - - - -
American Homes 4 Rent
Draft Consolidated Statements of Comprehensive Income
(in thousands)
For the Three Months Ended For the Six Months Ended For the Three Months Ended
June 30 June 30 March 31
2016 2015 2016 2015 2013 Q414 Check Variance 2016 2015
Net (loss) income $ (3753) $ (8398) $ 1275 $ (16663) $ (19066) (3753) - 0 5028 (8265)
Other comprehensive income - 0 - 0
Unrealized gain on interest rate cap agreement - 0 - 0
Unrealized interest rate cap agreement gain arising during the period - 30 - 30 - - 0 - 0 - -
Reclassification adjustment for amortization of interest expense included in net (loss) income 62 - 102 - ERRORREF ERRORREF 40 -
Unrealized gain on interest rate cap agreement 62 30 102 30 - 62 - 0 40 -
- 0 - 0
Other comprehensive income 62 30 102 30 - 62 - 0 40 -
Comprehensive (loss) income (3691) (8368) 1377 (16633) (19066) (3691) - 0 5068 (8265)
Comprehensive (loss) income attributable to noncontrolling interests (778) 3728 3058 7684 13245 (778) - 0 3836 3956
Dividends on preferred shares 7412 5569 12981 11138 1160 7412 - 0 5569 5569
Conversion of preferred shares - - - - 10456 - 0 - 0 - - 0
Comprehensive loss attributable to common shareholders $ (10325) $ (17665) $ (14662) $ (35455) $ (43927) (10325) - 0 (4337) (17790)
radic
American Homes 4 Rent
Draft Consolidated Statements of Operations
(in thousands)
For the Three Months Ended For the Six Months Ended For the Three Months Ended
June 30 June 30 March 31
2016 2015 2016 2015 2013 2016 2015
(Unaudited) (Unaudited) (Unaudited) (Unaudited)
Revenues
Rents from single-family properties $ 193491 $ 137818 $ 361486 $ 258498 $ 132722 $ 167995 $ 120680
Fees from single-family properties 2724 2204 4921 3535 3639 2197 1331
Tenant charge-backs 20253 11962 41269 20334 1588 21016 8372
Other 4504 1644 8489 3009 1083 3985 1365
Total revenues 220972 153628 416165 285376 139032 438 458 195193 131748
442 470 445
Expenses
Property operating expenses 95585 71439 180586 130647 443 463 85001 59208
General and administrative expense 7346 6276 15403 12407 8845 075 076 8057 6131
Advisory fees - - - - 6352 - -
Interest expense 35481 22003 66458 37673 370 30977 15670
Noncash share-based compensation expense 983 734 1853 1430 1079 870 696
Acquisition fees and costs expensed 3489 4236 9142 10144 4799 5653 5908
Depreciation and amortization 79604 59221 149121 112885 70987 69517 53664
Other 2087 840 3340 1534 1253 694
Total expenses 224575 164749 425903 306720 92432 201328 141971
Gain on remeasurement of equity method investment - - - - 10945 - -
Gain on conversion of Series E units - - 11463 - 11463 -
Remeasurement of Series E units - 2143 - 3981 (2057) - 1838
Remeasurement of preferred shares (150) 580 (450) 700 (1810) (300) 120
Net (loss) income (3753) (8398) 1275 (16663) 53678 5028 (8265)
Discontinued operations
Gain on disposition of single-family properties - - - - 904 - -
Income from discontinued operations - - - - 104 - -
Income from discontinued operations - - - - 1008 - -
Net loss (3753) (8398) 1275 (16663) (19066) 5028 (8265)
Noncontrolling interest (761) 3730 3075 7686 13245 3836 3956
Dividends on preferred shares 7412 5569 12981 11138 1160 5569 5569
Conversion of preferred units - - - - 10456 - -
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (43927) $ (4377) $ (17790)
Weighted-average shares outstandingndashbasic and diluted 238481265 211487164 228819566 211484461 123592086 219157870 211481727
Net loss per share - basic and diluted
Loss from continuing operations $ (004) $ (008) $ (006) $ (017) $ (037) (0) (0)
Income from discontinued operations - - - - $ 001 - -
Net loss attributable to common shareholders
per sharendashbasic and diluted $ (004) $ (008) $ (006) $ (017) $ (036) $ (002) $ (008)
radic
120883 $ 80545 227090 $ 151720
5584 5300 5570 5373
American Homes 4 Rent
Draft Consolidated Balance Sheets
(in thousands)
June 30 2016 December 31 2015
(Unaudited)
Assets
Single-family properties
Land $ 1475312 $ 1229017
Buildings and improvements 6450233 5469533
Single-family properties held for sale 131762 7432
8057307 6705982
Less accumulated depreciation (535648) (416044)
Single-family properties net 7521659 6289938
Cash and cash equivalents 270369 57686
Restricted cash 133996 111282
Rent and other receivables net 19280 13936
Escrow deposits prepaid expenses and other assets 144376 121627
Deferred costs and other intangibles net 16399 10429
Asset-backed securitization certificates 25666 25666
Goodwill 120655 120655
Total assets $ 8252400 $ 6751219
Liabilities
Credit facility $ 142000 $ -
Asset-backed securitizations net 2795777 2473643
Exchangeable senior notes net 106434 -
Secured note payable 50295 50752
Accounts payable and accrued expenses 215307 154751
Amounts payable to affiliates - 4093
Contingently convertible Series E units liability - 69957
Preferred shares derivative liability 63240 62790 -
Total liabilities 3373053 2815986
Commitments and contingencies
Equity
Shareholders equity
Class A common shares $001 par value per share 450000000 shares
authorized 237730284 and 207235510 shares issued and outstanding
at June 30 2016 and December 31 2015 respectively 2377 2072
Class B common shares $001 par value per share 50000000 shares authorized
635075 shares issued and outstanding at June 30 2016 and December 31 2015 6 6
Preferred shares $001 par value per share 100000000 shares authorized 37010000 and
17060000 shares issued and outstanding at June 30 2016 and December 31 2015 370 171
Additional paid-in capital 4462743 3554063
Accumulated deficit (335684) (296865)
Accumulated other comprehensive loss - (102)
Total shareholders equity 4129812 3259345
Noncontrolling interest 749535 675888
Total equity 4879347 3935233
Total liabilities and equity $ 8252400 $ 6751219
radic $ - $ -
American Homes 4 Rent
Quarterly Balance Sheet
(in thousands)
123112 33113 63013 93013 123113 33114 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 ARP Beg Bal 3116 Mar 312016 Jun 302016
Assets
Single-family properties
Land $ 96139 $ 223730 $ 580433 $ 668336 $ 728362 $ 797079 $ 847564 $ 982959 $ 1104409 $ 1166186 $ 1192335 $ 1218547 $ 1229017 $ 262396 $ 1474902 $ 1475312
Buildings and improvements 411706 902150 2472921 2896559 3188693 3507526 3758122 4296874 4808706 5117269 5263599 5401857 5469533 1014858 6434859 6450233
Single-family properties held for sale - - - - 6569 6226 5012 5574 3818 5428 6387 6472 7432 - 123575 131762
507845 1125880 3053354 3564895 3923624 4310831 4610698 5285407 5916933 6288883 6462321 6626876 6705982 1277253 8033336 8057307
Less accumulated depreciation (2132) (5037) (13850) (34773) (62202) (92177) (126904) (167664) (206262) (251528) (300173) (359412) (416044) - (472147) (535648)
Single-family properties net 505713 1120843 3039504 3530122 3861422 4218654 4483794 5117743 5710671 6037355 6162148 6267464 6289938 1277253 7561189 7521659
Cash and cash equivalents 397198 519410 251406 158065 148989 103249 239075 103939 108787 115693 90657 238417 57686 15499 71438 270369
Restricted cash - - 13572 21282 26430 32586 46912 59212 77198 86446 94837 106973 111282 9521 132082 133996
Rent and other receivables net 6586 8808 7644 6758 6863 6180 5646 5637 11009 11289 12184 17527 13936 843 16998 19280
Escrow deposits prepaid expenses and other assets 11961 29200 27936 23861 39212 24081 56110 60685 118783 114179 118516 118444 121627 35134 142828 144376
Deferred costs and other intangibles net - - 21978 24518 20573 18628 30365 42807 54582 14795 13374 12227 10429 22696 26854 16399
Asset-backed securitization certificates - - - 25666 25666 25666 25666 25666 25666 - 25666 25666
Goodwill 120655 120655 120655 120655 120655 120655 120655 120655 120655 - 120655 120655
Total assets $ 921458 $ 1678261 $ 3362040 $ 3764606 $ 4224144 $ 4524033 $ 4982557 $ 5536344 $ 6227351 $ 6526078 $ 6638037 $ 6907373 $ 6751219 $ 1360946 $ 8097710 $ 8252400
Liabilities
Credit facility $ - $ - $ 670000 $ 238000 $ 375000 $ 671000 $ 481000 $ 82000 $ 207000 $ 45000 $ 177000 $ - $ - $ 350000 $ 438000 $ 142000
Asset-backed securitizations net - - 480970 993058 1519390 2017917 2014738 2477749 2473643 329703 2799267 2795777
Exchangeable senior notes net - - - - 105328 105618 106434
Secured note payable - - - - 51644 51417 51200 50980 50752 - 50522 50295
Accounts payable and accrued expenses 11282 33970 75318 91637 103397 112583 117486 135789 149706 141382 158037 234651 154751 38485 200946 215307
Amounts payable to affiliates 5012 15828 21160 1012 - 6799 6598 10170 - 2609 1863 - 4093 - - -
Contingently convertible Series E units liability - - 64881 65319 66938 69694 74638 71050 72057 70219 68076 68601 69957 - - -
Preferred shares derivative liability - - - - 28150 29849 55670 57420 57960 57840 57260 60260 62790 - 63090 63240
Total liabilities 16294 49798 831359 395968 573485 889925 1216362 1349487 2057757 2386384 2528174 2892241 2815986 823516 3657443 3373053
Commitments and contingencies
Equity
Shareholders equity
Class A common shares 387 854 1294 1848 1848 1848 1848 2108 2108 2108 2108 2074 2072 365 2389 2377
Class B common shares - 6 6 6 6 6 6 6 6 6 6 6 6 - 6 6
Preferred shares - - - - 91 95 171 171 171 171 171 171 171 - 171 370
Additional paid-in capital 914565 1261141 1965413 2809829 2996478 3004928 3160486 3614428 3618207 3618769 3619503 3566892 3554063 518251 3997747 4462743
Accumulated deficit (63479) (86430) (107956) (140277) (170162) (198526) (226797) (265988) (296865) - (313364) (335684) (165522)
Accumulated other comprehensive loss (10278) (18030) (32027) (39686) - - (212) (196) (229) (229) (199) (148) (102) - (62) -
Total shareholders equity 904674 1243971 1934686 2771997 2934944 2920447 3054343 3476240 3450101 3422299 3394792 3303007 3259345 518617 3686887 4129812
Noncontrolling interest 490 384492 716650 717296 715715 713661 711852 710617 719493 717395 715071 712125 675888 18814 753380 749535
Total equity 905164 1628463 2651336 3489293 3650659 3634108 3766195 4186857 4169594 4139694 4109863 4015132 3935233 537430 4440267 4879347
Total liabilities and equity $ 921458 $ 1678261 $ 3482695 $ 3885261 $ 4224144 $ 4524033 $ 4982557 $ 5536344 $ 6227351 $ 6526078 $ 6638037 $ 6907373 $ 6751219 $ 1360946 $ 8097710 $ 8252400
radic - - (120655) (120655) - - - - - - - - - 0 - -
American Homes 4 Rent
Quarterly Metrics
($ in thousands)
For the Three Months Ended
Dec 312012 Mar 312013 Jun 302013 Sep 302013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016 Q2 v Q4 Q2 v PY
Quarterly Consolidated Statements of Operations
Revenues
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 73761 $ 88871 $ 104210 $ 109543 $ 120680 $ 137818 $ 148815 $ 152406 $ 167995 $ 193491 -
Fees from single-family properties 64 690 1476 1409 1358 1889 1529 1192 1331 2204 2146 1965 2197 2724 -
Tenant charge-backs - 47 323 1218 1890 3138 4282 5621 8372 11962 19881 16331 21016 20253 - 268
Other - 363 300 420 269 406 372 543 1365 1644 1771 1885 3985 4504 -
Total revenues 6559 18120 49463 64890 77278 94304 110393 116899 131748 153628 172613 172587 195193 220972 280 438
Expenses
Leased single-family properties
Property operating expenses 2503 6416 14204 19897 23811 30217 40651 38338 43518 55651 70398 62014 69304 -
Property management expenses - 443 3375 4573 5455 7082 9932 9988 10412 12172 13284 13458 15310 -
2503 6859 17579 24470 29266 37299 50583 48326 53930 67823 83682 75472 84614 - ERRORREF
Vacant single-family properties and other
Property operating expenses 1729 3063 3006 3460 4380 2275 1836 1886 2669 1629 475 246 - -
Property management expenses - 1328 4867 4676 4127 3249 1723 1698 2609 1987 895 738 387 -
Casualty loss on freeze damages - - - - 375 - - - - - - - - -
American Mortgage Investment Partners expenses - - - 212 161 318 326 545 - - - - - -
1729 4391 7873 8348 9043 5842 3885 4129 5278 3616 1370 984 387 - ERRORREF
Property operating expenses 59208 71439 85052 76456 85001 95585
General and administrative expense 1625 811 2742 3667 5074 5703 5291 5879 6131 6276 6090 6409 8057 7346 - 146
Advisory fees 2742 3610 - - - - - - - - - - - -
Interest expense 370 - - - 1502 3888 5112 9379 15670 22003 23866 27874 30977 35481 -
Noncash share-based compensation expense 174 279 153 473 532 612 751 691 696 734 913 782 870 983 -
Equity in income from unconsolidated JV - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - - - - ERRORREF
Acquisition fees and costs expensed 1390 2099 496 814 452 919 14550 6465 5908 4236 4153 5280 5653 3489 -
Depreciation and amortization 2905 10879 24043 33160 35131 38325 44855 47205 53664 59221 67800 62163 69517 79604 -
Other 694 840 1152 1084 1253 2087
Total expenses 13438 28928 52886 70932 81000 92588 125027 122074 141971 164749 189026 180048 201328 224575 -
Gain on remeasurement of equity method investment - 10945 - - - - - - - - - - - - -
Gain on conversion of Series E units - - - - 11463 -
Remeasurement of Series E units - - (438) (1619) (2756) (4944) 3588 (1007) 1838 2143 (525) (1356) - - -
Remeasurement of preferred shares - - - (1810) (457) (141) (1750) (3810) 120 580 (3000) (2530) (300) (150) -
Net (loss) income (6879) 137 (3861) (9471) (6935) (3369) (12796) (9992) (8265) (8398) (19938) (11347) 5028 (3753) -
Discontinued operations
Gain on disposition of single-family properties $ - $ 904 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - -
Income from discontinued operations 22 82 - - - - - - - - - - - - -
Total income from discontinued operations 22 986 - - - - - - - - - - - - -
Net loss (6857) 1123 (3861) (9471) (6935) (3369) (12796) (9992) (8265) (8398) (19938) (11347) 5028 (3753) - -707 -604
Noncontrolling interest $ 895 4664 3798 3888 3620 4212 3382 3751 3956 3730 3109 3558 3836 (761) -
Dividends on preferred shares - - - 1160 3121 4669 5569 5569 5569 5569 5569 5569 5569 7412 -
Conversion of preferred units - 10456 - - - - - - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
Net loss attributable to common shareholders $ (7752) $ (13997) $ (7659) $ (14519) $ (13676) $ (12250) $ (21747) $ (19312) $ (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404) -
American Homes 4 Rent
Quarterly Operating Statements and Metrics
($ in thousands)
For the Three Months Ended
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Financial Metrics
Core net operating income $ 4056 $ 10898 $ 31584 $ 40000 $ 47743 $ 56599 $ 59438 $ 68030 $ 76453 $ 84161 $ 87160 $ 95230 $ 106207 $ 120883 269 436
Net operating income margin 618 614 642 620 620 603 540 585 586 554 510 558 555 558
Core net operating income margin 619 619 652 650 648 630 573 621 633 608 586 621 628 621
GampA as of total revenues 47 41 35 37 41 33
Annualized GampA as of total assets 104 051 028 035 045 046 038 038 037 038 035 038 040 036
Adjusted EBITDA 65715 75073 80319 88638 100882 115954
Leased PM expenses as of rents amp fees from single-family properties 78 94 90 85 87 88 87
Vacant PM expenses as of rents amp fees from single-family properties 36 16 15 21 14 06 05
Total PM expenses as of rents amp fees from single-family properties 114 110 106 107 101 94 92
Portfolio Data - at end of period
Occupied single-family properties 30185 34293 35232 35958 43907 44021
Executed leases for future occupancy 998 610 385 445 548 708
Total leased single-family properties 31183 34903 35617 36403 44455 44729
Single-family properties in acquisition process 371 184 149 151 109 65
Single-family properties being renovated 1492 502 661 325 211 118
Single-family properties being prepared for re-lease 838 355 283 178 136 177
Vacant single-family properties available for re-lease 1008 1116 1389 1432 1242 1333
Vacant single-family properties available for initial lease 1661 387 232 246 221 34
Total single-family properties 36553 37447 38331 38735 46374 46456
Single-family properties held for sale 35 44 46 45 1581 1582
Total single-family properties and held for sale 36588 37491 38377 38780 47955 48038
Total leased percentage 853 932 929 940 959 963
Total occupancy percentage 826 916 919 928 947 948
Same-Home leased percentage 959 956 948 953 969 970
Same-Home occupancy percentage 944 943 938 943 958 955
Funds from Operations
Net loss attributable to common shareholders (7752) (13997) (7659) (14519) (13676) (12250) (21747) (19312) (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404)
Adjustments
Noncontrolling interests in the Operating Partnership 895 4662 4028 3718 3715 4140 3583 3791 3869 3861 3123 3657 3912 (616)
Net (gain) loss on sale impairment of single-family properties - - - - (60) 68
Depreciation and amortization of real estate assets 2905 10581 23211 31702 33827 36793 43153 45513 51204 56866 66218 60714 68162 78216
Funds from operations $ (3952) $ 1246 $ 19580 $ 20901 $ 23866 $ 28683 $ 24989 $ 29992 $ 37283 $ 43030 $ 40725 $ 43897 $ 67637 $ 67264 $ -
Adjustments
Acquisition fees and costs expensed 1390 2099 496 814 452 919 14550 6465 5908 4236 4153 5280 5653 3489
Noncash share-based compensation expense 174 279 153 473 532 612 751 691 696 734 913 782 870 983
Gain on remeasurement of equity method investment - (10945) - - - - - - - - - - -
- - - - -
Noncash interest expense on related to acquired debt - - - - 576 1649
Gain on conversion of Series E units - - - - (11463) -
Remeasurement of Series E units - - 438 1619 2756 4944 (3588) 1007 (1838) (2143) 525 1356 - -
Remeasurement of preferred shares - - - 1810 457 141 1750 3810 (120) (580) 3000 2530 300 150
Conversion of preferred units - 10456 - - - - - - - - - - - -
- - - - -
Core funds from operations $ (2388) $ 3135 $ 20667 $ 25617 $ 28063 $ 35299 $ 38452 $ 41965 $ 41929 $ 45277 $ 49316 $ 53845 $ 63573 $ 73535 $ - 366 754
Recurring capital expenditures (7785) (10200) (8495) (5799) (6017) (8755)
Leasing costs (2410) (3011) (2312) (1844) (1929) (2151)
Adjusted funds from operations $ 31734 $ 32066 $ 38509 $ 46202 $ 55627 $ 62629
FFO per weighted average FFO share $ (007) $ 001 $ 009 $ 009 $ 010 $ 012 $ 010 $ 011 $ 014 $ 016 $ 015 $ 017 $ 025 $ 023
Core FFO per weighted average FFO share $ (004) $ 002 $ 010 $ 011 $ 012 $ 015 $ 015 $ 016 $ 016 $ 017 $ 019 $ 021 $ 023 $ 025
Adjusted FFO per weighted average FFO share $ 012 $ 012 $ 014 $ 018 $ 020 $ 021
Quarter-weighted average shares OS 48233982 95971706 162725150 185499066 185504294 185515651 202547677 211473906 211481727 211487164 211414368 208045996 219157870 238481265
Class A units 32668 2891133 13787292 13787292 13787292 13787292 13787292 14440670 14440670 14440670 14440670 14440670 26177307 46812904
Common shares and units 48266650 98862839 176512442 199286358 199291586 199302943 216334969 225914576 225922397 225927834 225855038 222486666 245335177 285294169
Series C units 10827699 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 19813038 -
Series D units - 972222 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 5913462 8750000
Series E units - 972222 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 2836538 -
FFO shares 59094349 131893257 216348416 239122332 239127560 239138917 256170943 265750550 265758371 265763808 265691012 262322640 273898215 294044169
Analyst Estimates (1)
Core FFO Revenues EBITDA Rating
BAML 024 213550 69380 Buy
FBR 021 215750 67060 Outperform
Goldman Sachs 022 205440 na Neutral
JP Morgan 023 227000 na Neutral
KBW 020 225700 na Market Perform
Morgan Stanley 023 na na Overweight
Raymond James 023 220000 na Strong buy
Wells Fargo 025 220270 72630 Market Perform
Zelman amp Associates 022 212950 na Hold
Average 023 217583 69690
Actual 025 220972 213626
Variance 002 3390 143936
Surprise 887 156 20654
(1) Analyst estimates provided by Thomson First Call
radic
Detail of Vacant property management expenses 93013 123113 33114 63014 93014 123114 33115 63015 93015 123115 33116 63016
Property management expenses - 1328 4399 3864 3482 2880 1146 1631 2346 1721 487 420 387 ERRORREF
3rd party PM termination - - 468 583 509 211 209
Valerie Ware Valerie WareTB Acct 6104200
- - - - - - -
Casualty loss on fire damage - - - 165 - - - - - - - - - -
Impairment of single-family properties - - - 965 136 158 368 67 263 266 408 318 - ERRORREF
Management internalization true-up - - - (901) - - - - - - - - - -
- 1328 4867 4676 4127 3249 1723 1698 2609 1987 895 738 387 -
American Homes 4 Rent
Draft Consolidated Statements of Operations
(in thousands)
Fluctuation Analysis For the Three Months Ended
For the Six Months Ended For the Three Months Ended
June 30 2016 June 30 2015 Change Change June 30 2016 June 30 2015 Change Change June 30 2016 March 31 2016 Change Change Notes
Revenues
Rents from single-family properties $ 193491 $ 137818 $ 55673 404 $ 361486 $ 258498 $ 102988 398 $ 193491 $ 167995 $ 25496 152 Average number of leased properties increased to 44592 properties for the second quarter of 2016 from 33043 properties for the second quarter of 2015 roughly a 350 increase which is consistent with the actual increase in rent revenue for the second quarter of 2016 compared to the second quarter of 2015 Average number of leased properties increased to 44592 properties for the second quarter of 2016 from 40429 properties for the first quarter of 2016 roughly a 103 increase which is consistent with the actual increased rent revenue for the second quarter of 2016 compared to the first quarter of 2016
Fees from single-family properties 2724 2204 520 236 4921 3535 1386 392 2724 2197 527 240
Tenant charge-backs 20253 11962 8291 693 41269 20334 20935 1030 20253 21016 (763) -36 Q216 vs Q215 QTD and YTD increases in tenant charge-backs is expected as more properties were leased during Q2 2016 than during Q2 2015 Decrease in tenant charge-backs in Q2 2016 compared to Q1 2016 is primarily related to lower accrued gas utiligy charge-backs
Other 4504 1644 2860 1740 8489 3009 5480 1821 4504 3985 519 130
Total revenues 220972 153628 67344 438 416165 285376 130789 458 220972 195193 25779 132
Expenses
Property operating expenses 95585 71439 24146 338 180586 130647 49939 382 95585 85001 10584 125 Main driver of property operating expense increases was the addition of ARP properties in March 2016 and higher property taxes As a percentage of revenues from single-family properties total property operating expenses were approximately 440 vs 470 for the three months ended 63016 and 63015 respectively and approximately 442 vs 463 for the six months ended 63016 and 63015 respectively The increase in opex is primarily due to increased property tax expense and property management expenses As a percentage of revenues from single-family properties total property operating expenses were approximately 440 vs 445 for the three months ended 63016 and 33116 respectively The increase in opex is due to increased property tax expense RampM and turnover costs and property management expenses
General and administrative expense 7346 6276 1070 170 15403 12407 2996 241 7346 8057 (711) -88 Q2 2016 over Q2 2015 QTD increase is primarily attributable to $05M higher state taxes $03M higher Cloud servicing costs and $01M increase in professional fees Q2 2016 over Q2 2015 YTD increase is primarily attributable to $11M higher state taxes $06M higher Cloud servicing costs $04M increase in tempconsulting services $03M increase in professional fees $02M increase in software licensing costs and $02M higher legal costs Q2 2016 over Q1 2016 decrease is primarily attributable to $6175M decrease in auditlegal costs and $912M lower state taxes
Advisory fees - - - 0 00 - - - 0 00 - - - 0 00
Interest expense 35481 22003 13478 613 66458 37673 28785 764 35481 30977 4504 145 Increase in interest expense during Q2 2016 v Q1 2016 is related to the assumption of an asset-backed securitization and exchangeable senior notes in the ARPI merger Increase in interest expense during Q2 2016 v Q2 2015 QTD and YTD is related to the completion of our fifth securitization in September 2015 and the assumption of an asset-backed securitization and exchangeable senior notes in the ARPI merger
Noncash share-based compensation expense 983 734 249 339 1853 1430 423 296 983 870 113 130 Increase due to additional stock options granted and RSUs awarded during 2016
Acquisition fees and costs expensed 3489 4236 (747) -176 9142 10144 (1002) -99 3489 5653 (2164) -383 Decrease during Q2 2016 v Q2 2015 QTD and YTD primarily related to lower internal construction and acquisition costs partially offset by increased ARPI merger costs and AMIP costs Decrease during Q2 2016 v Q1 2016 primarily related to decreased ARPI merger costs and lower AMIP costs
Depreciation and amortization 79604 59221 20383 344 149121 112885 36236 321 79604 69517 10087 145 Refer to depreciation reasonableness analysis
Other 2087 840 1247 1485 3340 1534 1806 1177 2087 1253 834 666
Total expenses 224575 164749 59826 363 425903 306720 119183 389 224575 201328 23247 115
Gain on remeasurement of equity method investment - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Gain on conversion of Series E units - - - 0 00 11463 - 11463 1000 - 11463 (11463) 1000 A gain was realized on the conversion of Series E units to Series D units during Q1 2016
Remeasurement of Series E units - 2143 (2143) -1000 - 0 3981 (3981) -1000 - - - 0 00
Remeasurement of preferred shares (150) 580 (730) -1259 (450) 700 (1150) -1643 (150) (300) 150 -500
Net (loss) income (3753) (8398) 4645 -553 1275 (16663) 17938 -1077 (3753) 5028 (8781) -1746
Discontinued operations
Gain on disposition of single-family properties - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Income from discontinued operations - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Total income from discontinued operations - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Net loss (3753) (8398) 4645 -553 1275 (16663) 17938 -1077 (3753) 5028 (8781) -1746
- 0
Noncontrolling interest (761) 3730 (4491) -1204 3075 7686 (4611) -600 (761) 3836 (4597) -1198 See noncontrolling interest rollforward
Dividends on preferred shares 7412 5569 1843 331 12981 11138 1843 165 7412 5569 1843 331 New Series D PS began receiving dividends Q2 2016
Conversion of preferred units - - - 0 - - - - 0 ERRORDIV0 - - - 0
Net loss attributable to common shareholders $ (10404) $ (17697) $ 7293 -412 $ (14781) $ (35487) $ 20706 -583 $ (10404) $ (4377) $ (6027) 1377
Weighted average shares outstanding - basic and diluted 238481265 211487164 228819566 211484461 238481265 219157870
Net loss attributable to common shareholders
per share - basic and diluted $ (004) $ (008) $ (006) $ (017) $ (004) $ (002)
- - - - - -
radic
$ 100630 $ 68583 $ 185821 $ 131386 $ 100630 $ 85191
5129 5580 5071 5014 5129 5580
American Homes 4 Rent
Draft Consolidated Balance Sheets
Fluctuation Analysis
(in thousands)
June 30 2016 March 31 2016 $ Change Change June 30 2016 December 31 2015 $ Change Change June 30 2016 June 30 2015 $ Change Change Notes
Assets
Single-family properties
Land $ 1475312 $ 1474902 $ 410 00 $ 1475312 $ 1229017 $ 246295 200 $ 1475312 $ 1192335 $ 282977 237 Total property count increased to 48038 as of 63016 from 37491 as of 63015 representing a 281 increase which is primarily related to the ARPI merger and is consistent with the actual increase in single-family homes net Total property count increased to 48038 as of 63016 from 38780 as of 123115 representing a 239 increase which is primarily related to the ARPI merger and is consistent with the actual increase in single family homes net Total property count increased to 48038 as of 63016 from 47955 as of 33116 representing a 00 increase which is consistent with the actual increase in single family homes net
Buildings and improvements 6450233 6434859 15374 02 6450233 5469533 980700 179 6450233 5263599 1186634 225 See above
Single-family properties held for sale 131762 123575 8187 66 131762 7432 124330 16729 131762 6387 125375 19630
8057307 8033336 23971 03 8057307 6705982 1351325 202 8057307 6462321 1594986 247
Less accumulated depreciation (535648) (472147) (63501) 134 (535648) (416044) (119604) 287 (535648) (300173) (235475) 784 Refer to depreciation reasonableness analysis
Single-family properties net 7521659 7561189 (39530) -05 7521659 6289938 1231721 196 7521659 6162148 1359511 221
Cash and cash equivalents 270369 71438 198931 2785 270369 57686 212683 3687 270369 90657 179712 1982 Refer to statement of cash flows
Restricted cash 133996 132082 1914 14 133996 111282 22714 204 133996 94837 39159 413 Total number of leased properties increased to 44729 as of 63016 from 34903 as of 63015 representing a 282 increase Total number of leased properties increased to 44729 as of 63016 from 36403 as of 123115 representing a 229 increase Total number of leased properties increased to 44729 as of 63016 from 44455 as of 33116 representing a 01 increase
Rent and other receivables net 19280 16998 2282 134 19280 13936 5344 383 19280 12184 7096 582 Increase at 63016 vs 63015 is due to a 282 increase in leased properties from 34903 leased properties at 63015 to 44729 leased properties at 63016 Increase at 63016 vs 123115 is due to a 229 increase in leased properties from 36403 leased properties at 123115 to 44729 leased properties at 63016 Increase at 63016 vs 33116 is primarily due to a $1M decrease in allowance for doubtful accounts
Escrow deposits prepaid expenses and other assets 144376 142828 1548 11 144376 121627 22749 187 144376 118516 25860 218 Increase at 63016 v 33116 is due to a $20M increase in commercial real estate partially offset by a $17M decrease in AMH purchased mortgage loans and purchased mortgage loans assumed in the ARPI merger Increase at 63016 v 123115 is due to a $20M increase in commercial real estate $13M of investments in ARP joint ventures and $11M related to purchased mortgage loans assumed in the ARPI merger partially offset by a $24M decrease in AMH purchased mortgage loans Increase at 63016 v 63015 is due to a $20M increase in commercial real estate $13M of investments in ARP joint ventures $11M related to purchased mortgage loans assumed in the ARPI merger and a $10M additional investment in the Alaska II JV during the second half of 2015 partially offset by a $27M decrease in AMH purchased mortgage loans
Deferred costs and other intangibles net 16399 26854 (10455) -389 16399 10429 5970 572 16399 13374 3025 226 Increase in deferred costs and other intangibles net at 63016 compared to 123115 and 63015 is primarily related to $227M of deferred in-places acquired through the ARPI merger Decrease in deferred costs and other intangibles net at 63016 compared to 33115 is related to $10M of amortization related to deferred in-place leases acquired through the ARPI merger
Asset-backed securitization certificates 25666 25666 - 00 25666 25666 - 00 25666 25666 - 00
Goodwill 120655 120655 - 00 120655 120655 - 00 120655 120655 - 00
Total assets $ 8252400 $ 8097710 $ 154690 19 $ 8252400 $ 6751219 $ 1501181 222 $ 8252400 $ 6638037 $ 1614363 243
Liabilities
Credit facility 142000 $ 438000 $ (296000) -676 $ 142000 $ - $ 142000 1000 $ 142000 $ 177000 $ (35000) -198 During Q1 2016 amounts were borrowed against the credit facility to pay off the credit facility assumed in the ARPI merger During Q2 2016 paydowns were made on the credit facility using proceeds from the Series D preferred share offering
Asset-backed securitizations net 2795777 2799267 (3490) -01 2795777 2473643 322134 130 2795777 $ 2014738 $ 781039 388 63016 v 123115 increase due to the assumption of an asset-backed securitization through the ARPI merger in February 2016 63016 v 63015 increase due to the completion of the fifth securitization in September 2015 and to the assumption of an asset-backed securitization through the ARPI merger in February 2016
Exchangeable senior notes net 106434 105618 816 08 106434 - 106434 1000 106434 $ - $ 106434 1000 Increase at 63016 due to assumption of ARPIs exchangeable senior notes net through the merger
Secured note payable 50295 50522 (227) -04 50295 50752 (457) -09 50295 $ 51200 $ (905) -18
Accounts payable and accrued expenses 215307 $ 200946 $ 14361 71 215307 $ 154751 $ 60556 391 215307 158037 57270 362 Increase at 63016 compared to 123115 was primarily attributable to approximately $39M higher accrued property taxes approximately $17M higher resident security deposits and approximately $6M accrued severance related to the ARPI merger Increase at 63016 compared to 63015 was primarily attributable to approximately $29M more accrued property taxes approximately $18M more in security deposits approximately $6M of accrued severance related to the ARPI merger and approximately $4M more prepaid rent Increase at 63016 compared to 33116 was primarily attributable to approximately $20M more accrued property taxes partially offset by lower accrued liabilities related to lower accrued ARPI legalprofessional fees and fewer EFT transactions
Amounts payable to affiliates - 0 - - 00 - 0 4093 (4093) -1000 - 0 1863 (1863) -1000 Decrease at 63016 compared to 63015 is due to a $12 million net due from affiliates that is included in escrow deposits prepaid expenses and other assets as of 63016 while 63015 had a net payable to affiliates of $19 million included in liabilities Decrease at 63016 compared to 123115 is due to a $12 million net due from affiliates that is included in escrow deposits prepaid expenses and other assets as of 63016 while 123115 had a net payable to affiliates of $41 million included in liabilities
Contingently convertible Series E units liability - 0 - - 00 - 0 69957 (69957) -1000 - 0 68076 (68076) -1000 Series E units were converted into Series D units during Q1 2016 thus the Series E units liability was eliminated
Preferred shares derivative liability 63240 63090 150 02 63240 62790 450 07 63240 57260 5980 104
Total liabilities 3373053 3657443 (284390) -78 3373053 2815986 557067 198 3373053 2528174 844879 334
Commitments and contingencies
Equity
Shareholders equity
Class A common shares $001 par value per share 450000000 shares authorized
237730284 and 207235510 shares issued and outstanding
at June 30 2016 and December 31 2015 respectively 2377 2389 (12) -05 2377 2072 305 147 2377 2108 269 128
Class B common shares $001 par value per share 50000000 shares authorized
635075 shares issued and outstanding
at June 30 2016 and December 31 2015 6 6 - 00 6 6 - 00 6 6 - 00
Preferred shares $001 par value per share 100000000 shares authorized 37010000 and
17060000 issued and outstanding at June 30 2016 and December 31 2015 370 171 199 1164 370 171 199 1164 370 171 199 1164
Additional paid-in capital 4462743 3997747 464996 116 4462743 3554063 908680 256 4462743 3619503 843240 233 Increase in APIC at 63016 from 63015 primarily related to Series D amp E preferred share issuances during Q2 2016 and $5113M of Class A common shares issued in connection with the Merger in Q1 2016 partially offset by $1533M of share repurchases Increase in APIC at 63016 from 123115 primarily related to Series D amp E preferred share issuances during Q2 2016 and $5113M of Class A common shares issued in connection with the Merger in Q1 2016 partially offset by $960M of share repurchases Increase in APIC at 63016 from 33116 primarily related to Series D amp E preferred share issuances during Q2 2016 partially offset by $200M of share repurchases
Accumulated deficit (335684) (313364) (22320) 71 (335684) (296865) (38819) 131 (335684) (226797) (108887) 480 Increase in accumulated deficit at 63016 from 63015 123115 and 33116 is related to PS and CS distributions as well as net loss
Accumulated other comprehensive loss - 0 (62) 62 -1000 - (102) 102 -1000 - (199) 199 -1000
Total shareholders equity 4129812 3686887 442925 120 4129812 3259345 870467 267 4129812 3394792 735020 217
-
Noncontrolling interest 749535 753380 (3845) -05 749535 675888 73647 109 749535 715071 34464 48
Total equity 4879347 4440267 439080 99 4879347 3935233 944114 240 4879347 4109863 769484 187
-
Total liabilities and equity $ 8252400 $ 8097710 $ 154690 19 $ 8252400 $ 6751219 $ 1501181 222 $ 8252400 $ 6638037 $ 1614363 243
- - - - - - -
radic
American Homes 4 Rent
Financial Statement Workbook
Quarter Ended - June 30 2016
Index
Prepared by Reviewed by Reviewer Comments
Financial Statements
Condensed Consolidated Balance Sheets Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Condensed Consolidated Statements of Operations Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Consolidated Statement of Comprehensive Income Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Condensed Consolidated Statements of Equity Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Condensed Consolidated Statements of Cash Flows Go tohellip Valerie Solberg Daniel Chon Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Financial Statement Worksheets
63016 YTD Financial Statement Worksheet Go to Whitney Skaff Valerie Solberg Tied trial balance column to underlying trial balance tab checked prior period roll-over adjustments to prior period working papers reviewed and confirmed each top-side adjustment to source documentation calculation recalculated mathematical accuracy
63016 YTD Trial Balance Go to Whitney Skaff Valerie Solberg Tied trial balance to final trial balance provided by accounting team recalculated all supporting calculations performed in worksheet margin used via linkages from other tabs
63016 YTD Cash Flow Worksheet Go to Valerie Solberg Daniel Chon Tied prior period balances to prior period financial statements checked current period linkages to respective source worksheet recalculated each number and adjustment within cash flow worksheet
63016 YTD Funds from Operations Go tohellip Valerie Solberg Daniel Chon Recalculated FFO and Core FFO calculation ensured consistency with NAREIT White Paper FFO definition and AMH Core FFO definition compared for reasonableness against internal corporate model expectations
Other Supporting Schedules
Common Shares Log Go tohellip Whitney Skaff Valerie Solberg Checked opening balances against prior period recalculated mathematical accuracy and confirmed current period transactions if any to my knowledge of quarterly business activity and underlying source documentation
OP Units Log Go tohellip Whitney Skaff Valerie Solberg Checked opening balances against prior period recalculated mathematical accuracy and confirmed current period transactions if any to my knowledge of quarterly business activity and underlying source documentation
Diluted AH LLC Ownership Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy
Weighted Average Shares Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy and checked formula linkages to other tabs within workbook
Earnings Per Share Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy and checked formula linkages to other tabs within workbook
Noncontrolling Interest Roll-forward Go tohellip Whitney Skaff Valerie Solberg Checked opening balances against prior period recalculated mathematical accuracy and tied out recalculated current quarter activity
Class A Unit - Weighted Average Units Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy
Management Company Expenses Go tohellip Whitney Skaff Valerie Solberg Tied cost center amounts to underlying source trial balance recalculated mathematical accuracy
REIT GampA Expense Detail Go tohellip Whitney Skaff Valerie Solberg Tied current quarter amounts to underlying trial balance recalculated mathematical accuracy reviewed quarter over quarter trends for unusual activity or fluctuations
Held for Sale Properties Go tohellip Whitney Skaff Valerie Solberg Confirmed prior period HFS properties to prior period working papers confirmed completeness of current period additions and sales with disposal team verified valuation of current period HFS properties with disposal team recalculated mathematical accuracy verified proper flow of HFS and sold properties impact
Preparer
s
Whitney Skaff Financial Reporting Analyst Date
Reviewer
s
Valerie Solberg Manager of Financial Reporting Date
Secondary Reviewer
s
Daniel Chon Senior Manager of Finance Date
American Homes 4 Rent
Funds from Operations
(in thousands) For the Three Months Ended For the Three Months Ended For the Three Months Ended For the Three Months Ended
Jun 302016 Mar 312016 Dec 312015 Sep 302015 Jun 302015 Mar 312015 Dec 312014 Sep 302014 March 31 2016 December 31 2015 September 30 2015 June 30 2015 March 31 2015 December 31 2014 September 30 2014 June 30 2014 March 31 2014 December 31 2013 September 30 2013 June 30 2013 March 31 2013
Net loss attributable to common shareholders $ (10404) $ (4377) $ (20474) $ (28616) $ (17697) $ (17790) $ (19312) $ (21747) $ (4377) $ (19041) $ (28616) $ (17697) $ (17790) $ (19312) $ (21747) $ (12250) $ (13676) $ (14519) $ (7659) $ (13997) $ (7752)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3912 3657 3123 3861 3869 3791 3583 3912 3756 3123 3861 3869 3791 3583 4140 3715 3718 4028 4662 895
Net loss (gain) on sale impairment of single-family properties 68 (60) - - - (60) (904)
Depreciation and amortization of real estate assets 78216 68162 60714 66218 56866 51204 45513 43153 68162 60714 66218 56866 51204 45513 43153 36793 33827 31702 23211 10581 2905
Funds from operations attributable to common share and unit holders $ 67264 $ 67637 $ 43897 $ 40725 $ 43030 $ 37283 - ERRORREF $ 67637 $ 37283 $ 29992 $ 24989 $ 28683 $ 23866 $ 20901 $ 19580 $ 342 $ (3952)
Adjustments
Acquisition fees and costs expensed 3489 5653 5280 4153 4236 5908 5653 5280 4153 4236 5908 6465 14550 919 452 814 496 2099 1390
Noncash share-based compensation expense 983 870 782 913 734 696 6465 14550 870 782 913 734 696 691 751 612 532 473 153 279 174
Noncash interest expense related to acquired debt 1649 576 - - - - 691 751 576 - - (10945) -
Gain on conversion of Series E units - (11463) - - - - (11463)
Remeasurement of Series E units - - 1356 525 (2143) (1838) -
Remeasurement of preferred shares 150 300 2530 3000 (580) (120) 1007 (3588) 300 (1838) 1007 (3588) 4944 2756 1619 438 - -
Conversion of preferred units - - - - - - - - 10456 -
Core funds from operations attributable to common share and unit holders $ 73535 $ 63573 $ 53845 $ 49316 $ 45277 $ 41929 - $ 63573 $ 54196 $ 49316 $ 45277 $ 41929 $ 41965 $ 38452 $ 35299 $ 28063 $ 23807 $ 20667 $ 2231 $ (2388)
Recurring capital expenditures (8755) (6017) (5799) (8495) (10200) (7785) $ 41965 $ 11713 (6017)
Leasing costs (2151) (1929) (1844) (2312) (3011) (2410) (1929)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 55627 $ 46202 $ 38509 $ 32066 $ 31734 157 $ 55627
$ 41965
Weighted-average number of FFO shares 294044169 273898215 262322640 265691012 265763808 265758371 273898215 265758371 265750550 256170943 239138917 239127560 239122332 216348416 131893257 59094349
FFO per weighted-average FFO share $ 023 $ 025 $ 017 $ 015 $ 016 $ 014 265750550 256170943 $ 025 $ 014 $ 011 $ 010 $ 012 $ 010 $ 009 $ 009 $ 000 $ (007)
Core FFO per weighted-average FFO share $ 025 $ 023 $ 021 $ 019 $ 017 $ 016 $ 011 $ 010 $ 023 $ 021 $ 019 $ 017 $ 016 $ 016 $ 015 $ 015 $ 012 $ 010 $ 010 $ 002 $ (004)
Adjusted FFO per weighted-average FFO share $ 021 $ 020 $ 018 $ 014 $ 012 $ 012 $ 016 $ 015 $ 020
77
Quarter weighted-average shares OS 238481265 219157870 208045996 211414368 211487164 211481727 219157870 208045996 211414368 211487164 211481727 211473906 202547677 185515651 185504294 185499066 162725150 95971706 48233982
Class A units 46812904 26177307 14440670 14440670 14440670 14440670 211473906 202547677 26177307 14440670 14440670 14440670 14440670 14440670 13787292 13787292 13787292 13787292 13787292 2891133 32668
Common shares and units 285294169 245335177 222486666 225855038 225927834 225922397 14440670 13787292 245335177 222486666 225855038 225927834 225922397 225914576 216334969 199302943 199291586 199286358 176512442 98862839 48266650
Series C units - 19813038 31085974 31085974 31085974 31085974 225914576 216334969 19813038 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974
Series D units 8750000 5913462 4375000 4375000 4375000 4375000 31085974 31085974 5913462 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 31085974 31085974 31085974 10827699
Series E units - 2836538 4375000 4375000 4375000 4375000 4375000 4375000 2836538 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 972222 -
FFO shares 294044169 273898215 262322640 265691012 265763808 265758371 4375000 4375000 273898215 262322640 265691012 265763808 265758371 265750550 256170943 239138917 239127560 4375000 4375000 972222 -
265750550 256170943 239122332 216348416 131893257 59094349
Noncontrolling interest
Consolidated joint ventures 145 75 98 15 132 (87) 75 98 15 132 (87) 40 201 (73) 95
Operating Partnership 616 (3912) (3657) (3123) (3861) (3869) 40 201 (3912) (3756) (3123) (3861) (3869) (3791) (3583) (4140) (3715) (169) 229 (2) -
761 (3837) (3559) (3108) (3729) (3956) (3791) (3583) (3837) (3658) (3108) (3729) (3956) (3751) (3382) (4213) (3620) (3718) (4028) (4662) (895)
(3751) (3382) 3836 (3887) (3799) (4664) (895)
Calculation of Depreciation and amortization of real estate assets 1 (1) - -
Depreciation and amortization 79604 69517 62163 67800 59221 53664 69517 62163 67800 59221 53664 47205 44855 38325 35131
Less amort of non-RE intangibles (240) (240) (240) (240) (240) (240) 47205 44855 (240) (240) (240) (240) (240) (240) (240) (240) (240) 33160 24043 10879 2905
Less depr of non-RE assets (1148) (1115) (1111) (1051) (1833) (1914) (240) (240) (1115) (1111) (1051) (1833) (1914) (1506) (958) (942) (696) (240) (160) (137) -
Less NCI in RJ depreciation - - (98) (291) (282) (306) (1506) (958) - (98) (291) (282) (306) 54 (504) (350) (368) (743) (232) (58) -
78216 68162 60714 66218 56866 51204 54 (504) 68162 60714 66218 56866 51204 45513 43153 36793 33827 (475) (440) (103) -
45513 43153 31702 23211 10581 2905
radic
Avg Capex per Same-Home property $ 191
Valerie Ware Valerie WareFrom Same-Home Results - Sequential Quarterly History in Supp
$ 132 $ 154 $ 230 $ 283 $ 236
Number of stabilized properties 45836
Valerie Ware Valerie WareTotal SFPs less non-stabilized SFPs less HFS props from Same-Home Core NOI by segment
45582 37654 36934 36042 32987
Recurring capital expenditures $ 8754676 $ 6016824 $ 5798716 $ 8494820 $ 10199886 $ 7784932
American Homes 4 Rent
Funds from Operations For the Three Months EndedJune 30 For the Six Months EndedJune 30
(in thousands) For the Three Months Ended March 31
2016 2015 2016 2015 2013 2016 2015
Net loss attributable to common shareholders $ (10404) $ (17697) (14781) $ (35487) $ (43927) (4377) (17790)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3861 3296 7730 13303 3912 3869
Net loss on sale impairment of single-family properties 68 - 8 - (60) -
Depreciation and amortization of real estate assets 78216 56866 146378 108070 68399 68162 51204
Funds from operations attributable to common share and unit holders $ 67264 $ 43030 $ 134901 $ 80313 $ 37775 $ 67637 $ 37283
Adjustments
Acquisition fees and costs expensed 3489 4236 9142 10144 4799 5653 5908
Noncash share-based compensation expense 983 734 1853 1430 1079 870 696
Gain on remeasurement of equity method investment - - - - (10945) - -
Noncash interest expense related to acquired debt 1649 - 2225 - 576 -
Gain on conversion of Series E units - - (11463) - (11463) -
Remeasurement of Series E units - (2143) - (3981) 2057 - (1838)
Remeasurement of preferred shares 150 (580) 450 (700) 1810 300 (120)
Conversion of preferred units - - - - 10456 - -
Core funds from operations attributable to common share and unit holders $ 73535 $ 45277 $ 137108 $ 87206 $ 47031 $ 63573 $ 41929
Recurring capital expenditures (8755)
Whitney Skaff Whitney SkaffAvg capex per SH property in SH sequential history table multiplied by total properties less HFS less non-stabilized from Core NOI by type table
(10200) (14772) (17985) $ (6017) $ (7785)
Leasing costs (2151) (3011) (4080) (5421) $ (1929) $ (2410)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 32066 $ 118256 $ 63800 $ 55627 $ 31734
Weighted-average number of FFO shares (1) 294044169 265763808 283965960 265761105 239127560
FFO per weighted-average FFO share $ 023 $ 016 $ 048 $ 030 $ 016
Core FFO per weighted-average FFO share $ 025 $ 017 $ 048 $ 033 $ 020
Adjusted FFO attributable to common share and unit holders $ 021 $ 012 $ 042 $ 024
Weighted-average FFO shares and units
Common shares outstanding 238481265 211487164 228819566 211484461 185504294
Class A units 46812904 14440670 36489875 14440670 13787292
Common shares and units 285294169 225927834 265309441 225925131 199291586
Series C units - 31085974 9906519 31085974 31085974
Series D units 8750000 4375000 7331731 4375000 4375000
Series E units - 4375000 1418269 4375000 4375000
FFO shares 294044169 265763808 283965960 265761105 239127560
Noncontrolling interest
Consolidated joint ventures 145 132 220 45 58 75
Operating Partnership 616 (3861) (3296) (7730) (13303) (3912)
761 (3729) (3076) (7685) (13245) (3837)
Calculation of Depreciation and amortization of real estate assets
Depreciation and amortization 79604 59221 149121 112885 70987 69517
Less amort of non-RE intangibles (240) (240) (480) (480) (537) (240)
Less depr of non-RE assets (1148) (1833) (2263) (3747) (1033) (1115)
Less NCI in RJ depreciation - (282) - (588) -
78216 56866 146378 108070 69417 68162
radic
American Homes 4 Rent
Funds from Operations
June 30 2016
(in thousands) For the Three Months EndedJune 30 For the Six Months EndedJune 30
2016 2015 2016 2015 2013
(Unaudited) (Unaudited) (Unaudited) (Unaudited)
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (43927)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3861 3296 7730 13303
Net loss on sale impairment of single-family properties 68 - 8 - 0
Depreciation and amortization of real estate assets 78216 56866 146378 108070 68399
FFO attributable to common share and unit holders $ 67264 $ 43030 $ 134901 $ 80313 $ 37775
Adjustments
Acquisition fees and costs expensed 3489 4236 9142 10144 4799
Noncash share-based compensation expense 983 734 1853 1430 1079
Gain on remeasurement of equity method investment - - - - (10945)
Noncash interest expense related to acquired debt 1649 - 2225 -
Gain on conversion of Series E units - 0 - (11463) -
Remeasurement of Series E units - 0 (2143) - (3981) 2057
Remeasurement of preferred shares 150 (580) 450 (700) 1810
Conversion of preferred units - - - - 10456
Core FFO attributable to common share and unit holders $ 73535 $ 45277 $ 137108 $ 87206 $ 47031
Recurring capital expenditures (8755) (10200) (14772) (17985)
Leasing costs (2151) (3011) (4080) (5421)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 32066 $ 118256 $ 63800
Weighted-average FFO shares and units (1) 294044169 265763808 283965960 265761105 239127560
Per FFO share and unit
FFO attributable to common share and unit holders $ 023 $ 016 $ 048 $ 030 $ 015
Core FFO attributable to common share and unit holders $ 025 $ 017 $ 048 $ 033 $ 019
Adjusted FFO attributable to common share and unit holders $ 021 $ 012 $ 042 $ 024
radic
American Homes 4 Rent
Supplemental Information Package
Funds from Operations
June 30 2016
($ in thousands)
For the Three Months EndedJun 30 For the Six Months EndedJun 30
2016 2015 2016 2015
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487)
Adjustments
Noncontrolling interests in the Operating Partnership (616) 3861 3296 7730
Net loss on sale impairment of single-family properties 68 - 8 -
Depreciation and amortization 79604 59221 149121 112885
Less depreciation and amortization of non-real estate assets (1388) (2073) (2743) (4227)
Less outside interest in depreciation of partially owned properties - (282) - (588)
FFO attributable to common share and unit holders $ 67264 $ 43030 $ 134901 $ 80313
Adjustments
Acquisition fees and costs expensed 3489 4236 9142 10144
Noncash share-based compensation expense 983 734 1853 1430
Noncash interest expense related to acquired debt 1649 - 2225 -
Gain on conversion of Series E units - - (11463) -
Remeasurement of Series E units - (2143) - (3981)
Remeasurement of preferred shares 150 (580) 450 (700)
Core FFO attributable to common share and unit holders $ 73535 $ 45277 $ 137108 $ 87206 624 572
Recurring capital expenditures (8755) (10200) (14772) (17985)
Leasing costs (2151) (3011) (4080) (5421)
Adjusted FFO attributable to common share and unit holders $ 62629 $ 32066 $ 118256 $ 63800
Per FFO share and unit
FFO attributable to common share and unit holders $ 022875 $ 016191 $ 047506 $ 030220
Core FFO attributable to common share and unit holders $ 025008 $ 017037 $ 048283 $ 032814 468 471
Adjusted FFO attributable to common share and unit holders $ 021299 $ 012066 $ 041644 $ 024007 765 735
Weighted-average FFO shares and units
Common shares outstanding 238481265 211487164 228819566 211484461
Class A units 46812904 14440670 36489875 14440670
Series C units - 31085974 9906519 31085974
Series D units 8750000 4375000 7331731 4375000
Series E units - 4375000 1418269 4375000
Total weighted-average FFO shares and units 294044169 265763808 283965960 265761105
radic
Mar 31 2021 Pro Forma Adjustments Pro FormaMar 31 2021 Pro Forma Adjustments Pro FormaJun 30 2020
Total Debt $ 2922374 $ - 0 $ 2922374 $ (130000) $ 2792374
Less cash and cash equivalents (75237) (1250) (76487) (281600) (358087)
Less asset-backed securitization certificates (25666) - (25666) - (25666)
Less restricted cash related to securitizations (40439) - (40439) - (40439)
Net debt $ 2781032 $ (1250) $ 2779782 $ (411600) $ 2368182
Preferred shares at liquidiation value 883750 (498750) 385000
Net debt and preferred shares $ 3664782 $ (500000) $ 3164782
Adjusted EBITDAre - TTM $ 611661 $ - $ 611661 $ - $ 582003
Net Debt to Adjusted EBITDAre 45 x 45 x
Net Debt and Preferred Shares to Adjusted EBITDAre 60 x 52 x 41 x
American Homes 4 Rent
Credit Metrics
(in thousands)
Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Net (loss) income (8265) (8398) (19938) (11347) 5028 (3753)
Interest expense 15670 22003 23866 27874 30977 35481
Depreciation and amortization 53664 59221 67800 62163 69517 79604
EBITDA 61069 72826 71728 78690 105522 111332
Noncash share-based compensation expense 696 734 913 782 870 983
Acquisition fees and costs expensed 5908 4236 4153 5280 5653 3489
Gain on conversion of Series E units - 0 - 0 - 0 - 0 (11463) - 0
Remeasurement of Series E units (1838) (2143) 525 1356 - 0 - 0
Remeasurement of preferred shares (120) (580) 3000 2530 300 150
Adjusted EBITDA 65715 75073 80319 88638 100882 115954
Interest expense 15670 22003 23866 27874 30977 35481
Add capitalized interest 4569 1910 1163 1048 636 359
Less amortization of loan fees (1969) (2388) (2412) (2673) (2676) (2762)
Less amortization of discounts - 0 - 0 - 0 - 0 (576) (1649)
Less unused fees on LOC (890) (890) (782) (999) (826) (639)
Valerie Ware Valerie WareFrom Interest Capitalization Analysis Schedule
Cash Interest 17380 20635 21835 25250 27535 30790
Add principal amortization 4058 4943 5420 6210 6611 6608
Debt service 21438 25578 27255 31460 34146 37398
Total debt 2164806 2291863 2587172 2580962 3469465 3166858
Less cash and cash equivalents (115693) (90657) (238417) (57686) (71438) (270369)
Net debt 2280499 2382520 2825589 2638648 3398027 2896489
Cash Interest 17380 20635 21835 25250 27535 30790
Principal repayments of debt 4058 4943 5420 6210 6611 6608
Preferred dividends 5569 5569 5569 5569 5569 7412
Fixed charges 27007 31147 32824 37029 39715 44810
Net debt to Adjusted EBITDA 87 79 88 74 84 62
Fixed charge coverage ratio 24 24 24 24 25 26
Interest coverage ratio 38 36 37 35 37 38
Debt sevice coverage ratio 31 29 29 28 30 31
radic
American Homes 4 Rent
Supplemental Information Package
Capital Structure
As of June 30 2016
(Amounts in thousands)
Total Capitalization
Floating rate debt $ 955466
Fixed rate debt 2211392
Total debt 3166858 312
Common shares outstanding (1) 238365359
Operating partnership units (1) 55561160
Total shares and units 293926519
NYSE AMH Class A common share closing price at June 30 2016 $ 2048
Market value of common shares and operating partnership units 6019615
Perpetual preferred shares 498750
Participating preferred shares (see below) 460162
Total equity capitalization 6978527 688
Total market capitalization $ 10145385 1000
Participating Preferred Shares
InitialLiquidation Value CurrentLiquidation Value (1) Annual Dividend Per Share Annual Dividend Amount
Series Initial Redemption Period Outstanding Shares
Per Share Total Per Share Total
50 Series A 9302017 - 9302020 5060000 $ 2500 $ 126500 $ 2714
Valerie Ware Valerie WarePer Preferred Shares Liquidation Preference schedule
$ 137348
Whitney Skaff Whitney SkaffPer Preferred Shares Liquidation Preference schedule
$ 1250 $ 6325
50 Series B 9302017 - 9302020 4400000 $ 2500 110000 $ 2714 119434 $ 1250 5500
55 Series C 3312018 - 3312021 7600000 $ 2500 190000 $ 2676 203380 $ 1375 10450
17060000 $ 426500 $ 460162 $ 22275
radic Credit Metrics (1)
Total debt to total assets 384
Total debt to total market capitalization 312
Net debt to Adjusted EBITDA 62 x
Interest coverage ratio 38 x
Debt service coverage ratio 31 x
237730284 Class A common
635075 Class B common
46811160 Class A units
8750000 Series D
293926519 common shares and convertible units
$ 2048 closing price
6019615109
5060000 Preferred A AMHPRA
$ 2675
135355000
4400000 Preferred B AMHPRB
$ 2672
117568000
7600000 Preferred C AMHPRC
$ 2653
201628000
10750000 Preferred D AMHPRD
$ 2627
282402500
9200000 Preferred E AMHPRE
$ 2509
230828000
967781500
6987396609
6987397
American Homes 4 Rent
Supplemental Information Package
Debt Summary 1 Mth Current Period End
As of June 30 2016 LIBOR
(Amounts in thousands) 047 6302016
Change from PQ Wtd Avg Int Rate Wtd Avg Years
Balance of Total Interest Rate Years to Maturity Maturity Date
Floating rate debt
Credit facility $ 142000 45 322 23 93018 014 01
AH4R 2014-SFR1 471351 149 201 29 6919 030 04
ARP 2014-SFR1 342115 108 258 32 9919 028 03
Total floating rate debt 955466 302 239 29
Fixed rate debt
AH4R 2014-SFR2 504739 159 442 83 10924 070 13
AH4R 2014-SFR3 520468 164 440 84 12924 072 14
AH4R 2015-SFR1 546358 173 414 288 4945 071 50 Amort Calc
AH4R 2015-SFR2 474532 150 436 293 10945 065 44
Exchangeable senior notes net 115000 36 325 24 111518 012 01
Secured note payable 50295 16 406 30 7119 006 00 LOC 2014-1 ARP 2014-2 2014-3 2015-1 2015-2 Exch Notes Ellington
Total fixed rate debt 2211392 698 426 175 481000 513316 528418 552830 477729
100 100 100 100 100
Total debt $ 3166858 1000 370 131 370 131 4810 5133 5284 5528 4777 - 0
Unamortized discounts and loan costs $ (72352)
Total debt per balance sheet 3094506
Discount - 0 26 28 26 13
Debt Maturity Schedule Per Year 260 3 3 1
Floating Rate of Total Annual 5131 5281 5526 4776
Year Fixed Rate Total LOC 2014-1 ARP 2014-2 2014-3 2015-1 2015-2 Exch Notes Ellington
Remaining 2016 2406 10823 13229 04 - 2406 - 2566 2639 2763 2388 - 467
2017 4810 21683 26493 08 - 4810 - 5131 5281 5526 4776 - 969
2018 146810 136723 283533 90 142000 4810 - 5131 5281 5526 4776 115000 1009
2019 801440 68564 870004 275 459325 342115 5131 5281 5526 4776 47850
2020 - 20714 20714 07 5131 5281 5526 4776 -
2021 - 20714 20714 07 5131 5281 5526 4776 -
2022 - 20714 20714 07 5131 5281 5526 4776 -
2023 - 20714 20714 07 5131 5281 5526 4776 -
2024 - 957420 957420 302 466256 480862 5526 4776 -
2025 - 10302 10302 03 - - 5526 4776
Thereafter - 923021 923021 290 - - 493861 429160 -
Total $ 955466 $ 2211392 $ 3166858 1000 142000 471351 342115 504739 520468 546358 474532 115000 50295
radic - - - - - - - - -
Variance - - -
lt 1 year obligations 1203 - 0 1283 1320 1382 1194 - 0 230 Ellington cash payouts sched
Per BS $ 3166858
Variance -
Per BS 3094506 -
Variance -
American Homes 4 Rent
NOI and Core NOI Calculation
(in thousands)
Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended YTD
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Dec 312015 Mar 312016 Jun 302016 Jun 302016 Q2 v Q4 Q2 v PY YTD v YTD Q216 Q216YTD Q215 Q215YTD Q415QTD
Net Operating Income
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 559719 $ 167995 $ 193491 $ 1073611
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 7646 2197 2724 14532
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 56546 21016 20253 114146
Total revenues from single-family properties 6559 17757 49163 64470 137949 77009 93898 110021 116356 397284 130383 151984 170842 170702 623911 191208 216468 1202289
Leased property operating expenses 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 67823 83682 75472 280907 85001 95585 536965 442 442 414 414 442
Net operating income $ 4056 $ 10898 $ 31584 $ 40000 $ 86538 $ 47743 $ 56599 $ 59438 $ 68030 $ 231810 $ 76453 $ 84161 $ 87160 $ 95230 $ 343004 $ 106207 $ 120883 $ 665324
Net operating income margin 618 614 642 620 627 620 603 540 585 583 586 554 510 558 550 555 558 553
Core Net Operating Income
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 559719 $ 167995 $ 193491 $ 361486
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 7646 2197 2724 4921
Bad debt expense (8) (100) (417) (1748) (2273) (1423) (962) (2044) (1262) (5691) (1271) (1514) (2220) (972) (5977) (1069) (1414) (2483)
Core revenues from single-family properties 6551 17610 48423 61504 134088 73696 89798 103695 109473 376662 120740 138508 148741 153399 561388 169123 194801 363924 348200
Property operating expenses 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 67823 83682 75472 280907 85001 95585 180586
Expenses reimbursed by tenant charge-backs - (47) (323) (1218) (1588) (1890) (3138) (4282) (5621) (14931) (8372) (11962) (19881) (16331) (56546) (21016) (20253) (41269)
Bad debt expense (8) (100) (417) (1748) (2273) (1423) (962) (2044) (1262) (5691) (1271) (1514) (2220) (972) (5977) (1069) (1414) (2483)
Core property operating expenses 2495 6712 16839 21504 47550 25953 33199 44257 41443 144852 44287 54347 61581 58169 218384 62916 73918 136834
Core net operating income $ 4056 $ 10898 $ 31584 $ 40000 $ 86538 $ 47743 $ 56599 $ 59438 $ 68030 $ 231810 $ 76453 $ 84161 $ 87160 $ 95230 $ 343004 $ 106207 $ 120883 $ 227090 $ 216113 2694 4363 4200
Core net operating income margin 619 619 652 650 645 648 630 573 621 615 633 608 586 621 611 628 621 624 621
Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended Year Ended Three Months Ended YTD
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Dec 312015 Mar 312016 Jun 302016 Jun 302016
Net loss attributable to common shareholders $ (17790) $ (17697) $ (28616) $ (20474) $ (84577) $ (4377) $ (10404) $ (14781)
Dividends on preferred shares 5569 5569 5569 5569 22276 5569 7412 12981
Noncontrolling interest 3956 3730 3109 3558 14353 3836 (761) 3075
Net (loss) income $ (6857) $ 1123 $ (3861) $ (9471) $ (19066) $ (6935) $ (3369) $ (12796) $ (9992) $ (33092) (8265) (8398) (19938) (11347) (47948) 5028 (3753) 1275
Income from discontinued operations (22) (986) - - (1008) - - - - - - - - - - - - -
Gain on remeasurement of equity method investment - (10945) - - (10945) - - - - - - - - - - - - -
Remeasurement of preferred shares - - - 1810 1810 457 141 1750 3810 6158 (120) (580) 3000 2530 4830 300 150 450
Remeasurement of Series E units - - 438 1619 2057 2756 4944 (3588) 1007 5119 (1838) (2143) 525 1356 (2100) - - -
Gain on conversion of Series E units - - - - - (11463) - (11463)
Depreciation and amortization 2905 10879 24043 33160 70987 35131 38325 44855 47205 165516 53664 59221 67800 62163 242848 69517 79604 149121
Acquisition fees and costs expensed 1390 2099 496 814 4799 452 919 14550 6465 22386 5908 4236 4153 5280 19577 5653 3489 9142
Noncash share-based compensation expense 174 279 153 473 1079 532 612 751 691 2586 696 734 913 782 3125 870 983 1853
Interest expense 370 - - - 370 1502 3888 5112 9379 19881 15670 22003 23866 27874 89413 30977 35481 66458
-
Advisory fees 2742 3610 - - 6352 - - - - - - - - - - - - -
General and administrative expense 1625 811 2742 3667 8845 5074 5703 5291 5879 21947 6131 6276 6090 6409 24906 8057 7346 15403
Property operating expenses for vacant single-family properties 1729 4391 7873 8348 22341 9043 5842 3885 4129 22899 5278 3616 1370 984 11248 - - -
Other expenses 694 840 1152 1084 3770 1253 2087 3340
Other revenues - (363) (300) (420) (1083) (269) (406) (372) (543) (1590) (1365) (1644) (1771) (1885) (6665) (3985) (4504) (8489)
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 56546 21016 20253 41269
Expenses reimbursed by tenant charge-backs - (47) (323) (1218) (1588) (1890) (3138) (4282) (5621) (14931) (8372) (11962) (19881) (16331) (56546) (21016) (20253) (41269)
Bad debt expense excluded from operating expenses 8 100 417 1748 2273 1423 962 2044 1262 5691 1271 1514 2220 972 5977 1069 1414 2483
Bad debt expense included in revenues (8) (100) (417) (1748) (2273) (1423) (962) (2044) (1262) (5691) (1271) (1514) (2220) (972) (5977) (1069) (1414) (2483)
Core net operating income $ - $ - $ - $ - $ - $ - $ - $ 59438 $ 68030 $ - 76453 84161 87160 95230 343004 106207 120883 227090
Less Non-Same-Home core net operating income 14076 23376 28241 32317 98010 40720 54482 95202
Same-Home core net operating income 62377 60785 58919 62913 244994 65487 66401 131888
Same-Home capital expenditures 5950 7161 5800 3867 22778 3328 4837 8165
Same-Home core net operating income after capital expenditures $ 56427 $ 53624 $ 53119 $ 59046 $ 222216 $ 62159 $ 61564 $ 123723
radic
-
529 579 700 700
American Homes 4 Rent
Supplemental Information Package
Core NOI calculation
(in thousands)
For the Three Months Ended For the Six Months Ended
Jun 30 Jun 30 For the Three Months Ended For the Three Months Ended
2016 2015 2016 2015 Mar 31 2016 Mar 31 2014 Jun 30 2014 Sep 30 2014
Initially Leased Property NOI
Rents from single-family properties $ 193491 $ 120680 $ 193491 $ 387522 $ 73761 $ 88871 $ 104210
Fees from single-family properties 2724 1331 2724 6107 1358 1889 1529
Tenant charge-backs 20253 8372 20253 17682 1890 3138 4282
Total revenues from single-family properties 216468 130383 216468 411311 77009 93898 110021
Leased property operating expenses 95585 53930 95585 171078 29266 36790 50583
Initially Leased Property NOI $ 120883 $ 76453 $ 120883 $ 240233 $ 47743 $ 57108 $ 59438
Initially Leased Property NOI margin 558 586 558 584 620 608 540
Core Net Operating Income
Rents from single-family properties $ 193491 $ 137818 $ 361486 $ 258498 167995 $ 73761 $ 88871 $ 104210
Fees from single-family properties 2724 2204 4921 3535 2197 1358 1889 1529
Bad debt expense (1414) (1514) (2483) (2785) (1069) (1423) (962) (2044)
Core revenues from single-family properties 194801 138508 363924 259248 169123 73696 89798 103695
Property operating expenses 95585 67823 180586 121753 85001 29266 36790 50583
Expenses reimbursed by tenant charge-backs (20253) (11962) (41269) (20334) (21016) (1890) (3138) (4282)
Bad debt expense (1414) (1514) (2483) (2785) (1069) (1423) (962) (2044)
Core property operating expenses 73918 54347 136834 98634 62916 25953 32690 44257
Core net operating income $ 120883 $ 84161 $ 227090 $ 160614 436 414 $ 106207 $ 47743 $ 57108 $ 59438
Core net operating income margin 621 608 624 620 628
For the Three Months Ended For the Six Months Ended
Jun 30 Jun 30 For the Three Months Ended For the Three Months Ended
2016 2015 2016 2015 Mar 31 2016 Mar 31 2014 Jun 30 2014 Sep 30 2014
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (4377)
Dividends on preferred shares 7412 5569 12981 11138 5569
Noncontrolling interest (761) 3730 3075 7686 3836
Net (loss) income (3753) (8398) 1275 (16663) 5028 $ (6935) $ (3369) $ (12796)
Remeasurement of preferred shares 150 (580) 450 (700) 300 457 141 1750
Remeasurement of Series E units - (2143) - (3981) - 2756 4944 (3588)
Gain on conversion of Series E units - - (11463) - (11463)
Depreciation and amortization 79604 59221 149121 112885 69517 35131 38325 44855
Acquisition fees and costs expensed 3489 4236 9142 10144 5653 452 919 14550
Noncash share-based compensation expense 983 734 1853 1430 870 532 612 751
Interest expense 35481 22003 66458 37673 30977 1502 3888 5112
General and administrative expense 7346 6276 15403 12407 8057 5074 5703 5291
Property operating expenses for vacant single-family properties - 3616 - 8894 - 9043 6351 3885
Other expenses 2087 840 3340 1534 1253
Other revenues (4504) (1644) (8489) (3009) (3985) (269) (406) (372)
Tenant charge-backs 20253 11962 41269 20334 21016 1890 3138 4282
Expenses reimbursed by tenant charge-backs (20253) (11962) (41269) (20334) (21016) (1890) (3138) (4282)
Bad debt expense excluded from operating expenses 1414 1514 2483 2785 1069 1423 962 2044
Bad debt expense included in revenues (1414) (1514) (2483) (2785) (1069) (1423) (962) (2044)
Core net operating income 120883 84161 227090 160614 106207 $ 47743 $ 57108 $ 59438
Less Non-Same-Home core net operating income 54482 23376 95202 37453 40557
Same-Home core net operating income 66401 60785 131888 123161 $ 65650
Same-Home capital expenditures 4837 7161 8165 13111
Same-Home core net operating income after capital expenditures $ 61564 $ 53624 $ 123723 $ 110050
radic
American Homes 4 Rent
Supplemental Information Package
Fact Sheet
(in thousands)
Dec 312012 Mar 312013 Jun 302013 Sep 302013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016 Q2 v Q4 Q2 v YE Q2 v PY
Operating Data - for the three months ended
Core revenues from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 73761 $ 88871 $ 104210 $ 109543 $ 120740 $ 138508 $ 148741 $ 153399 $ 169123 $ 194801
Core net operating income $ 64 $ 690 $ 1476 $ 1409 $ 1358 $ 1889 $ 1529 $ 1192 $ 76453 $ 84161 $ 87160 $ 95230 $ 106207 $ 120883
Core net operating income margin 619 619 652 650 648 630 573 621 633 608 586 621 628 621
GampA expense as of total revenues ERRORREF ERRORREF ERRORREF 57 66 60 48 50 47 41 35 37 41 33 Leased Same Home ARPI
Annualized GampA expense as of total assets 104 051 028 035 045 046 038 038 038 038 035 038 040 036 123114 33115 63015 93015 123115 123115 33116 63016 93016 123116
Adjusted EBITDA $ 65715 $ 75073 $ 80319 $ 88638 $ 100882 $ 115954
Per FFO share and unit
FFO attributable to common share and unit holders $ 014 $ 016 $ 015 $ 017 $ 025 $ 023 Q1 QTD 2016 - ARPI - 7246 7274
Core FFO attributable to common share and unit holders $ 016 $ 017 $ 019 $ 021 $ 023 $ 025 Q1 YTD 2016 - ARPI - 7246 7274
Adjusted FFO attributable to common share and unit holders $ 012 $ 012 $ 014 $ 018 $ 020 $ 021
Q1 QTD 2016 24116 24519 24523 22643 22730
Q1 YTD 2016 24116 24519 24523 12742 12860
Selected Balance Sheet Information - at end of period
Single-family properties net $ 1120843 $ 3039504 $ 3530122 $ 3861422 $ 4218654 $ 4483794 $ 5117743 $ 5710671 $ 6037355 $ 6162148 $ 6267464 $ 6289938 $ 7561189 $ 7521659 Q1 QTD 2015 23903 23978 24185
Total assets $ 1678261 $ 3482695 $ 3885261 $ 4224144 $ 4524033 $ 4982557 $ 5536344 $ 6227351 $ 6526078 $ 6638037 $ 6907373 $ 6751219 $ 8097710 $ 8252400 Q1 YTD 2015 23903 23978 24185
Outstanding borrowings under credit facility $ - $ 670000 $ 238000 $ 375000 $ 671000 $ 481000 $ 82000 $ 207000 $ 45000 $ 177000 $ - $ - $ 438000 $ 142000
Total debt $ - $ - $ - $ - $ 480970 $ 993058 $ 1519390 $ 2164806 $ 2291863 $ 2587172 $ 2580962 $ 3469465 $ 3166858 Average Leased Initially Leased
Total equity capitalization na na $ 3861700 $ 4103305 $ 4235450 $ 4678538 $ 4916539 $ 4967461 $ 4840764 $ 4707338 $ 4672546 $ 4824925 $ 5150343 $ 6978527 Non-Same Home Non-Same Home
Total market capitalization na na ERRORREF $ 4478305 $ 4906450 ERRORREF ERRORREF ERRORREF $ 7005570 $ 6999201 $ 7259718 $ 7405887 $ 8619808 $ 10145385
Total debt to total market capitalization 309 327 356 349 402 312
NYSE AMH Class A common share closing price na na $ 1615 $ 1620 $ 1671 $ 1776 $ 1689 $ 1703 $ 1655 $ 1604 $ 1608 $ 1666 $ 1590 $ 2048 Q2 QTD 2016 12811 13166
Q2 YTD 2016 12636 10495
Portfolio Data - at end of period
Occupied single-family properties 19978 21999 25724 27528 30185 34293 35232 35958 43907 44021 8063 8063 Q2 QTD 2015 8962 9414
Executed leases for future occupancy 688 1365 437 722 998 610 385 445 548 708 Q2 YTD 2015 5568 7908
Total leased single-family properties 1164 2338 10245 14384 17328 20666 23364 26161 28250 31183 34903 35617 36403 44455 44729 8326 229 8326 229 9826 282
Single-family properties in acquisition process 824 549 731 805 577 611 384 371 184 149 151 109 65 274
Single-family properties being renovated 3880 5250 3598 1732 1466 1179 1719 2502 1492 502 661 325 211 118
Single-family properties being prepared for re-lease 3880 na na 281 508 656 295 630 838 355 283 178 136 177 63016 QTD 63016 YTD 63015 QTD 63015 YTD
Vacant single-family properties available for re-lease 1356 2007 na 579 700 617 1442 1305 1008 1116 1389 1432 1242 1333
Vacant single-family properties available for initial lease 2736 2573 1319 744 610 1502 1661 387 232 246 221 34 Avg Initially
Total single-family properties excluding held for sale 11454 18326 21267 23224 25464 27137 30838 34573 36553 37447 38331 38735 46374 46456 7721 199 7721 199 9009 241 Leased 46036 43362 34702 33196
Single-family properties held for sale - - - 44 41 36 39 26 35 44 46 45 1581 1582
Total single-family properties 36588 37491 38377 38780 47955 48038 9258 239 9258 239 10547 281 Avg Leased 44592 41862 33043 31445
Total leased percentage 204 559 676 745 810 860 847 816 853 932 929 940 959 963 83
Total occupancy percentage 00 783 811 834 796 826 916 919 928 947 948 Avg Depr Props 46164 43529 35726 34379
Same-Home leased percentage 959 956 948 953 969 970
Same-Home occupancy percentage 944 943 938 943 958 955
Other Data Total Leased
Distributions declared per common share $ - $ - $ - $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 $ 005 123115 38780 36403
Distributions declared per Series A preferred share $ - $ - $ - $ 023 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 13116 38880 36551
Distributions declared per Series B preferred share $ - $ - $ - $ - $ 035 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 $ 031 22916 38971 36956
Distributions declared per Series C preferred share $ - $ - $ - $ - $ 023 $ 034 $ 034 $ 034 $ 034 $ 034 $ 034 $ 034 $ 034 33116 47955 44455
Distributions declared per Series D preferred share $ - $ - $ - $ - $ 017 63016 48038 44770
Distributions declared per Series E preferred share $ - $ - $ - $ - $ - 42525 39827
radic
GampA expense 1625 811 2742 3667 5074 5703 5291 5879 6131 6276 6090 6409 8057 7346
Advisory fees 2742 3610 - - - - - - - - - - - -
4367 4421 2742 3667 5074 5703 5291 5879 6131 6276 6090 6409 8057 7346
Common Capitalization
Class A shares 184856219 184869219 184869219 184897969 210838831 210838831 210852089 210852089 207460466 207235510 238919417 237730284
Class B shares 635075 635075 635075 635075 635075 635075 635075 635075 635075 635075 635075 635075
Class A units 13787292 13787292 13787292 13787292 13787292 14440670 14440670 14440670 14440670 14440670 45526644 45526644
Series C units 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 - -
Series D amp E units 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000 8750000
Total shares amp units 239114560 239127560 239127560 239156310 265097172 265750550 265763808 265763808 262372185 262147229 293831136 292642003
End of Quarter Closing share price $ 1615 $ 1620 $ 1671 $ 1776 $ 1689 $ 1703 $ 1655 $ 1604 $ 1608 $ 1666 $ 1590 $ 2048
Common capitalization 3861700144 3873866472 3995821528 4247416066 4477491235 4525731867 4398391022 4262851480 4218944735 4367372835 4671915062 5993308221
common shares and convertible units
Preferred Capitalization
Series A preferred 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 5060000 closing price
HPA liquidation value $ 2532 $ 2533 $ 2542 $ 2589 $ 2605 $ 2609 $ 2515 $ 2485 $ 2570 $ 2649 $ 2675
128141007 128173252 128625788 130998161 131808594 132006158 127259000 125741000 130042000 134039400 135355000
Series B preferred 4000000 4400000 4400000 4400000 4400000 4400000 4400000 4400000 4400000 4400000 4400000
HPA liquidation value $ 2532 $ 2533 $ 2542 $ 2589 $ 2605 $ 2609 $ 2515 $ 2485 $ 2570 $ 2649 $ 2675 Preferred A AMHPRA
101297239 111455001 111848511 113911444 114616168 114787963 110660000 109340000 113080000 116556000 117700000
Series C preferred 7600000 7600000 7600000 7600000 7600000 7600000 7600000 7600000 7600000
HPA liquidation value 2509 $ 2554 $ 2570 $ 2573 $ 2520 $ 2533 $ 2571 $ 2650 $ 2653 Preferred B AMHPRB
190647215 194138647 195303879 195578564 191520000 192508000 195396000 201400000 201628000
Preferred capitalization 229438246 239628253 431121513 439048252 441728641 442372685 429439000 427589000 438518000 451995400 454683000
Preferred C AMHPRC
Total Equity Capitalization 3861700144 4103304718 4235449781 4678537579 4916539487 4967460508 4840763707 4692290480 4646533735 4805890835 5123910462 6447991221
Rounded in 000s 3861700 4103305 4235450 4678538 4916539 4967461 4840764 4692290 4646534 4805891 5123910 6447991
American Homes 4 Rent
Supplemental Information Package
Fact Sheet
(in thousands)
For the Three Months Ended For the Six Months Ended For the Three Months Ended
Jun 30 Jun 30 Mar 31
2016 2015 2016 2015 2016 2015
Operating Data
Core revenues from single-family properties $ 194801 $ 138508 $ 363924 $ 259248 $ 169123 $ 120740
Core net operating income $ 120883 $ 84161 $ 227090 $ 160614 $ 106207 $ 76453
Core net operating income margin 621 608 624 620
GampA expense as of total revenues 33 41 37 43
Annualized GampA expense as of total assets 036 038 037 037
Adjusted EBITDA $ 115954 $ 75073 $ 216836 $ 140788
Per FFO share and unit
FFO attributable to common share and unit holders $ 023 $ 016 $ 048 $ 030
Core FFO attributable to common share and unit holders $ 025 $ 017 $ 048 $ 033
Adjusted FFO attributable to common share and unit holders $ 021 $ 012 $ 042 $ 024
Jun 302016 Mar 312016 Dec 312015 Sep 302015 Jun 302015 Mar 312015
Selected Balance Sheet Information - end of period
Single-family properties net $ 7521659 $ 7561189 $ 6289938 $ 6267464 $ 6162148 $ 6037355
Total assets $ 8252400 $ 8097710 $ 6751219 $ 6907373 $ 6638037 $ 6526078
Outstanding borrowings under credit facility $ 142000 $ 438000 $ - $ - $ 177000 $ 45000
Total debt $ 3166858 $ 3469465 $ 2580962 $ 2587172 $ 2291863 $ 2164806
Total equity capitalization $ 6978527 $ 5150343 $ 4824925 $ 4672546 $ 4707338 $ 4840764
Total market capitalization $ 10145385 $ 8619808 $ 7405887 $ 7259718 $ 6999201 $ 7005570
Total debt to total market capitalization 312 402 349 356 327 309
NYSE AMH Class A common share closing price $ 2048 $ 1590 $ 1666 $ 1608 $ 1604 $ 1655
Portfolio Data - end of period
Occupied single-family properties 44021 43907 35958 35232 34293 30185
Executed leases for future occupancy 708 548 445 385 610 998
Total leased single-family properties 44729 44455 36403 35617 34903 31183
Single-family properties in acquisition process 65 109 151 149 184 371
Single-family properties being renovated 118 211 325 661 502 1492
Single-family properties being prepared for re-lease 177 136 178 283 355 838
Vacant single-family properties available for re-lease 1333 1242 1432 1389 1116 1008
Vacant single-family properties available for initial lease 34 221 246 232 387 1661
Total single-family properties excluding held for sale 46456 46374 38735 38331 37447 36553
Single-family properties held for sale 1582 1581 45 46 44 35
Total single-family properties 48038 47955 38780 38377 37491 36588
Total leased percentage 963 959 940 929 932 853
Total occupancy percentage 948 947 928 919 916 826
Same-Home leased percentage 970 969 953 948 956 959
Same-Home occupancy percentage 955 958 943 938 943 944
Other Data
Distributions declared per common share $ 005 $ 005 $ 005 $ 005 $ 005 $ 005
Distributions declared per Series A preferred share $ 031 $ 031 $ 031 $ 031 $ 031 $ 031
Distributions declared per Series B preferred share $ 031 $ 031 $ 031 $ 031 $ 031 $ 031
Distributions declared per Series C preferred share $ 034 $ 034 $ 034 $ 034 $ 034 $ 034
Distributions declared per Series D preferred share $ 017 $ - $ - $ - $ -
Distributions declared per Series E preferred share $ - $ - $ - $ - $ -
radic
Total assets $ 8252400 6638037
General and administrative expense 7346 6276 8845
American Homes 4 Rent
Supplemental Information Package
Quarterly Consolidated Statement of Operations
(in thousands)
Q2 v Q4 Q2 v YE Q2 v PY
Three Months Ended Year Ended Three Months Ended
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Revenues
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 167995 $ 193491 270 270 404
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 2197 2724
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 21016 20253
Other - 363 300 420 1083 269 406 372 543 1590 1365 1644 1771 1885 3985 4504
Total revenues 6559 18120 49463 64890 139032 77278 94304 110393 116899 398874 131748 153628 172613 172587 195193 220972
Expenses
Property operating expenses 59208
Property tax expense 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 25204 28072 28686 30340 36318
HOA fees 1729 4391 7873 8348 22341 9043 5842 3885 4129 22899 5278 3034 3169 3240 3423 3822
Maintenance and turnover costs 26046 35819 27536 32369 34328
In-house maintenance - - - 794 1369
Insurance 1748 2001 2145 2103 2261
Property management expenses 13893 13771 13877 14903 16073
Bad debt expense 1514 2220 972 1069 1414
General and administrative expense 1625 811 2742 3667 8845 5074 5703 5291 5879 21947 6131 6276 6090 6409 8057 7346
Advisory fees 2742 3610 - - 6352 - - - - - - - - - - -
- -
Interest expense 370 - - - 370 1502 3888 5112 9379 19881 15670 22003 23866 27874 30977 35481
Noncash share-based compensation expense 174 279 153 473 1079 532 612 751 691 2586 696 734 913 782 870 983
Acquisition fees and costs expensed 1390 2099 496 814 4799 452 919 14550 6465 22386 5908 4236 4153 5280 5653 3489
Depreciation and amortization 2905 10879 24043 33160 70987 35131 38325 44855 47205 165516 53664 59221 67800 62163 69517 79604
Other 694 840 1152 1084 1253 2087
Total expenses 13438 28928 52886 70932 166184 81000 92588 125027 122074 420689 141971 164749 189026 180048 201328 224575
Gain on remeasurement of equity method investment - 10945 - - 10945 - - - - - - - - - - -
Gain on conversion of Series E units - - - - 11463 -
Remeasurement of Series E units - - (438) (1619) (2057) (2756) (4944) 3588 (1007) (5119) 1838 2143 (525) (1356) - -
Remeasurement of preferred shares - - - (1810) (1810) (457) (141) (1750) (3810) (6158) 120 580 (3000) (2530) (300) (150)
Net (loss) income (6879) 137 (3861) (9471) (20074) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Discontinued operations
Gain on disposition of single-family properties - 904 - - 904 - - - - - - - - - - -
Income from discontinued operations 22 82 - - 104 - - - - - - - - - - -
Income from discontinued operations 22 986 - - 1008 - - - - - - - - - - -
Net loss (6857) 1123 (3861) (9471) (19066) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Noncontrolling interest 895 4664 3798 3888 13245 3620 4212 3382 3751 14965 3956 3730 3109 3558 3836 (761)
Dividends on preferred shares - - - 1160 1160 3121 4669 5569 5569 18928 5569 5569 5569 5569 5569 7412
Conversion of preferred units - 10456 - - 10456 - - - - - - - - - - -
Net loss attributable to common shareholders $ (7752) $ (13997) $ (7659) $ (14519) $ (43927) $ (13676) $ (12250) $ (21747) $ (19312) $ (66985) $ (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404)
Weighted-average shares outstandingndashbasic and diluted 48233982 95971706 162725150 185499066 123592086 185504294 185515651 202547677 211473906 196348757 211481727 211487164 211414368 208045996 219157870 238481265
Net loss per sharendashbasic and diluted
Loss from continuing operations $ (016) $ (016) $ (005) $ - 0 $ (037) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
Income from discontinued operations - 0 001 - - 001 - - - - - - - - - - -
Net loss attributable to common shareholders
per sharendashbasic and diluted $ (016) $ (015) $ (005) $ (036) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
radic EBITDA 105522 111332
QTD Adjusted EBITDA 65715 146512 165371 165094 100882 211539 115954
YTD Adjusted EBITDA 397422 212227
Interest excluding capped amp amortized 28650 59785
Interest 31038 65228
Core NOI 106207 120883
Interest Coverage Ratio 33 x 32 x
Debt service 37649 78447
Debt service coverage ratio 27 x 27 x
American Homes 4 Rent
Supplemental Information Package
Quarterly Consolidated Statement of Operations
(in thousands)
Q2 v Q4 Q2 v YE Q2 v PY
Three Months Ended Year Ended Three Months Ended
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Revenues
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 132722 $ 73761 $ 88871 $ 104210 $ 109543 $ 376385 $ 120680 $ 137818 $ 148815 $ 152406 $ 167995 $ 193491 270 270 404
Fees from single-family properties 64 690 1476 1409 3639 1358 1889 1529 1192 5968 1331 2204 2146 1965 2197 2724
Tenant charge-backs - 47 323 1218 1588 1890 3138 4282 5621 14931 8372 11962 19881 16331 21016 20253
Other - 363 300 420 1083 269 406 372 543 1590 1365 1644 1771 1885 3985 4504
Total revenues 6559 18120 49463 64890 139032 77278 94304 110393 116899 398874 131748 153628 172613 172587 195193 220972
Expenses
Property operating expenses 59208 71439 - 85052 - 76456 - 85001 95585
Leased single-family properties 2503 6859 17579 24470 51411 29266 37299 50583 48326 165474 53930 67823 83682 75472
Vacant single-family properties and other 1729 4391 7873 8348 22341 9043 5842 3885 4129 22899 5278 3616 1370 984
General and administrative expense 1625 811 2742 3667 8845 5074 5703 5291 5879 21947 6131 6276 6090 6409 8057 7346
Advisory fees 2742 3610 - - 6352 - - - - - - - - - - -
- -
Interest expense 370 - - - 370 1502 3888 5112 9379 19881 15670 22003 23866 27874 30977 35481
Noncash share-based compensation expense 174 279 153 473 1079 532 612 751 691 2586 696 734 913 782 870 983
Acquisition fees and costs expensed 1390 2099 496 814 4799 452 919 14550 6465 22386 5908 4236 4153 5280 5653 3489
Depreciation and amortization 2905 10879 24043 33160 70987 35131 38325 44855 47205 165516 53664 59221 67800 62163 69517 79604
Other 694 840 1152 1084 1253 2087
Total expenses 13438 28928 52886 70932 166184 81000 92588 125027 122074 420689 141971 164749 189026 180048 201328 224575
Gain on remeasurement of equity method investment - 10945 - - 10945 - - - - - - - - - - -
Gain on conversion of Series E units - - - - 11463 -
Remeasurement of Series E units - - (438) (1619) (2057) (2756) (4944) 3588 (1007) (5119) 1838 2143 (525) (1356) - -
Remeasurement of preferred shares - - - (1810) (1810) (457) (141) (1750) (3810) (6158) 120 580 (3000) (2530) (300) (150)
Net (loss) income (6879) 137 (3861) (9471) (20074) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Discontinued operations
Gain on disposition of single-family properties - 904 - - 904 - - - - - - - - - - -
Income from discontinued operations 22 82 - - 104 - - - - - - - - - - -
Income from discontinued operations 22 986 - - 1008 - - - - - - - - - - -
Net loss (6857) 1123 (3861) (9471) (19066) (6935) (3369) (12796) (9992) (33092) (8265) (8398) (19938) (11347) 5028 (3753)
Noncontrolling interest 895 4664 3798 3888 13245 3620 4212 3382 3751 14965 3956 3730 3109 3558 3836 (761)
Dividends on preferred shares - - - 1160 1160 3121 4669 5569 5569 18928 5569 5569 5569 5569 5569 7412
Conversion of preferred units - 10456 - - 10456 - - - - - - - - - - -
Net loss attributable to common shareholders $ (7752) $ (13997) $ (7659) $ (14519) $ (43927) $ (13676) $ (12250) $ (21747) $ (19312) $ (66985) $ (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404)
Weighted-average shares outstandingndashbasic and diluted 48233982 95971706 162725150 185499066 123592086 185504294 185515651 202547677 211473906 196348757 211481727 211487164 211414368 208045996 219157870 238481265
Net loss per sharendashbasic and diluted
Loss from continuing operations $ (016) $ (016) $ (005) $ - 0 $ (037) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
Income from discontinued operations - 0 001 - - 001 - - - - - - - - - - -
Net loss attributable to common shareholders
per sharendashbasic and diluted $ (016) $ (015) $ (005) $ (036) $ (007) $ (007) $ (011) $ (009) $ (034) $ (008) $ (008) $ (014) $ (010) $ (002) $ (004)
radic EBITDA 105522 111332
QTD Adjusted EBITDA 65715 75073 80319 88638 100882 115954 115954
YTD Adjusted EBITDA 216836 140788
Interest excluding capped amp amortized 28650 59785
Interest 31038 65228
Core NOI 106207 120883
Interest Coverage Ratio 33 x 18 x
Debt service 37649 78447
Debt service coverage ratio 27 x 15 x
American Homes 4 Rent
2Q16 HFS Property Disposals
Adjusting Journal Entries
(in thousands)
Adjusting Journal Entries Top-Side Presentation
Record HFS classification Assets
Single-family properties
NBV (Dr) Assets held for sale 131762 radic Land $ (26264)
(Dr) Casualty loss Buildings and improvements (110068)
(Dr) Impairment charge - Single-family properties held for sale 131762
(Dr) Due from related party - $ (4570)
(Dr) Accumulated depreciation 4570 radic Less accumulated depreciation 4570
(Cr) Land (26264) radic Single-family properties net $ -
(Cr) Building and improvements (110068) radic Cash and cash equivalents
Resident security deposits
Check - Rent and other receivables
Escrow deposits
radic - Agreed to FA register Deferred leasing costs and other intangibles net
Goodwill
Prepaid expenses and other assets
Total assets $ -
Liabilities
Senior secured line of credit
Accounts payable and accrued expenses
Amounts payable to affiliates -
Contingently convertible Series E units liability
Preferred shares conversion liability
Total liabilities -
Commitments and contingencies
Equity
Shareholders equity
Class A common shares
Class B common shares
Preferred shares
Additional paid-in capital
Accumulated deficit -
Total shareholders equity -
Noncontrolling interest
Total equity -
Total liabilities and equity $ -
-
Revenues
Rents from single-family properties
Other revenues from single-family properties
Other -
Total revenues -
Expenses
Property operating expenses
Leased single-family properties
Vacant single-family properties and other -
Management company operating expenses
General and administrative expense
Interest expense
Noncash share-based compensation expense
Acquisition fees and costs expensed
Equity in income from unconsolidated JV
Advisory fees
Depreciation and amortization
Impairment of single-family properties
Total expenses -
Gain on remeasurement of equity method investment
Remeasurement of Series E units
[Remeasurement of preferred shares]
Loss from continuing operations -
Discontinued operations
Gain on disposition of single-family properties
Income from discontinued operations
Total income from discontinued operations -
Net loss -
Noncontrolling interest
Dividends on preferred shares
Conversion of preferred units
Net loss attributable to common shareholders $ -
radic
(in thousands) June 30 2016
Description Quoted Prices in Active Markets for Identical Assets(Level 1) Significant Other Observable Inputs(Level 2) Significant Unobservable Inputs(Level 3) Total
Assets
Interest rate cap agreement $ - $ - $ - $ -
Liabilities
Preferred shares derivative liability $ - $ - $ 63240 $ 63240 - 0
December 31 2015
Description Quoted Prices in Active Markets for Identical Assets(Level 1) Significant Other Observable Inputs(Level 2) Significant Unobservable Inputs(Level 3) Total
Assets
Interest rate cap agreement $ - $ - $ - $ -
Liabilities
Contingently convertible Series E units liability $ - $ - $ 69957 $ 69957 $ -
Preferred shares derivative liability $ - $ - $ 62790 $ 62790 $ -
Description January 1 2016 Issuances Conversions Remeasurement included in earnings June 30 2016
Liabilities
Contingently convertible Series E units liability $ 69957 $ - $ (69957) $ - $ - - 0
Preferred shares derivative liability $ 62790 $ - $ - $ 450 $ 63240 - 0
Description January 1 2015 Issuances Conversions Remeasurement included in earnings June 30 2015
Liabilities
Contingently convertible Series E units liability $ 72057 $ - $ - $ (3981) $ 68076
Preferred shares derivative liability $ 57960 $ - $ - $ (700) $ 57260
radic
American Homes 4 Rent
Financial Statement Footnote Support
Note 11 Earnings per share
June 30 2016
(amounts in thousands)
For the Three Months Ended June 30 For the Six Months Ended June 30
2016 2015 2016 2015 2013
Income (loss) (numerator)
Net (loss) income $ (3753) $ (8398) $ 1275 $ (16663) $ (20074)
Income from discontinued operations - - - - 1008
Noncontrolling interest (761) 3730 3075 7686 13245
Dividends on preferred shares 7412 5569 12981 11138 1160
Conversion of preferred units - - - - 10456
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (43927)
Weighted-average shares (denominator) 238481265 211487164 228819566 211484461 123592086
Net loss per sharendashbasic and diluted
Loss from continuing operations $ (004) $ (008) $ (006) $ (017) $ (037)
Income from discontinued operations - - - - 001
Net loss per sharendashbasic and diluted $ (004) $ (008) $ (006) $ (017) $ (036)
radic
American Homes 4 Rent
Accounts payable and accrued expenses
June 30 2016
(in thousands)
(Unadjusted) Permanent Topside Topside (Adjusted)
Account June 30 2016 Topside Rollover Accrued Property Tax Adjustment Accrued Payroll Reclass Rounding June 30 2016
Accounts Payable Σ A 2120010-2120015 288 288
Accrued Property Taxes Σ B 2120301-2120340 2122305 84642 397 85039
Other Accrued Liabilities Σ C All Other 33456 (100) (78) 1 33279
Accrued Distribution Payable Σ D 2123300-2123400 - 0 - 0
Accrued Construction and Maintenance Liabilities Σ E 2123800 10418 10418
Resident Security Deposits Σ F 2122701-2122720 70344 70344
Prepaid Rent Σ G 2123650 15939 15939
Total 215087 (100) - 0 - 0 397 (78) 1 215307
Per BS 215307
Variance - 0
(Unadjusted) Topside Topside (Adjusted)
Account March 31 2016 Permanent Topside Rollover Rounding March 31 2016
Accounts Payable Σ A 2120010-2120015 139 139
Accrued Property Taxes Σ B 2120301-2120340 64634 64634
Other Accrued Liabilities Σ C All Other 41916 (100) 2 41818
Accrued Distribution Payable Σ D 2123300-2123400 - 0 - 0
Accrued Construction and Maintenance Liabilities Σ E 2123800 10995 10995
Resident Security Deposits Σ F 2122701-2122720 66989 66989
Prepaid Rent Σ G 2123650 16371 16371
Total 201044 (100) - 0 - 0 - 0 - 0 2 200946
Per BS 200946
Variance - 0
Yardi Acct Trial balance 63016 33116 Qtrly Flux
2120010 ACCOUNTS PAYABLE (599283) A (138727) A 460557 460557
2120011 ACCRUED ACCOUNTS PAYABLE 311019 A (683) A (311703)
2120200 ACCRUED PURCHASING FROM PO - C - C -
2120250 ACCRUED PURCHASING FROM PO CLEARING - C - C -
2120301 ACCRUED PROPERTY TAXES (71049768) B (34839582) B 36210186
2120302 ACCRUED PROPERTY TAX (NAV - WASTE) - B - B - 0 20398990
2120303 ACCRUED PROPERTY TAX (NAV - ANNUAL) - B - B - 0
2120320 ACCRUED PRIOR YEAR PROPERTY TAX (32106506) B (40845144) B (8738638)
2120321 ACCRUED PRIOR YEAR HOA EXPENSES (5668) C (18696) C (13028)
2120330 ACCRUED PROPERTY TAX - OLD OWNER - B - B -
2120340 ACCRUED PROPERTY TAX (OTHER) (496545) B (377609) B 118937
2120350 ACCRUED PROPERTY TAX (HUD) 6740 B 6850 B 110
2120355 ACCRUED PRIOR YEAR PROPERTY TAX (HUD) (495620) B (553966) B (58346)
2120360 ACCRUED PROPERTY TAXCLEARING 20092527 B 12900922 B (7191606)
2120600 SALES TAX LIABILITY (64929) C (30949) C 33980
2120610 SALES TAX LIABILITY - OLD OWNER (1403595) C (1436943) C (33348)
2120700 STATE TAX WITHHOLDING (1978) C (1978) C - 0
2120705 STATE TAX LIABILITY (785468) C (1268796) C (483328)
2120707 STATE TAX LIABILITY ndash OLD OWNER (61360) C (817018) C (755658)
2120710 INCOME TAX WITHHOLDING (62232) C (5726) C 56506
2120715 ESCHEAT LIABILITY (96188) C (96188) C - 0
2120720 ACCRUED PERSONAL PROPERTY TAX (371484) C (428944) C (57459) (57459)
2120721 ACCRUED PERS PROPERTY TAX ndash OLD OWNER (614587) C (614887) C (300)
2120900 ACCRUED LIABILITIES (107865) C (3942022) C (3834158)
2120950 ACCRUED MEDICAL INSURANCE - C - C - 0
2120952 ACCRUED DENTAL INSURANCE - C - C - 0
2120954 ACCRUED VISION INSURANCE 563 C 880 C 317
2120956 ACCRUED TELEHEALTH (2620) C (2280) C 340
2120960 ACCRUED 401K TRADROTH (45662) C (8571) C 37091
2120962 ACCRUED HEALTH SAVINGS ACCOUNT (3970) C (787) C 3183
2120964 ACCRUED FLEXIBLE SPENDING ACCOUNT 5770 C 10524 C 4754
2120970 ACCRUED LIFE amp ADD INSURANCE (4569) C (2411) C 2159
2120972 ACCRUED VOLUNTARY LIFE amp ADD INSURANCE 133 C 973 C 840
2120974 ACCRUED SHORT TERM DIS (52) C 885 C 937
2120976 ACCRUED LONG TERM DIS (14) C 1068 C 1082
2120978 ACCRUED OTHER INSURANCE (12010) C (7759) C 4251
2120980 ACCRUED OTHER PAYROLL DEDUCTIONS 14 C (4414) C (4428)
2120984 WELLNESS CREDIT LIABILITY (49657) C (50000) C (344)
2120999 PAYROLL CLEARING ACCOUNT (6458) C 158 C 6616
2121000 ACCRUED PAYROLL (751883) C (1706102) C (954219)
2121100 ACCRUED VACATION (1510663) C (1507738) C 2925
2121110 ACCRUED BENEFITS (24430) C 29474 C 53905
2121160 ACCRUED LIABILITIES - OTHER AMIP (260286) C (293897) C (33611)
2121200 ACCRUED AUDIT FEES - 0 C (200000) C (200000)
2121300 ACCRUED TAX FEES (40894) C (22000) C 18894
2121400 ACCRUED LITIGATION LOSSES (484000) C (514000) C (30000)
2121450 ACCRUED MANAGEMENT FEES - C - C -
2121500 ACCRUED HOA EXPENSE (19791) C (46183) C (26392)
2121600 ACCRUED ELECTRICITY EXPENSE (2452348) C (2050051) C 402296
2121700 ACCRUED GAS EXPENSE (477310) C (1237138) C (759828)
2121800 ACCRUED WATER EXPENSE (1299571) C (1160616) C 138955
2121900 ACCRUED TRASH EXPENSE (264214) C (227148) C 37066
2122000 ACCRUED SEWER EXPENSE (1242941) C (1265332) C (22391) (22391)
2122100 ACCRUED INSURANCE EXPENSE (43841) C (200100) C (156259)
2122120 ACCRUED OTHER - OLD OWNER (591304) C (739499) C (148195)
2122125 ACCRUED WOS - OLD OWNER 1657 C (37573) C (39230)
2122127 Accrued Severance ndash Old Owner (6112528) C (6677249) C (564720)
2122130 ACCRUED HOA DUES - OLD OWNER - C - C -
2122300 ACCRUED PROP TAX PRE-PURCH (193450) B (76859) B 116591
2122305 ACCRUED PRIOR YEAR PRE-PURCH (399797) B (848599) B (448803) (448803)
2122500 ACCRUED PROPERTY LOSS (2970) C - C 2970
2122701 SECURITY DEPOSITS (69352232) F (66071878) F 3280354
2122702 SECURITY DEPOSITS - OFFICE LEASE (19868) F (19868) F - 0
2122800 PET DEPOSITS (735903) F (743053) F (7150)
2122850 KEY DEPOSITS (235829) F (154597) F 81232
2122855 SECURITY DEPOSITS PAYABLE TO PM - F - F - ERRORVALUE
2123100 ACCRUED INTEREST (602235) C (1216658) C (614423)
2123110 INTEREST ACCRUAL - 2014-1 (8670051) C (8742640) C (72589) (72589)
2123120 INTEREST ACCRUAL - OLD OWNER (166111) C (1100486) C (934375)
2123200 ACCRUED OFFERING COSTS (337000) C - C 337000
2123205 ACCRUED INCENTIVE (2117421) C (1449261) C 668160
2123220 TAX PREPARATION ACCRUAL - OLD OWNER (258137) C (339300) C (81163)
2123300 ACCRUED DISTRIBUTION - D - D - 0 - 0
2123600 ACCRUED STOCK OPTIONS - NON EMPLOYEE - C - C -
2123650 PREPAID RENT (15939303) G (16371311) G (432008) (432008) 5439992
2123750 REFUND CLEARING ACCOUNT (8352) C - C 8352
2123800 GENERAL ACCRUAL (10417917) E (10995171) E (577254)
2123850 ACCRUED LIENS - C - C -
2123860 STATE TAX LIABILITY - C - C -
2123950 DEFERRED RENT INCOME - C - C -
2123965 DEFERRED PET INCOME (1574511) C (1356042) C 218469
2140300 MORTGAGES (0) C (0) C - 0
2710500 CONSERVICE FEE PAYABLE (450850) C (1132877) C (682027)
- 0
- 0
AP AND ACCRUED EXPENSES ($215087605) ($201045570) 14042035
radic
American Homes 4 Rent
Financial Statement Footnote Support
Note 6 Debt
June 30 2016
(in thousands)
Outstanding Principal Balance
Interest Rate (1) Maturity Date June 30 2016 December 31 2015
AH4R 2014-SFR1 securitization (2) 201 June 9 2019 $ 471351 $ 473755
ARP 2014-SFR1 securitization (3) 258 September 9 2019 342115 -
AH4R 2014-SFR2 securitization 442 October 9 2024 504739 507305
AH4R 2014-SFR3 securitization 440 December 9 2024 520468 523109
AH4R 2015-SFR1 securitization (4) 414 April 9 2045 546358 549121
AH4R 2015-SFR2 securitization (5) 436 October 9 2045 474532 476920
Total asset-backed securitizations 2859563 2530210
Exchangeable senior notes 325 November 15 2018 115000 -
Secured note payable 406 July 1 2019 50295 50752
Credit facility (6) 322 September 30 2018 142000 -
Total debt (7) 3166858 2580962
Unamortized discount on ARP 2014-SFR1 securitization (11293) -
Unamortized discount on exchangeable senior notes (2382) -
Equity component of exchangeable senior notes (6184) -
Deferred financing costs net (52493) (56567)
Total debt per balance sheet $ 3094506 $ 2524395
radic
$ - $ -
check -
American Homes 4 Rent
Financial Statement Footnote Support
Note 6 Debt
June 30 2016
(in thousands)
For the Three Months Ended June 30 For the Six Months Ended June 30
2016 2015 2016 2015 2013
Gross interest $ 35840 $ 23913 $ 67453 $ 44152 $ 10016 $ 31613
Capitalized interest (359) (1910) (995) (6479) (9646) (636)
Interest expense $ 35481 $ 22003 $ 66458 $ 37673 $ 370 $ 30977
radic Per IS 35481 22003 66458 37673 370
Variance - - - - -
American Homes 4 Rent
Q2 2016 Footnote Calculations
Intangibles
(in thousands)
June 30 2016 December 31 2015
Deferred leasing costs $ 12866 $ 8692 Amortization expense - YTD 63016
Deferred financing costs 12804 12454 Deferred leasing costs 4370
Intangible assets In-place lease values 14984
In-place lease values 22754 152 Trademark 330
Trademark 3100 3100 Database 150
Database 2100 2100 Amortization expense - YTD 63016 19834
53624 26498 Amortization expense - YTD 33116 7581
Less accumulated amortization (37225) (16069) Amortization expense - QTD 63016 12253
Total $ 16399 $ 10429
radic - -
19834 Amort
129287 Deprec
149121 Amortization + Depreciation
149121 Per IS
- Check
American Homes 4 Rent
Q2 2016 10-Q Footnote Calculations
Depreciation expense
(in thousands)
Depreciation expense per GL on real estate 127024
Depreciation expense per GL on non-real estate 2263
Total depreciation expense 129287
Amortization expense per GL 19834
Depreciation and amortization per IS 149121
check -
Depreciation expense on real estate 2Q16 YTD 127024
Depreciation expense on real estate 1Q16 YTD 60822
Depreciation expense on real estate 2Q16 QTD 66202
radic
Depreciation expense 1Q15 YTD
Depreciation expense 1Q15 YTD 129287
Depreciation expense for 1Q15 QTD 129287
Amercian Homes 4 Rent
Noncontrolling Interest Rollforward
As of June 30 2016
3401500 3401600 3401700 Process
Former ARPI AH4R LLC AH4R LLC via RJ AH4R Investments LLC AH4R LLC AH4R LLC AMIP Management LLC 1 Run GL querry on the non-controlling accounts
Class A Units Class A Units 35 Convertible Perpetual Preferred Units Series C Convertible Units Series D Convertible Units 50 Noncontrolling Interest Total RJ and Class A 3400800 and 3401400
Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Number of Units Face Amount Amount Class C 3401500
Class D 3401600
Balances as of December 31 2015 - 0 - 0 $ - 14440670 233602684 $ 217820272 - 0 - 0 - 0 - 0 31085974 481832597 $ 393577969 4375000 65187500 $ 65187500 - 0 - 0 $ (698187) - 0 $ 675887555
Conversion of Series C convertible units to Class A units 31085974 $ 481832597 $ 396605432 - 0 $ - 0 $ - 0 (31085974) $ (481832597) $ (396605432) $ - 0
Conversion of Series E units to Series D units - 0 $ - 0 $ - 0 4375000 $ 58493750 $ 58493750 $ 58493750
Issuance of Class A units in connection with Merger 1343843 $ 18813802 $ 18813802 - 0 $ - 0 $ - 0 $ 18813802
Redemptions of Class A units (47119) $ (659666) $ (659666) $ (659666)
1Q16 Distributions paid declared amp accrued $ (2747906) - 0 $ - 0 $ - 0 $ (243338) $ (2991244)
Income (loss) allocation to non-controlling interests $ 20217 $ 729955 - 0 $ - 0 $ - 0 $ 3027463 $ 133918 $ (74913) $ 3836641
Balances as of March 31 2016 1296724 18154136 $ 18174353 45526644 715435281 $ 612407753 - 0 - 0 - 0 - 0 - 0 - 0 $ (0) 8750000 123681250 $ 123571831 - 0 - 0 $ (773099) - 0 $ 753380838
Redemptions of Class A units (12208) $ (170912) $ (170912) $ (170912)
2Q16 Distributions paid declared amp accrued $ (130505) $ (2276332) - 0 $ - 0 $ - 0 $ (306250) $ (200000) $ (2913087)
Income (loss) allocation to non-controlling interests $ (16921) $ (598896) - 0 $ - 0 $ - 0 $ - 0 $ (145482) $ (761298)
Balances as of June 30 2016 1284516 17983224 $ 17856016 45526644 715435281 $ 609532525 - 0 - 0 - 0 - 0 - 0 - 0 $ (0) 8750000 123681250 $ 123265581 - 0 - 0 $ (1118581) - 0 $ 749535540
- 0 - 0 - 0
Class A Unit - Income (loss) allocation (6-mos ended 63016)
(in thousands) Check figures
Net income (loss) YTD 63016 1275000
Net income (loss) QTD 33116 5028000
Net income (loss) from income statement - QTD 63016 (3753000) Balance sheet NCI - per FS 749535
Preferred distribution - 0 Balance sheet NCI - per RF 749535
2Q16 Net income (loss) for Class A NCI allocation (3753000) variance - 0
AH LLC Former ARPI
2Q16 Weighted-average Class A NCI 1596 045 Income statement NCI - per FS 3075
Income statement NCI - per RF 3075
2Q16 Net income attributable to Class A NCI (598896) (16921) variance - 0
radic
American Homes 4 Rent
Class A Units - Weighted Average Calculation
Beginning of period 4116
Balance sheet date 63016
Total days in period 91
AH LLC Former ARPI
2Q16 Weighted-average Class A unit NCI 1596 045
REIT Former ARPI AH LLC Total
Description of Issuance Date of Issuance Days to Weight Units Weighted Avg Units Weighted Avg Units Weighted Avg Units Weighted Avg
Opening balance - 10113 10113 91 185491294 185491294 - - 13787292 13787292 199278586 199278586
Class A common shares issued to trustees 11813 91 13000 13000 - - - - 13000 13000
Balance at 123113 185504294 185504294 - - 13787292 13787292 199291586 199291586
Balance at 33114 185504294 185504294 - - 13787292 13787292 199291586 199291586
Exercise of stock options 51914 91 6000 6000 - - - - 6000 6000
Exercise of stock options 52014 91 6750 6750 - - - - 6750 6750
Exercise of stock options 52214 91 3000 3000 - - - - 3000 3000
Exercise of stock options 52814 91 3000 3000 - - - - 3000 3000
Exercise of stock options 53014 91 3000 3000 - - - - 3000 3000
Exercise of stock options 6314 91 3000 3000 - - - - 3000 3000
Exercise of stock options 6614 91 2000 2000 - - - - 2000 2000
Exercise of stock options 61114 91 2000 2000 - - - - 2000 2000
Balance at 63014 185533044 185533044 - - 13787292 13787292 199320336 199320336
Class A common shares offering - Beazer Acquisition 7114 91 8158001 8158001 - - - - 8158001 8158001
Class A common shares offering 81314 91 15832861 15832861 - - - - 15832861 15832861
Class A common shares offering - Shoe offering 91114 91 1950000 1950000 - - - - 1950000 1950000
Balance at 93014 211473906 211473906 - - 13787292 13787292 225261198 225261198
45 property contribution from Sponsor 121214 91 - - - - 653378 653378 653378 653378
Balance at 123114 211473906 211473906 - - 14440670 14440670 225914576 225914576
RSU vesting (stock issuance) 2615 91 12470 12470 - - - - 12470 12470
RSU vesting (stock issuance) 22015 91 645 645 - - - - 645 645
RSU vesting (stock issuance) 22715 91 143 143 - - - - 143 143
Balance at 33115 211487164 211487164 - - 14440670 14440670 225927834 225927834
No second quarter activity
Balance at 63015 211487164 211487164 - - 14440670 14440670 225927834 225927834
RSU vesting (stock issuance) 8115 91 423 423 - - - - 423 423
Exercise of stock options 83115 91 5000 5000 - - - - 5000 5000
Exercise of stock options 91715 91 5000 5000 - - - - 5000 5000
Exercise of stock options 91815 91 5000 5000 - - - - 5000 5000
Repurchase of Class A common shares 92815 91 (303063) (303063) - - - - (303063) (303063)
Repurchase of Class A common shares 92915 91 (3000000) (3000000) - - - - (3000000) (3000000)
Repurchase of Class A common shares 93015 91 (103983) (103983) - - - - (103983) (103983)
Balance at 93015 208095541 208095541 - - 14440670 14440670 222536211 222536211
Exercise of stock options 102315 91 1600 1600 - - - - 1600 1600
Repurchase of Class A common shares 121115 91 (197356) (197356) - - - - (197356) (197356)
Repurchase of Class A common shares 121415 91 (29200) (29200) - - - - (29200) (29200)
Balance at 123115 207870585 207870585 - - 14440670 14440670 222311255 222311255
Repurchase of Class A common shares 11316 91 (300000) (300000) - - - - (300000) (300000)
Repurchase of Class A common shares 11416 91 (499300) (499300) - - - - (499300) (499300)
Repurchase of Class A common shares 11516 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 11916 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12016 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12116 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12216 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12516 91 (54000) (54000) - - - - (54000) (54000)
Repurchase of Class A common shares 12616 91 (153700) (153700) - - - - (153700) (153700)
Repurchase of Class A common shares 12716 91 (53900) (53900) - - - - (53900) (53900)
RSU vesting (stock issuance) 2616 91 10506 10506 - - - - 10506 10506
RSU vesting (stock issuance) 22016 91 500 500 - - - - 500 500
ARPI merger (stock issuance) 22616 91 6590 6590 - - - - 6590 6590
Series C conversion 22816 91 - 0 - 0 - - 31085974 31085974 31085974 31085974
ARPI merger (stock issuance) 22916 91 36546170 36546170 1343843 1343843 - - 37890013 37890013
Exercise of Stock Options 3416 91 11500 11500 - - - - 11500 11500
Repurchase of Class A common shares 3716 91 (163132) (163132) - - - - (163132) (163132)
Repurchase of Class A common shares 3816 91 (203286) (203286) - - - - (203286) (203286)
Repurchase of Class A common shares 3916 91 (5516) (5516) - - - - (5516) (5516)
Repurchase of Class A common shares 31016 91 (58700) (58700) - - - - (58700) (58700)
Redemption of OP units 31016 91 7399 7399 (7437) (7437) - - (38) (38)
Exercise of Stock Options 31116 91 5500 5500 - - - - 5500 5500
Repurchase of Class A common shares 31116 91 (257777) (257777) - - - - (257777) (257777)
Repurchase of Class A common shares 31416 91 (460189) (460189) - - - - (460189) (460189)
Redemption of OP units 31416 91 10817 10817 (10817) (10817) - - - -
Repurchase of Class A common shares 31516 91 (524000) (524000) - - - - (524000) (524000)
Redemption of OP units 31516 91 - 0 - 0 (6449) (6449) - - (6449) (6449)
Repurchase of Class A common shares 31616 91 (485000) (485000) - - - - (485000) (485000)
Redemption of OP units 31616 91 - 0 - 0 (12208) (12208) - - (12208) (12208)
Exercise of Stock Options 31716 91 5500 5500 - - - - 5500 5500
Redemption of OP units 31816 91 10208 10208 (10208) (10208) - - - -
Repurchase of Class A common shares 31816 91 (32073) (32073) - - - - (32073) (32073)
Repurchase of Class A common shares 32116 91 (32730) (32730) - - - - (32730) (32730)
Repurchase of Class A common shares 32816 91 (28258) (28258) - - - - (28258) (28258)
Repurchase of Class A common shares 32916 91 (553241) (553241) - - - - (553241) (553241)
Repurchase of Class A common shares 33016 91 (553000) (553000) - - - - (553000) (553000)
Repurchase of Class A common shares 33116 91 (242981) (242981) - - - - (242981) (242981)
Balance at 33116 239554492 239554492 1296724 1296724 45526644 45526644 286377860 286377860
Repurchase of Class A common shares 4116 91 (8850) (8850) - - - - (8850) (8850)
Repurchase of Class A common shares 4716 85 (20000) (18681) - - - - (20000) (18681)
Repurchase of Class A common shares 4816 84 (386800) (357046) - - - - (386800) (357046)
Repurchase of Class A common shares 41316 79 (328079) (284816) - - - - (328079) (284816)
Redemption of OP units 41416 78 12208 10464 (12208) (10464) - - - -
Repurchase of Class A common shares 41916 73 (380255) (305040) - - - - (380255) (305040)
Repurchase of Class A common shares 42016 72 (3600) (2848) - - - - (3600) (2848)
Repurchase of Class A common shares 42616 66 (151714) (110034) - - - - (151714) (110034)
Repurchase of Class A common shares 42716 65 (5575) (3982) - - - - (5575) (3982)
Exercise of Stock Options 52716 35 10000 3846 - - - - 10000 3846
Exercise of Stock Options 6716 24 2500 659 - - - - 2500 659
RSU vesting (stock issuance) 61716 14 282 43 - - - - 282 43
Exercise of Stock Options 62016 11 8250 997 - - - - 8250 997
Exercise of Stock Options 62816 3 62500 2060 - - - - 62500 2060
Balance at 63016 238365359 238481264 1284516 1286260 45526644 45526644 285176519 285294168
radic
-
-
-
- - ERRORDIV0 ERRORDIV0 -
American Homes 4 Rent 30 MTD (do not touch)
Weighted-average unit calculation - OP units owned by former ARPI 182 YTD (do not touch)
63016 91 Current Qtr (do not touch)
Month Start Date 6116 input
Year Start Date 1116 input
Date for MTD Ended June 30 2016 QTD Ended June 30 2016 YTD Ended June 30 2016 Quarter Start Date 4116 input
Class of Units Date of Issuance WAS Calculation No of Days Wtd Avg Units No of Days Wtd Avg Units No of Days Wtd Avg Units Three Months Ended 63016 input
Year Ended 63016 input
Ending balance December 31 2015 - 0 - 0 - 0 - 0
ARPI Merger (stock issuance) A 1343843 22916 22916 30 1343843 91 1343843 123 908202
Redemption of OP units A (7437) 31016 31016 30 (7437) 91 (7437) 113 (4617)
Redemption of OP units A (10817) 31416 31416 30 (10817) 91 (10817) 109 (6478)
Redemption of OP units A (6449) 31516 31516 30 (6449) 91 (6449) 108 (3827)
Redemption of OP units A (12208) 31616 31616 30 (12208) 91 (12208) 107 (7177)
Redemption of OP units A (10208) 31816 31816 30 (10208) 91 (10208) 105 (5889)
Ending balance March 31 2016 1296724 1296724 1296724 880214
Redemption of OP units (12208) 41416 41416 30 (2012) 78 (10464) 78 (10464)
Ending balance June 30 2016 1284516 1294712 1286260 869750
- 0 - 0 - 0
Check - 0
radic
American Homes 4 Rent
Financial Statement Footnote Support
Weighted-Average Share calculations for EPS
63016
30 MTD (do not touch)
182 YTD (do not touch)
Date for MTD Ended June 30 2016 QTD Ended June 30 2016 YTD Ended June 30 2016 91 Current Qtr (do not touch)
Class of Shares Date of Issuance WAS Calculation No of Days Wtd Avg Shares No of Days Wtd Avg Shares No of Days Wtd Avg Shares
Month Start Date 6116 input
Year Start Date 1116 input
Initial formation (101912) A 1000 101912 1113 30 1000 91 1000 182 1000 Quarter Start Date 4116 input
367 Property Contribution (123112) A 3300000 123112 1113 30 3300000 91 3300000 182 3300000 Three Months Ended 63016 input
367 Contribution of properties (123112) B 667 123112 1113 30 667 91 667 182 667 Year Ended 63016 input
Private placement (112112) A 34640899 112112 112112 30 34640899 91 34640899 182 34640899
Over allotment (121012) A 719999 121012 121012 30 719999 91 719999 182 719999
Management A 2100 122712 122712 30 2100 91 2100 182 2100
Beginning balance January 1 2013 38664665 38664665 38664665 38664665
2770 Property Contribution B 634408 22813 22813 30 634408 91 634408 182 634408
2013 Offering A 46718750 31413 31413 30 46718750 91 46718750 182 46718750
Ending balance March 31 2013 86017823 86017823 86017823 86017823
Stock Grant to Trustees A 6500 4413 4413 30 6500 91 6500 182 6500
Issuance of shares to AH4R LLC in settlement of subscription agreement A 434783 41613 41613 30 434783 91 434783 182 434783
Alaska Transaction Exchange A 43609394 61113 61113 30 43609394 91 43609394 182 43609394
Ending balance June 30 2013 130068500 130068500 130068500 130068500
Initial Public Offering of Class A common shares A 44117647 8613 8613 30 44117647 91 44117647 182 44117647
Concurrent private placement of Class A common shares A 4687500 8613 8613 30 4687500 91 4687500 182 4687500
Underwriters option to purchase Class A common shares A 6617647 82113 82113 30 6617647 91 6617647 182 6617647
Ending balance September 30 2013 185491294 185491294 185491294 185491294
Stock Grant to Trustees A 13000 11713 11713 30 13000 91 13000 182 13000
Ending balance December 31 2013 185504294 185504294 185504294 185504294
Ending balance March 31 2014 185504294 185504294 185504294 185504294
Exercise of stock options A 6000 51914 51914 30 6000 91 6000 182 6000
Exercise of stock options A 6750 52014 52014 30 6750 91 6750 182 6750
Exercise of stock options A 3000 52214 52214 30 3000 91 3000 182 3000
Exercise of stock options A 3000 52814 52814 30 3000 91 3000 182 3000
Exercise of stock options A 3000 53014 53014 30 3000 91 3000 182 3000
Exercise of stock options A 3000 6314 6314 30 3000 91 3000 182 3000
Exercise of stock options A 2000 6614 6614 30 2000 91 2000 182 2000
Exercise of stock options A 2000 61114 61114 30 2000 91 2000 182 2000
Ending balance June 30 2014 185533044 185533044 185533044 185533044
Issuance of Class A common shares A 8158001 7114 7114 30 8158001 91 8158001 182 8158001
Issuance of Class A common shares A 15832861 81314 81314 30 15832861 91 15832861 182 15832861
Class A common shares offering - Shoe offering A 1950000 91114 91114 30 1950000 91 1950000 182 1950000
Ending balance September 30 2014 211473906 211473906 211473906 211473906
No fourth quarter activity
Ending balance December 31 2014 211473906 211473906 211473906 211473906
RSU vesting (stock issuance) A 12470 2615 2615 30 12470 91 12470 182 12470
RSU vesting (stock issuance) A 645 22015 22015 30 645 91 645 182 645
RSU vesting (stock issuance) A 143 22715 22715 30 143 91 143 182 143
Ending balance March 31 2015 211487164 211487164 211487164 211487164
No second quarter activity
Ending balance June 30 2015 211487164 211487164 211487164 211487164
RSU vesting (stock issuance) A 423 8115 8115 30 423 91 423 182 423
Exercise of stock options A 5000 83115 83115 30 5000 91 5000 182 5000
Exercise of stock options A 5000 91715 91715 30 5000 91 5000 182 5000
Exercise of stock options A 5000 91815 91815 30 5000 91 5000 182 5000
Repurchase of Class A common shares A (303063) 92815 92815 30 (303063) 91 (303063) 182 (303063)
Repurchase of Class A common shares A (3000000) 92915 92915 30 (3000000) 91 (3000000) 182 (3000000)
Repurchase of Class A common shares A (103983) 93015 93015 30 (103983) 91 (103983) 182 (103983)
Ending balance September 30 2015 208095541 208095541 208095541 208095541
Exercise of stock options A 1600 102315 102315 30 1600 91 1600 182 1600
Repurchase of Class A common shares A (197356) 121115 121115 30 (197356) 91 (197356) 182 (197356)
Repurchase of Class A common shares A (29200) 121415 121415 30 (29200) 91 (29200) 182 (29200)
Ending balance December 31 2015 207870585 207870585 207870585 207870585
Repurchase of Class A common shares A (300000) 11316 11316 30 (300000) 91 (300000) 170 (280220)
Repurchase of Class A common shares A (499300) 11416 11416 30 (499300) 91 (499300) 169 (463636)
Repurchase of Class A common shares A (54000) 11516 11516 30 (54000) 91 (54000) 168 (49846)
Repurchase of Class A common shares A (54000) 11916 11916 30 (54000) 91 (54000) 164 (48659)
Repurchase of Class A common shares A (54000) 12016 12016 30 (54000) 91 (54000) 163 (48363)
Repurchase of Class A common shares A (54000) 12116 12116 30 (54000) 91 (54000) 162 (48066)
Repurchase of Class A common shares A (54000) 12216 12216 30 (54000) 91 (54000) 161 (47769)
Repurchase of Class A common shares A (54000) 12516 12516 30 (54000) 91 (54000) 158 (46879)
Repurchase of Class A common shares A (153700) 12616 12616 30 (153700) 91 (153700) 157 (132587)
Repurchase of Class A common shares A (53900) 12716 12716 30 (53900) 91 (53900) 156 (46200)
RSU vesting (stock issuance) A 10506 2616 2616 30 10506 91 10506 146 8428
RSU vesting (stock issuance) A 500 22016 22016 30 500 91 500 132 363 - 0
RSU vesting (stock issuance) A 6590 22616 22616 30 6590 91 6590 126 4562
ARPI merger (stock issuance) A 36546170 22916 22916 30 36546170 91 36546170 123 24698785
Exercise of Stock Options A 11500 3416 3416 30 11500 91 11500 119 7519
Repurchase of Class A common shares A (163132) 3716 3716 30 (163132) 91 (163132) 116 (103974)
Repurchase of Class A common shares A (203286) 3816 3816 30 (203286) 91 (203286) 115 (128450)
Repurchase of Class A common shares A (5516) 3916 3916 30 (5516) 91 (5516) 114 (3455)
Repurchase of Class A common shares A (58700) 31016 31016 30 (58700) 91 (58700) 113 (36446)
Redemption of OP units A 7399 31016 31016 30 7399 91 7399 113 4594
Exercise of Stock Options A 5500 31116 31116 30 5500 91 5500 112 3385
Repurchase of Class A common shares A (257777) 31116 31116 30 (257777) 91 (257777) 112 (158632)
Repurchase of Class A common shares A (460189) 31416 31416 30 (460189) 91 (460189) 109 (275608)
Redemption of OP units A 10817 31416 31416 30 10817 91 10817 109 6478
Repurchase of Class A common shares A (524000) 31516 31516 30 (524000) 91 (524000) 108 (310945)
Repurchase of Class A common shares A (485000) 31616 31616 30 (485000) 91 (485000) 107 (285137)
Exercise of Stock Options A 5500 31716 31716 30 5500 91 5500 106 3203
Redemption of OP units A 10208 31816 31816 30 10208 91 10208 105 5889
Repurchase of Class A common shares A (32073) 31816 31816 30 (32073) 91 (32073) 105 (18504)
Repurchase of Class A common shares A (32730) 32116 32116 30 (32730) 91 (32730) 102 (18343)
Repurchase of Class A common shares A (28258) 32816 32816 30 (28258) 91 (28258) 95 (14750)
Repurchase of Class A common shares A (553241) 32916 32916 30 (553241) 91 (553241) 94 (285740)
Repurchase of Class A common shares A (553000) 33016 33016 30 (553000) 91 (553000) 93 (282577)
Repurchase of Class A common shares A (242981) 33116 33116 30 (242981) 91 (242981) 92 (122826)
Ending balance March 31 2016 239554492 239554492 239554492 229356179
Repurchase of Class A common shares A (8850) 4116 4116 30 (8850) 91 (8850) 91 (4425)
Repurchase of Class A common shares A (20000) 4716 4716 30 (20000) 85 (18681) 85 (9341)
Repurchase of Class A common shares A (386800) 4816 4816 30 (386800) 84 (357046) 84 (178523)
Repurchase of Class A common shares A (328079) 41316 41316 30 (328079) 79 (284816) 79 (142408)
Redemption of OP units A 12208 41416 41416 30 12208 78 10464 78 5232
Repurchase of Class A common shares A (380255) 41916 41916 30 (380255) 73 (305040) 73 (152520)
Repurchase of Class A common shares A (3600) 42016 42016 30 (3600) 72 (2848) 72 (1424)
Repurchase of Class A common shares A (151714) 42616 42616 30 (151714) 66 (110034) 66 (55017)
Repurchase of Class A common shares A (5575) 42716 42716 30 (5575) 65 (3982) 65 (1991)
Exercise of Stock Options A 10000 52716 52716 30 10000 35 3846 35 1923
Exercise of Stock Options A 2500 6716 6716 24 2000 24 659 24 330
RSU vesting (stock issuance) A 282 61716 61716 14 132 14 43 14 22
Exercise of Stock Options A 8250 62016 62016 11 3025 11 997 11 499
Exercise of Stock Options A 62500 62816 62816 3 6250 3 2060 3 1030
Ending balance June 30 2016 238365359 238303234 238481265 228819566
- 0 ERRORDIV0 ERRORDIV0 - 0
Check - 0
Shares and units for dilution consideration
As of June 30 2016
OP Units and PS 92571160
Warrant -
Stock options 3006000
RSUs 134950
95712110
radic
Class A Class B Class A Preferred Class C Class D Class E Series A Pref Series B Pref Series C Pref Series D Pref Series E Pref Total
Shares Shares Units Units Units Units Units Units Units Units Units Units Units
Formation Initial shareunit issuance 10232012 1000 - 0 1 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1
Private placement 11142012 34000000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Private placement - shoe 11142012 1360898 - 0 - 0 - 0 - 0 - 0 - 0
Warrant issuance 11142012 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Issuance of shares to officers 12282012 2100 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
AH LLC contribution - 367 properties 12312012 3300000 667 32667 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 32667
RJ 1 contribution 12312012 - 0 - 0 - 0 653492 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 653492
AH LLC contribution - 2770 properties 02282013 - 0 634408 - 0 - 0 31085974 - 0 - 0 - 0 - 0 - 0 - 0 - 0 31085974
Issuance of shares to trustees 03252013 6500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Private placement follow on 03072013 40625000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Private placement follow on shoe 03072013 6093750 - 0 - 0 - 0 - 0 - 0 - 0
Warrant exercised 04162013 434783 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RJ 2 contribution 06142013 - 0 - 0 705167 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 705167
Conversion of preferred units (RJ1) 06142013 - 0 - 0 653492 (653492) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Management Internalization 06102013 - 0 - 0 - 0 - 0 - 0 4375000 4375000 - 0 - 0 - 0 - 0 - 0 8750000
Alaska Venture Acquisition 06112013 43609394 - 0 12395965 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 12395965
Initial Public Offering of Class A common shares 08062013 44117647 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Concurrent private placement of Class A common shares 08062013 4687500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Underwriters option to purchase Class A common shares 08212013 6617647 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A participating preferred shares 10252013 - 0 - 0 - 0 - 0 - 0 - 0 - 0 4400000 - 0 - 0 - 0 - 0 4400000
Series A participating preferred shares - Shoe 11082013 - 0 - 0 - 0 - 0 - 0 - 0 - 0 660000 - 0 - 0 - 0 - 0 660000
Class A Common Shares issued to trustees 11082013 13000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series B participating preferred shares 12302013 - 0 - 0 - 0 - 0 - 0 - 0 - 0 4000000 - 0 - 0 - 0 4000000
Series B participating preferred shares - Shoe 01232014 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 400000 - 0 - 0 - 0 400000
Series C participating preferred shares 05022014 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 7600000 - 0 - 0 7600000
Option exercised 05192014 6000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05202014 6750 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05222014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05282014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 05302014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 06032014 3000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 06062014 2000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Option exercised 06112014 2000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A Common stock 08072014 8158001 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A Common stock 08132014 15832861 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series A Common stock - Shoe Offering 09112014 1950000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
AH LLC contribution - 45 properties 12122014 - 0 - 0 653378 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 653378
RSUs vested (shares issued) 02062015 12470 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSUs vested (shares issued) 02202015 645 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSUs vested (shares issued) 02272015 143 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSUs vested (shares issued) 08012015 423 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 08312015 5000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 09172015 5000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 09182015 5000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 09282015 (303063) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 09292015 (3000000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 09302015 (103983) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Options exercised 10232015 1600 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12112015 (197356) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12142015 (29200) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11316 (300000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11416 (499300) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11516 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 11916 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12016 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12116 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12216 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12516 (54000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12616 (153700) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 12716 (53900) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 2616 10506 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 22016 500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 22616 6590 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series C conversion 22816 - 0 - 0 31085974 - 0 (31085974) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series E conversion 22816 - 0 - 0 - 0 - 0 - 0 4375000 (4375000) - 0 - 0 - 0 - 0 - 0 - 0
ARPI merger (stock issuance) 22916 36546170 - 0 1343843 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1343843
Exercise of Stock Options 3416 11500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 3716 (163132) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 3816 (203286) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 3916 (5516) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31016 (58700) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31016 7399 - 0 (7437) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (7437)
Exercise of Stock Options 31116 5500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31116 (257777) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31416 (460189) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31416 10817 - 0 (10817) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (10817)
Redemption of OP units 31516 - 0 - 0 (6449) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (6449)
Repurchase of Class A common shares 31516 (524000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 31616 (485000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31616 - 0 - 0 (12208) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (12208)
Exercise of Stock Options 31716 5500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 31816 10208 - 0 (10208) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (10208)
Repurchase of Class A common shares 31816 (32073) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 32116 (32730) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 32816 (28258) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 32916 (553241) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 33016 (553000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 33116 (242981) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 4116 (8850) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 4716 (20000) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 4816 (386800) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 41316 (328079) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Redemption of OP units 41416 12208 - 0 (12208) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 (12208)
Repurchase of Class A common shares 41916 (380255) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 42016 (3600) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 42616 (151714) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Repurchase of Class A common shares 42716 (5575) - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series D Perpetual Preferred Offering 52416 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 9000000 - 0 9000000
Series D Perpetual Preferred Offering - shoe 52416 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1350000 - 0 1350000
Series D Perpetual Preferred Offering - private placement 52416 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 400000 - 0 400000
Exercise of Stock Options 52716 10000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Exercise of Stock Options 6716 2500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
RSU vesting (stock issuance) 61716 282 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Exercise of Stock Options 62016 8250 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Exercise of Stock Options 62816 62500 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
Series E Perpetual Preferred Offering 62916 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 8000000 8000000
Series E Perpetual Preferred Offering - shoe 62916 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 1200000 1200000
237730284 635075 46811160 - 0 - 0 8750000 - 0 5060000 4400000 7600000 10750000 9200000 92571160
- 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
American Homes 4 Rent
Fully-diluted AH LLC Ownership Calculation
June 30 2016
AH LLC All SharesUnits
Class A Class B Preferred Class A Class C Class D Class E Class A Class B Preferred Class A Class C Class D Class E
Shares Shares Shares Units Units Units Units Total Shares Shares Shares Units Units Units Units Total
June 30 2013 3735783 635075 - 0 13787292 31085974 4375000 4375000 57994124 129433425 635075 - 0 13787292 31085974 4375000 4375000 183691766 - 0
29 1000 00 1000 1000 1000 1000 316
September 30 2013 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184856219 635075 - 0 13787292 31085974 4375000 4375000 239114560 - 0
37 1000 00 1000 1000 1000 1000 256
December 31 2013 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184869219 635075 9060000 13787292 31085974 4375000 4375000 248187560 - 0
37 1000 00 1000 1000 1000 1000 246
March 31 2014 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184869219 635075 9460000 13787292 31085974 4375000 4375000 248587560 - 0
37 1000 00 1000 1000 1000 1000 246
June 30 2014 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 184897969 635075 17060000 13787292 31085974 4375000 4375000 256216310 - 0
37 1000 00 1000 1000 1000 1000 239
September 30 2014 6860783 635075 - 0 13787292 31085974 4375000 4375000 61119124 210838831 635075 17060000 13787292 31085974 4375000 4375000 282157172
33 1000 00 1000 1000 1000 1000 217
December 31 2014 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 210838831 635075 17060000 14440670 31085974 4375000 4375000 282810550
33 1000 00 1000 1000 1000 1000 218
March 31 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 210852089 635075 17060000 14440670 31085974 4375000 4375000 282823808
33 1000 00 1000 1000 1000 1000 218
June 30 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 210852089 635075 17060000 14440670 31085974 4375000 4375000 282823808 - 0
33 1000 00 1000 1000 1000 1000 218
September 30 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 207460466 635075 17060000 14440670 31085974 4375000 4375000 279432185 - 0
33 1000 00 1000 1000 1000 1000 221
December 31 2015 6860783 635075 - 0 14440670 31085974 4375000 4375000 61772502 207235510 635075 17060000 14440670 31085974 4375000 4375000 279207229 - 0
33 1000 00 1000 1000 1000 1000 221
March 31 2016 6860783 635075 - 0 45526644 - 0 8750000 - 0 61772502 238919417 635075 17060000 46823368 - 0 8750000 - 0 312187860 - 0
29 1000 00 972 00 1000 00 198
June 30 2016 6860783 635075 - 0 45526644 - 0 8750000 - 0 61772502 237730284 635075 37010000 46811160 - 0 8750000 - 0 330936519 - 0
29 1000 00 973 00 1000 00 187
radic
- 0
- 0
- 0
- 0 - 0 ERRORDIV0 ERRORDIV0 - 0
American Homes 4 Rent
Operating Partnership Units Log
REIT Former ARPI AH4R LLC TOTAL UNITS PERCENTAGE OF CUMULATIVE UNITS ISSUED HELD BY 5 SERIES A PARTICIPATING PREFERRED UNITS 5 SERIES B PARTICIPATING PREFERRED UNITS 5 SERIES C PARTICIPATING PREFERRED UNITS 65 SERIES D PARTICIPATING PREFERRED UNITS 635 SERIES E PARTICIPATING PREFERRED UNITS 35 CONVERTIBLE PREFERRED OP UNITS 39 Series C Convertible UNITS Series D amp E UNITS
DATE DESCRIPTION CURRENT CUMULATIVE CURRENT CUMULATIVE CURRENT CUMULATIVE TOTAL CURRENT UNITS ISSUED CUMULATIVE UNITS ISSUED REIT Former ARPI AH4R LLC REIT CUMULATIVE REIT CUMULATIVE REIT CUMULATIVE REIT CUMULATIVE REIT CUMULATIVE AH4R LLC CUMULATIVE AH4R LLC CUMULATIVE AH4R LLC CUMULATIVE
102212 Formation of REIT LP 1000 1000 1 1 1001 1001 9990 010 - 0 - 0 - 0 - 0 - 0 - 0
112113 Units issued first closing 34640899 34641899 1 34640899 34641900 10000 000 - 0 - 0 - 0 - 0 - 0 - 0
121013 Units issued second closing 719999 35361898 1 719999 35361899 10000 000 - 0 - 0 - 0 - 0 - 0 - 0
122713 Shares issued to management (100 shareholders) 2100 35363998 1 2100 35363999 10000 000 - 0 - 0 - 0 - 0 - 0 - 0
123112 Contribution Agreement (Cash) 35363998 32667 32668 32667 35396666 9991 009 - 0 - 0 - 0 - 0 - 0 - 0
123112 Contribution Agreement (Class B Shares) 667 35364665 32668 667 35397333 9991 009 - 0 - 0 - 0 - 0 - 0 - 0
123112 Contribution Agreement (Class A shares) 3300000 38664665 32668 3300000 38697333 9992 008 - 0 - 0 - 0 - 0 - 0 - 0
123112 RJ1 transaction issuance of preferred units 38664665 32668 - 0 38697333 9992 008 653492 653492 - 0 - 0 - 0 - 0
22813 2770 Property Contribution (Series C Convertible to AH4R LLC) 38664665 32668 - 0 38697333 9992 008 653492 31085974 31085974 - 0 - 0
22813 2770 Property Contribution (REGULAR OP UNITS TO REIT) 634408 39299073 32668 634408 39331741 9992 008 653492 31085974 - 0 - 0
31413 2013 OFFERING UNITS ISSUED TO REIT 46718750 86017823 32668 46718750 86050491 9996 004 653492 31085974 - 0 - 0
4413 UNITS ISSUED FOR REIT SHARES TO TRUSTEE 6500 86024323 32668 6500 86056991 9996 004 653492 31085974 - 0 - 0
41613 ISSUANCE OF SHARES TO AH4R LLC IN SETTLEMENT OF SUBSCRIPTION AGREEMENT 434783 86459106 32668 434783 86491774 9996 004 653492 31085974 - 0
61013 Internalization of Advisor amp Management Holdings LLC 86459106 32668 - 0 86491774 9996 004 653492 31085974 8750000 8750000
61113 Alaska Transaction 43609394 130068500 12395965 12428633 56005359 142497133 9128 872 653492 31085974 8750000
61413 RJ2 transaction issuance of Class A Units 130068500 705167 13133800 705167 143202300 9083 917 - 0 653492 31085974 - 0 8750000
61413 RJ1 conversion of preferred units to Class A Units 130068500 653492 13787292 653492 143855792 9042 958 (653492) - 0 31085974 - 0 8750000
Unit Count at June 30 2013 130068500 13787292 143855792 9042 958 - 0 - 0 - 0 31085974 8750000 183691766
8613 Initial Public Offering 44117647 174186147 13787292 44117647 187973439 9267 733 - 0 31085974 8750000
8613 Concurrent Private Placement - AH LLC 3125000 177311147 13787292 3125000 191098439 9279 721 - 0 31085974 8750000
8613 Concurrent Private Placement - APFC 1562500 178873647 13787292 1562500 192660939 9284 716 - 0 31085974 8750000
82113 Over-allotment option exercise 6617647 185491294 13787292 6617647 199278586 9308 692 - 0 31085974 8750000
Unit Count at September 30 2013 185491294 13787292 199278586 9308 692 - 0 - 0 - 0 31085974 8750000 239114560
102513 Series A Preferred Offering 185491294 13787292 - 0 199278586 9308 692 4400000 4400000 - 0 - 0 31085974 8750000
11813 Series A Preferred Offering - shoe 185491294 13787292 - 0 199278586 9308 692 660000 5060000 - 0 - 0 31085974 8750000
11813 Class A common shares issued to trustees 13000 185504294 13787292 13000 199291586 9308 692 5060000 - 0 - 0 31085974 8750000
123013 Series B Preferred Offering 185504294 13787292 - 0 199291586 9308 692 5060000 4000000 4000000 - 0 31085974 8750000
Unit Count at December 31 2013 185504294 13787292 199291586 9308 692 5060000 4000000 - 0 31085974 8750000 248187560
12314 Series B Preferred Offering - shoe 185504294 13787292 - 0 199291586 9308 692 - 0 5060000 400000 4400000 - 0 31085974 8750000
Unit Count at March 31 2014 185504294 13787292 199291586 9308 692 5060000 4400000 - 0 31085974 8750000 248587560
5214 Series C Preferred Offering 185504294 13787292 - 0 199291586 9308 692 5060000 4400000 7600000 7600000 - 0 - 0 - 0 - 0 31085974 8750000
51914 Exercise of Stock Options 6000 185510294 13787292 6000 199297586 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
52014 Exercise of Stock Options 6750 185517044 13787292 6750 199304336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
52214 Exercise of Stock Options 3000 185520044 13787292 3000 199307336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
52814 Exercise of Stock Options 3000 185523044 13787292 3000 199310336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
53014 Exercise of Stock Options 3000 185526044 13787292 3000 199313336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
6314 Exercise of Stock Options 3000 185529044 13787292 3000 199316336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
6614 Exercise of Stock Options 2000 185531044 13787292 2000 199318336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
61114 Exercise of Stock Options 2000 185533044 13787292 2000 199320336 9308 692 5060000 4400000 - 0 7600000 - 0 - 0 - 0 - 0 31085974 8750000
Unit Count at June 30 2014 185533044 13787292 199320336 9308 692 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 256216310
7114 Class A common shares offering - Beazer Acquisition 8158001 193691045 13787292 8158001 207478337 9335 665 5060000 4400000 7600000 - 0 - 0 31085974 8750000
81314 Class A common shares offering 15832861 209523906 13787292 15832861 223311198 9383 617 5060000 4400000 7600000 - 0 - 0 31085974 8750000
91114 Class A common shares offering - Shoe offering 1950000 211473906 13787292 1950000 225261198 9388 612 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at September 30 2014 211473906 13787292 225261198 9388 612 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282157172
121214 45 Property Contribution 211473906 653378 14440670 653378 225914576 9361 639 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at December 31 2014 211473906 14440670 225914576 936 64 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282810550
2615 RSU vesting (stock issuance) 12470 211486376 14440670 12470 225927046 936 64 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22015 RSU vesting (stock issuance) 645 211487021 14440670 645 225927691 936 64 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22715 RSU vesting (stock issuance) 143 211487164 14440670 143 225927834 936 64 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at March 31 2015 211487164 14440670 225927834 936 64 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282823808
No second quarter activity
Unit Count at June 30 2015 211487164 14440670 225927834 936 64 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 282823808
8115 RSU vesting (stock issuance) 423 211487587 14440670 423 225928257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
83115 Exercise of Stock Options 5000 211492587 14440670 5000 225933257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
91715 Exercise of Stock Options 5000 211497587 14440670 5000 225938257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
91815 Exercise of Stock Options 5000 211502587 14440670 5000 225943257 5060000 4400000 7600000 - 0 - 0 31085974 8750000
92815 Repurchase of Class A common shares (303063) 211199524 14440670 (303063) 225640194 5060000 4400000 7600000 - 0 - 0 31085974 8750000
92915 Repurchase of Class A common shares (3000000) 208199524 14440670 (3000000) 222640194 5060000 4400000 7600000 - 0 - 0 31085974 8750000
93015 Repurchase of Class A common shares (103983) 208095541 14440670 (103983) 222536211 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at September 30 2015 208095541 14440670 222536211 935 65 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 279432185
102315 Exercise of Stock Options 1600 208097141 14440670 1600 222537811 5060000 4400000 7600000 - 0 - 0 31085974 8750000
121115 Repurchase of Class A common shares (197356) 207899785 14440670 (197356) 222340455 5060000 4400000 7600000 - 0 - 0 31085974 8750000
121415 Repurchase of Class A common shares (29200) 207870585 14440670 (29200) 222311255 5060000 4400000 7600000 - 0 - 0 31085974 8750000
Unit Count at December 31 2015 207870585 14440670 222311255 935 65 5060000 4400000 7600000 - 0 - 0 - 0 31085974 8750000 279207229
11316 Repurchase of Class A common shares (300000) 207570585 14440670 (300000) 222011255 5060000 4400000 7600000 - 0 - 0 31085974 8750000
11416 Repurchase of Class A common shares (499300) 207071285 14440670 (499300) 221511955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
11516 Repurchase of Class A common shares (54000) 207017285 14440670 (54000) 221457955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
11916 Repurchase of Class A common shares (54000) 206963285 14440670 (54000) 221403955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12016 Repurchase of Class A common shares (54000) 206909285 14440670 (54000) 221349955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12116 Repurchase of Class A common shares (54000) 206855285 14440670 (54000) 221295955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12216 Repurchase of Class A common shares (54000) 206801285 14440670 (54000) 221241955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12516 Repurchase of Class A common shares (54000) 206747285 14440670 (54000) 221187955 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12616 Repurchase of Class A common shares (153700) 206593585 14440670 (153700) 221034255 5060000 4400000 7600000 - 0 - 0 31085974 8750000
12716 Repurchase of Class A common shares (53900) 206539685 14440670 (53900) 220980355 5060000 4400000 7600000 - 0 - 0 31085974 8750000
2616 RSU vesting (stock issuance) 10506 206550191 14440670 10506 220990861 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22016 RSU vesting (stock issuance) 500 206550691 14440670 500 220991361 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22616 RSU vesting (stock issuance) 6590 206557281 14440670 6590 220997951 5060000 4400000 7600000 - 0 - 0 31085974 8750000
22816 Series C conversion - 0 206557281 31085974 45526644 31085974 252083925 5060000 4400000 7600000 - 0 - 0 (31085974) - 0 8750000
22916 Series E conversion into Series D units - 0 206557281 45526644 - 0 252083925 5060000 4400000 7600000 - 0 - 0 - 0 8750000
22916 ARPI Merger (stock issuance) 36546170 243103451 1343843 1343843 45526644 37890013 289973938 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3416 Exercise of Stock Options 11500 243114951 1343843 45526644 11500 289985438 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3716 Repurchase of Class A common shares (163132) 242951819 1343843 45526644 (163132) 289822306 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3816 Repurchase of Class A common shares (203286) 242748533 1343843 45526644 (203286) 289619020 5060000 4400000 7600000 - 0 - 0 - 0 8750000
3916 Repurchase of Class A common shares (5516) 242743017 1343843 45526644 (5516) 289613504 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31016 Repurchase of Class A common shares (58700) 242684317 1343843 45526644 (58700) 289554804 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31016 Redemption of OP units 7399 242691716 (7437) 1336406 45526644 (38) 289554766 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31116 Exercise of stock options 5500 242697216 1336406 45526644 5500 289560266 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31116 Repurchase of Class A common shares (257777) 242439439 1336406 45526644 (257777) 289302489 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31416 Repurchase of Class A common shares (460189) 241979250 1336406 45526644 (460189) 288842300 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31416 Redemption of OP units 10817 241990067 (10817) 1325589 45526644 - 0 288842300 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31516 Redemption of OP units - 0 241990067 (6449) 1319140 45526644 (6449) 288835851 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31516 Repurchase of Class A common shares (524000) 241466067 1319140 45526644 (524000) 288311851 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31616 Repurchase of Class A common shares (485000) 240981067 1319140 45526644 (485000) 287826851 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31616 Redemption of OP units - 0 240981067 (12208) 1306932 45526644 (12208) 287814643 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31716 Exercise of stock options 5500 240986567 1306932 45526644 5500 287820143 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31816 Redemption of OP units 10208 240996775 (10208) 1296724 45526644 - 0 287820143 5060000 4400000 7600000 - 0 - 0 - 0 8750000
31816 Repurchase of Class A common shares (32073) 240964702 1296724 45526644 (32073) 287788070 5060000 4400000 7600000 - 0 - 0 - 0 8750000
32116 Repurchase of Class A common shares (32730) 240931972 1296724 45526644 (32730) 287755340 5060000 4400000 7600000 - 0 - 0 - 0 8750000
32816 Repurchase of Class A common shares (28258) 240903714 1296724 45526644 (28258) 287727082 5060000 4400000 7600000 - 0 - 0 - 0 8750000
32916 Repurchase of Class A common shares (553241) 240350473 1296724 45526644 (553241) 287173841 5060000 4400000 7600000 - 0 - 0 - 0 8750000
33016 Repurchase of Class A common shares (553000) 239797473 1296724 45526644 (553000) 286620841 5060000 4400000 7600000 - 0 - 0 - 0 8750000
33116 Repurchase of Class A common shares (242981) 239554492 1296724 45526644 (242981) 286377860 5060000 4400000 7600000 - 0 - 0 - 0 8750000
Unit Count at March 31 2016 239554492 1296724 45526644 286377860 8365 045 1590 5060000 4400000 7600000 - 0 - 0 - 0 - 0 8750000 312187860
4116 Repurchase of Class A common shares (8850) 239545642 1296724 45526644 (8850) 286369010 5060000 4400000 7600000 - 0 - 0 - 0 8750000
4716 Repurchase of Class A common shares (20000) 239525642 1296724 45526644 (20000) 286349010 5060000 4400000 7600000 - 0 - 0 - 0 8750000
4816 Repurchase of Class A common shares (386800) 239138842 1296724 45526644 (386800) 285962210 5060000 4400000 7600000 - 0 - 0 - 0 8750000
41316 Repurchase of Class A common shares (328079) 238810763 1296724 45526644 (328079) 285634131 5060000 4400000 7600000 - 0 - 0 - 0 8750000
41416 Redemption of OP units 12208 238822971 (12208) 1284516 45526644 - 0 285634131 5060000 4400000 7600000 - 0 - 0 - 0 8750000
41916 Repurchase of Class A common shares (380255) 238442716 1284516 45526644 (380255) 285253876 5060000 4400000 7600000 - 0 - 0 - 0 8750000
42016 Repurchase of Class A common shares (3600) 238439116 1284516 45526644 (3600) 285250276 5060000 4400000 7600000 - 0 - 0 - 0 8750000
42616 Repurchase of Class A common shares (151714) 238287402 1284516 45526644 (151714) 285098562 5060000 4400000 7600000 - 0 - 0 - 0 8750000
42716 Repurchase of Class A common shares (5575) 238281827 1284516 45526644 (5575) 285092987 5060000 4400000 7600000 - 0 - 0 - 0 8750000
52416 Series D Perpetual Preferred Offering - 0 238281827 1284516 45526644 - 0 285092987 5060000 4400000 7600000 9000000 9000000 - 0 - 0 - 0 8750000
52416 Series D Perpetual Preferred Offering - shoe - 0 238281827 1284516 45526644 - 0 285092987 5060000 4400000 7600000 1350000 10350000 - 0 - 0 - 0 8750000
52416 Series D Perpetual Preferred Offering - private placement - 0 238281827 1284516 45526644 - 0 285092987 5060000 4400000 7600000 400000 10750000 - 0 - 0 - 0 8750000
52716 Exercise of Stock Options 10000 238291827 1284516 45526644 10000 285102987 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
6716 Exercise of Stock Options 2500 238294327 1284516 45526644 2500 285105487 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
61716 RSU vesting (stock issuance) 282 238294609 1284516 45526644 282 285105769 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
62016 Exercise of Stock Options 8250 238302859 1284516 45526644 8250 285114019 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
62816 Exercise of Stock Options 62500 238365359 1284516 45526644 62500 285176519 5060000 4400000 7600000 - 0 10750000 - 0 - 0 - 0 8750000
62916 Series E Perpetual Preferred Offering - 0 238365359 1284516 45526644 - 0 285176519 5060000 4400000 7600000 - 0 10750000 8000000 8000000 - 0 8750000
63016 Series E Perpetual Preferred Offering - shoe - 0 238365359 1284516 45526644 - 0 285176519 5060000 4400000 7600000 - 0 10750000 1200000 9200000 - 0 8750000
Unit Count at June 30 2016 238365359 1284516 45526644 285176519 8359 045 1596 5060000 4400000 7600000 10750000 9200000 - 0 - 0 8750000 330936519
radic
American Homes 4 Rent
Common Share Log
Former ARPI CLASS A COMMON SHARES CLASS B COMMON SHARES SERIES A PREFERRED SHARES SERIES B PREFERRED SHARES SERIES C PREFERRED SHARES SERIES D PREFERRED SHARES SERIES E PREFERRED SHARES
DATE EVENT AH LLC Current Cumulative Current Cumulative Current Cumulative Current Cumulative Current Cumulative Current Cumulative Current Cumulative
101912 AH4R REIT FORMATION (1) - 0 - 0 - 0 - 0 - 0 - 0 - 0
102212 AH4R LP FORMATION (ALSO REFERRED TO AS OP) (2) - 0 - 0 - 0 - 0 - 0 - 0 - 0
102212 REIT CONTRIBUTES ITS INITIAL CASH TO THE LP Y 1000 1000 - 0 - 0 - 0 - 0 - 0 - 0
102212 LLC CONTRIBUTES ITS INITIAL CASH TO THE LP 1000 - 0 - 0 - 0 - 0 - 0 - 0
112112 SHARESUNITS ISSUED BY REIT IN INITIAL OFFERING 34640899 34641899 - 0 - 0 - 0 - 0 - 0 - 0
121012 SHARESUNITS ISSUED BY REIT IN SHOE OFFERING 719999 35361898 - 0 - 0 - 0 - 0 - 0 - 0
122712 REIT ISSUED SHARES TO MANAGEMENT AND SPOUSES (100 SHAREHOLDER REQUIREMENT) 2100 35363998 - 0 - 0 - 0 - 0 - 0 - 0
122712 OP UNITS ISSUED TO REIT (4) 35363998 - 0 - 0 - 0 - 0 - 0 - 0
123112 CLASS A SHARES ISSUED TO AH4R LLC RELATED TO CONTRIBUTION AGREEMENT Y 3300000 38663998 - 0 - 0 - 0 - 0 - 0 - 0
123112 REIT IS ISSUED UNITS RELATED TO CLASS A SHARES 38663998 - 0 - 0 - 0 - 0 - 0 - 0
123112 CLASS B SHARES ISSUED TO AH4R LLC RELATED TO CONTRIBUTION AGREEMENT (6) 38663998 667 667 - 0 - 0 - 0 - 0 - 0
123112 REIT IS ISSUED UNITS RELATED TO CLASS B SHARES (NOTE REGULAR UNITS) 38663998 667 - 0 - 0 - 0 - 0 - 0
123112 OP UNITS ISSUED TO AH4R LLC RELATED TO CONTRIBUTION AGREEMENT 38663998 667 - 0 - 0 - 0 - 0 - 0
123112 OP ISSUES 35 CONVERTIBLE PREFERRED UNITS TO AH4R LLC (5) 38663998 667 - 0 - 0 - 0 - 0 - 0
22813 REIT ISSUED CLASS B SHARES TO AH4R LLC (2770 PROPERTY CONTRIBUTION) 38663998 634408 635075 - 0 - 0 - 0 - 0 - 0
31413 2013 OFFERING CLASS A SHARES ISSUED 46718750 85382748 635075 - 0 - 0 - 0 - 0 - 0
4413 REIT ISSUED TO TRUSTEES 6500 85389248 635075 - 0 - 0 - 0 - 0 - 0
41613 ISSUANCE OF SHARES TO AH4R LLC IN SETTLEMENT OF SUBSCRIPTION AGREEMENT Y 434783 85824031 635075 - 0 - 0 - 0 - 0 - 0
61113 Alaska Transaction 43609394 129433425 635075 - 0 - 0 - 0 - 0 - 0
Share count at June 30 2013 129433425 635075 - 0 - 0 - 0 - 0 - 0
8613 Initial Public Offering 44117647 173551072 635075 - 0 - 0 - 0 - 0 - 0
8613 Concurrent Private Placement - AH LLC Y 3125000 176676072 635075 - 0 - 0 - 0 - 0 - 0
8613 Concurrent Private Placement - APFC 1562500 178238572 635075 - 0 - 0 - 0 - 0 - 0
82113 Over-allotment option exercise 6617647 184856219 635075 - 0 - 0 - 0 - 0 - 0
Share count at September 2013 184856219 635075 - 0 - 0 - 0 - 0 - 0
102513 Series A Preferred Offering - 0 184856219 - 0 635075 4400000 4400000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
11813 Series A Preferred Offering - shoe - 0 184856219 - 0 635075 660000 5060000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
11813 Class A common shares issued to trustees 13000 184869219 - 0 635075 - 0 5060000 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0
123013 Series B Preferred Offering - 0 184869219 - 0 635075 - 0 5060000 4000000 4000000 - 0 - 0 - 0 - 0 - 0 - 0
Share count at December 31 2013 184869219 635075 5060000 4000000 - 0 - 0 - 0
12314 Series B Preferred Offering - shoe - 0 184869219 - 0 635075 - 0 5060000 400000 4400000 - 0 - 0 - 0 - 0 - 0 - 0
Share count at March 31 2014 184869219 635075 5060000 4400000 - 0 - 0 - 0
5214 Series C Preferred Offering - 0 184869219 - 0 635075 - 0 5060000 - 0 4400000 7600000 7600000 - 0 - 0 - 0 - 0
51914 Exercise of Stock Options 6000 184875219 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
52014 Exercise of Stock Options 6750 184881969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
52214 Exercise of Stock Options 3000 184884969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
52814 Exercise of Stock Options 3000 184887969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
53014 Exercise of Stock Options 3000 184890969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
6314 Exercise of Stock Options 3000 184893969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
6614 Exercise of Stock Options 2000 184895969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
61114 Exercise of Stock Options 2000 184897969 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
Share count at June 30 2014 184897969 635075 5060000 4400000 7600000 - 0 - 0
7114 Class A common shares offering - Beazer Acquisition 8158001 193055970 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
81314 Class A common shares offering 15832861 208888831 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
91114 Class A common shares offering - Shoe offering 1950000 210838831 - 0 635075 - 0 5060000 - 0 4400000 - 0 7600000 - 0 - 0 - 0 - 0
Share count at September 30 2014 210838831 635075 5060000 4400000 7600000 - 0 - 0
No activity during the fourth quarter
Share count at December 31 2014 210838831 635075 5060000 4400000 7600000 - 0 - 0
2615 RSU vesting (stock issuance) 12470 210851301 - 0 - 0 - 0 - 0 - 0 - 0
22015 RSU vesting (stock issuance) 645 210851946 - 0 - 0 - 0 - 0 - 0 - 0
22715 RSU vesting (stock issuance) 143 210852089 - 0 - 0 - 0 - 0 - 0 - 0
Share count at March 31 2015 210852089 635075 5060000 4400000 7600000 - 0 - 0
No activity during the second quarter
Share count at June 30 2015 210852089 635075 5060000 4400000 7600000 - 0 - 0
8115 RSU vesting (stock issuance) 423 210852512 - 0 - 0 - 0 - 0 - 0 - 0
83115 Exercise of Stock Options 5000 210857512 - 0 - 0 - 0 - 0 - 0 - 0
91715 Exercise of Stock Options 5000 210862512 - 0 - 0 - 0 - 0 - 0 - 0
91815 Exercise of Stock Options 5000 210867512 - 0 - 0 - 0 - 0 - 0 - 0
92815 Repurchase of Class A common shares (303063) 210564449 - 0 - 0 - 0 - 0 - 0 - 0
92915 Repurchase of Class A common shares (3000000) 207564449 - 0 - 0 - 0 - 0 - 0 - 0
93015 Repurchase of Class A common shares (103983) 207460466 - 0 - 0 - 0 - 0 - 0 - 0
- 0 - 0
Share count at September 30 2015 207460466 635075 5060000 4400000 7600000 - 0 - 0
- 0
102315 Exercise of Stock Options 1600 207462066 - 0 - 0 - 0 - 0 - 0 - 0
121115 Repurchase of Class A common shares (197356) 207264710
121415 Repurchase of Class A common shares (29200) 207235510
Share count at December 31 2015 207235510 635075 5060000 4400000 7600000 - 0 - 0
- 0
11316 Repurchase of Class A common shares (300000) 206935510 - 0 - 0 - 0 - 0 - 0 - 0
11416 Repurchase of Class A common shares (499300) 206436210 - 0 - 0 - 0 - 0 - 0 - 0
11516 Repurchase of Class A common shares (54000) 206382210 - 0 - 0 - 0 - 0 - 0 - 0
11916 Repurchase of Class A common shares (54000) 206328210 - 0 - 0 - 0 - 0 - 0 - 0
12016 Repurchase of Class A common shares (54000) 206274210 - 0 - 0 - 0 - 0 - 0 - 0
12116 Repurchase of Class A common shares (54000) 206220210 - 0 - 0 - 0 - 0 - 0 - 0
12216 Repurchase of Class A common shares (54000) 206166210 - 0 - 0 - 0 - 0 - 0 - 0
12516 Repurchase of Class A common shares (54000) 206112210 - 0 - 0 - 0 - 0 - 0 - 0
12616 Repurchase of Class A common shares (153700) 205958510 - 0 - 0 - 0 - 0 - 0 - 0
12716 Repurchase of Class A common shares (53900) 205904610 - 0 - 0 - 0 - 0 - 0 - 0
2616 RSU vesting (stock issuance) 10506 205915116 - 0 - 0 - 0 - 0 - 0 - 0
22016 RSU vesting (stock issuance) 500 205915616 - 0 - 0 - 0 - 0 - 0 - 0
22616 RSU vesting (stock issuance) 6590 205922206 - 0 - 0 - 0 - 0 - 0 - 0
22916 ARPI merger (stock issuance) Y 36546170 242468376 - 0 - 0 - 0 - 0 - 0 - 0
3416 Exercise of Stock Options 11500 242479876 - 0 - 0 - 0 - 0 - 0 - 0
3716 Repurchase of Class A common shares (163132) 242316744 - 0 - 0 - 0 - 0 - 0 - 0
3816 Repurchase of Class A common shares (203286) 242113458 - 0 - 0 - 0 - 0 - 0 - 0
3916 Repurchase of Class A common shares (5516) 242107942 - 0 - 0 - 0 - 0 - 0 - 0
31016 Repurchase of Class A common shares (58700) 242049242 - 0 - 0 - 0 - 0 - 0 - 0
31016 Redemption of OP units Y 7399 242056641 - 0 - 0 - 0 - 0 - 0 - 0
31116 Exercise of Stock Options 5500 242062141 - 0 - 0 - 0 - 0 - 0 - 0
31116 Repurchase of Class A common shares (257777) 241804364 - 0 - 0 - 0 - 0 - 0 - 0
31416 Repurchase of Class A common shares (460189) 241344175 - 0 - 0 - 0 - 0 - 0 - 0
31416 Redemption of OP units Y 10817 241354992 - 0 - 0 - 0 - 0 - 0 - 0
31516 Repurchase of Class A common shares (524000) 240830992 - 0 - 0 - 0 - 0 - 0 - 0
31616 Repurchase of Class A common shares (485000) 240345992 - 0 - 0 - 0 - 0 - 0 - 0
31716 Exercise of Stock Options 5500 240351492 - 0 - 0 - 0 - 0 - 0 - 0
31816 Repurchase of Class A common shares (32073) 240319419 - 0 - 0 - 0 - 0 - 0 - 0
31816 Redemption of OP units Y 10208 240329627 - 0 - 0 - 0 - 0 - 0 - 0
32116 Repurchase of Class A common shares (32730) 240296897 - 0 - 0 - 0 - 0 - 0 - 0
32816 Repurchase of Class A common shares (28258) 240268639 - 0 - 0 - 0 - 0 - 0 - 0
32916 Repurchase of Class A common shares (553241) 239715398 - 0 - 0 - 0 - 0 - 0 - 0
33016 Repurchase of Class A common shares (553000) 239162398 - 0 - 0 - 0 - 0 - 0 - 0
33116 Repurchase of Class A common shares (242981) 238919417 - 0 - 0 - 0 - 0 - 0 - 0
Share count at March 31 2016 238919417 635075 5060000 4400000 7600000 - 0 - 0
4116 Repurchase of Class A common shares (8850) 238910567 - 0 - 0 - 0 - 0 - 0 - 0
4716 Repurchase of Class A common shares (20000) 238890567 - 0 - 0 - 0 - 0 - 0 - 0
4816 Repurchase of Class A common shares (386800) 238503767 - 0 - 0 - 0 - 0 - 0 - 0
41316 Repurchase of Class A common shares (328079) 238175688 - 0 - 0 - 0 - 0 - 0 - 0
41416 Redemption of OP units Y 12208 238187896 - 0 - 0 - 0 - 0 - 0 - 0
41916 Repurchase of Class A common shares (380255) 237807641 - 0 - 0 - 0 - 0 - 0 - 0
42016 Repurchase of Class A common shares (3600) 237804041 - 0 - 0 - 0 - 0 - 0 - 0
42616 Repurchase of Class A common shares (151714) 237652327 - 0 - 0 - 0 - 0 - 0 - 0
42716 Repurchase of Class A common shares (5575) 237646752 - 0 - 0 - 0 - 0 - 0 - 0
52416 Series D Perpetual Preferred Offering - 0 237646752 - 0 - 0 - 0 - 0 9000000 9000000 - 0
52416 Series D Perpetual Preferred Offering - shoe - 0 237646752 - 0 - 0 - 0 - 0 1350000 10350000 - 0
52416 Series D Perpetual Preferred Offering - private placement - 0 237646752 - 0 - 0 - 0 - 0 400000 10750000 - 0
52716 Exercise of Stock Options 10000 237656752 - 0 - 0 - 0 - 0 - 0 10750000 - 0
6716 Exercise of Stock Options 2500 237659252 - 0 - 0 - 0 - 0 - 0 10750000 - 0
61716 RSU vesting (stock issuance) 282 237659534 - 0 - 0 - 0 - 0 - 0 10750000 - 0
62016 Exercise of Stock Options 8250 237667784 - 0 - 0 - 0 - 0 - 0 10750000 - 0
62816 Exercise of Stock Options 62500 237730284 - 0 - 0 - 0 - 0 - 0 10750000 - 0
62916 Series E Perpetual Preferred Offering - 0 237730284 - 0 - 0 - 0 - 0 - 0 10750000 8000000 8000000
63016 Series E Perpetual Preferred Offering - shoe - 0 237730284 - 0 - 0 - 0 10750000 1200000 9200000
Share count at June 30 2016 237730284 635075 5060000 4400000 7600000 10750000 9200000
Check - 0
Other Calculations
AH LLC Class A Common Shares 6860783
Total Class A Common Shares - 63016 237730284
AH LLC Class A Common Share Ownership percentage - 63016 29
Former ARPI Class A Common Shares 36586802
Former ARPI Class A Common Share Ownership percentage - 63016 154
radic
(6215656)
REIT COMBINED (reit)
General Ledger
Period = Sep 2014-Jun 2016
Book = AccrualAccrual Cons
Sort On =
Property Property Name Date Period PersonDescription Control Reference Debit Credit Net Balance Remarks
2140110 LOAN DISCOUNT 000 = Beginning Balance =
4rah4re American Homes 4 Rent (Eliminations) 9114 09-2014 J-820022 Beginning Balance 000 2564797 -2564797 -2564797
4rah4re American Homes 4 Rent (Eliminations) 93015 09-2015 0915 Rev Loan Discount Elim (J-820022) J-5872587 0915 Rev Loan Discount Elim (J-820022) 2564797 000 2564797 000 0915 Rev Loan Discount Elim (J-820022)
4ramhb2 AMH 2014-2 Borrower LLC 9114 09-2014 J-866246 Beginning Balance 2564797 000 2564797 2564797
4ramhb2 AMH 2014-2 Borrower LLC 103114 10-2014 2014-2 Loan Discount Amortization-October J-1230139 000 30026 -30026 2534771 Loan Discount Amortization-October
4ramhb2 AMH 2014-2 Borrower LLC 113014 11-2014 Loan Discount Amortization November J-1230142 000 20949 -20949 2513822 Loan Discount Amortization November
4ramhb2 AMH 2014-2 Borrower LLC 123114 12-2014 2014-2 Loan Discount Amortization-December J-1322649 000 21647 -21647 2492175 2014-2 Loan Discount Amortization-December
4ramhb2 AMH 2014-2 Borrower LLC 2415 01-2015 2014-2 Loan Discount Amortization-January J-1622380 000 21647 -21647 2470528 2014-2 Loan Discount Amortization-January
4ramhb2 AMH 2014-2 Borrower LLC 22815 02-2015 2014-2 Loan Discount Amortization-February J-1806396 000 19552 -19552 2450976 2014-2 Loan Discount Amortization-February
4ramhb2 AMH 2014-2 Borrower LLC 33115 03-2015 J-2047296 000 21647 -21647 2429329 2014-2 March Loan Discount Amortization
4ramhb2 AMH 2014-2 Borrower LLC 43015 04-2015 J-2561034 000 20949 -20949 2408380 April 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 53115 05-2015 J-2849477 000 21647 -21647 2386733 May 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 63015 06-2015 J-3562538 000 20949 -20949 2365784 June 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 73115 07-2015 J-4152246 000 21647 -21647 2344137 July 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 83115 08-2015 J-4655786 000 21647 -21647 2322490 Aug 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 93015 09-2015 J-5330934 000 20949 -20949 2301541 Sep 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 93015 09-2015 AHSFR amp RELATED IMPACT TO INTERCO ACCTS J-5973363 AHSFR amp RELATED IMPACT TO INTERCO ACCTS 000 2564797 -2564797 -263256 AHSFR amp RELATED IMPACT TO INTERCO ACCTS
4ramhb2 AMH 2014-2 Borrower LLC 93015 09-2015 AHSFR amp RELATED IMPACT TO INTERCO ACCTS J-5973363 AHSFR amp RELATED IMPACT TO INTERCO ACCTS 2564797 000 2564797 2301541 AHSFR amp RELATED IMPACT TO INTERCO ACCTS
4ramhb2 AMH 2014-2 Borrower LLC 103115 10-2015 J-6317873 000 21647 -21647 2279894 Sep 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 113015 11-2015 J-6879804 000 20949 -20949 2258945 Nov 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 123115 12-2015 J-7666779 000 21647 -21647 2237298 Dec 15 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 13116 01-2016 J-8248915 000 21647 -21647 2215651 Jan 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 22916 02-2016 J-9116640 000 20250 -20250 2195401 Feb 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 33116 03-2016 J-9545759 000 21647 -21647 2173754 Feb 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 43016 04-2016 J-10511276 000 20949 -20949 2152805 Apr 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 53116 05-2016 J-11146801 000 21647 -21647 2131158 May 16 Loan Discount Amort - Take Two
4ramhb2 AMH 2014-2 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Take Two J-11870488 000 20949 -20949 2110209 June 16 Loan Discount Amort - Take Two
4ramhb3 AMH 2014-3 Borrower LLC 112514 11-2014 Trifecta Closing Statement J-1229964 2841003 000 2841003 4951212 Trifecta Closing Statement
4ramhb3 AMH 2014-3 Borrower LLC 123114 12-2014 Loan Discount Amortization December J-1339245 000 28666 -28666 4922546 Loan Discount Amortization December
4ramhb3 AMH 2014-3 Borrower LLC 13115 01-2015 Loan Discount Amortization-January J-1629685 000 24017 -24017 4898529 Loan Discount Amortization-January
4ramhb3 AMH 2014-3 Borrower LLC 22815 02-2015 Loan Discount Amortization-February J-1806994 000 21693 -21693 4876836 Loan Discount Amortization-February
4ramhb3 AMH 2014-3 Borrower LLC 33115 03-2015 J-2047381 000 24017 -24017 4852819 2014-3 March Loan Discount Amortization
4ramhb3 AMH 2014-3 Borrower LLC 43015 04-2015 J-2561054 000 23242 -23242 4829577 April 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 53115 05-2015 J-2849486 000 24017 -24017 4805560 May 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 63015 06-2015 J-3563341 000 23242 -23242 4782318 June 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 73115 07-2015 J-4152295 000 24017 -24017 4758301 July 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 83115 08-2015 J-4655788 000 24017 -24017 4734284 Aug 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 93015 09-2015 J-5330944 000 23242 -23242 4711042 Sep 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 103115 10-2015 J-6317960 000 24017 -24017 4687025 Oct 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 113015 11-2015 J-6880055 000 23242 -23242 4663783 Nov 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 123115 12-2015 J-7666780 000 24017 -24017 4639766 Dec 15 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 13116 01-2016 J-8249550 000 24017 -24017 4615749 Jan 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 22916 02-2016 J-9116860 000 22468 -22468 4593281 Feb 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 33116 03-2016 J-9546042 000 24017 -24017 4569264 Mar 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 43016 04-2016 J-10511292 000 23242 -23242 4546022 Apr 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 53116 05-2016 J-11146802 000 24017 -24017 4522005 May 16 Loan Discount Amort - Trifecta
4ramhb3 AMH 2014-3 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Trifecta J-11870489 000 23242 -23242 4498763 June 16 Loan Discount Amort - Trifecta
4ramhb4 AMH 2015-1 Borrower LLC 3615 03-2015 Four Square Closing Statement J-1843187 2611413 000 2611413 7110176 Four Square Closing Statement
4ramhb4 AMH 2015-1 Borrower LLC 33115 03-2015 J-2049707 000 6177 -6177 7103999 2015-1 March Loan Discount Amortization
4ramhb4 AMH 2015-1 Borrower LLC 43015 04-2015 J-2561055 000 33867 -33867 7070132 April 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 53115 05-2015 J-2849494 000 22167 -22167 7047965 May 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 63015 06-2015 J-3564293 000 21452 -21452 7026513 June 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 73115 07-2015 J-4152334 000 22167 -22167 7004346 July 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 83115 08-2015 J-4655929 000 22167 -22167 6982179 Aug 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 93015 09-2015 J-5330957 000 21452 -21452 6960727 Sep 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 103115 10-2015 J-6317964 000 22167 -22167 6938560 Oct 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 113015 11-2015 J-6880306 000 21452 -21452 6917108 Nov 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 123115 12-2015 J-7666791 000 22167 -22167 6894941 Dec 15 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 13116 01-2016 J-8249793 000 22167 -22167 6872774 Jan 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 22916 02-2016 J-9116878 000 20737 -20737 6852037 Feb 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 33116 03-2016 J-9546043 000 22167 -22167 6829870 Mar 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 43016 04-2016 J-10511311 000 21452 -21452 6808418 Apr 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 53116 05-2016 J-11146803 000 22167 -22167 6786251 May 16 Loan Discount Amort - Four Square
4ramhb4 AMH 2015-1 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Four Square J-11870503 000 21452 -21452 6764799 June 16 Loan Discount Amort - Four Square
4ramhb5 AMH 2015-2 Borrower LLC 92215 09-2015 J-5743273 1331370 000 1331370 8096169 Chanel Closing Statement
4ramhb5 AMH 2015-2 Borrower LLC 93015 09-2015 J-5824423 000 3281 -3281 8092888 Sep 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 93015 09-2015 J-5921800 103015 000 103015 8195903 adjust Sep 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 93015 09-2015 J-5923278 000 103015 -103015 8092888 adjust Sep 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 103115 10-2015 J-6318036 000 11301 -11301 8081587 Oct 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 113015 11-2015 J-6880557 000 10937 -10937 8070650 Nov 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 123115 12-2015 J-7666792 000 11301 -11301 8059349 Dec 15 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 13116 01-2016 J-8250303 000 11301 -11301 8048048 Jan 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 22916 02-2016 J-9117510 000 10572 -10572 8037476 Feb 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 33116 03-2016 J-9546044 000 11301 -11301 8026175 Mar 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 43016 04-2016 J-10511312 000 10937 -10937 8015238 Apr 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 53116 05-2016 J-11146804 000 11301 -11301 8003937 May 16 Loan Discount Amort - Chanel
4ramhb5 AMH 2015-2 Borrower LLC 63016 06-2016 June 16 Loan Discount Amort - Chanel J-11870764 000 10937 -10937 7993000 June 16 Loan Discount Amort - Chanel
Net Change=7993000 14581192 6588192 7993000 = Ending Balance =
radic
14581192 6588192 radic
2014-2 2110209 radic Agreed to PDF of Yardi GL Detail
2014-3 2388554
2015-1 2266036
2015-2 1228201
American Homes 4 Rent
Management Company Expenses
63016
Property
Manager Advisor TRS Acquisitions Construction Total Balance per TB Variance
6200105 PROPERTY MANAGEMENT FEES - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6200110 PROPERTY MANAGEMENT FEES 3RD PARTY - 0 - 0 - 0 - 0 - 0 - 0 0 -
6200115 LEASING COMMISSSIONS FEES 3rd PARTY - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100100 SALARIES - REGULAR 15284883 2850628 121794 - 0 - 0 18257305 18257305 -
6100101 SALARIES - PAYROLL ACCRUAL 141809 17307 (1250) - 0 - 0 157867 157867 -
6100102 SALARIES - VACATIONPTO ACCRUAL 194620 21320 (3417) - 0 - 0 212523 212523 -
6100103 SALARIES - INCENTIVE ACCRUAL (164060) (28195) (51381) - 0 - 0 (243636) (243636) -
6100105 SALARIES - VACATIONPTO 866082 151246 17472 - 0 - 0 1034800 1034800 -
6100110 SALARIES - SICK - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100115 SALARIES - HOLIDAY 471933 89237 3731 - 0 - 0 564902 564902 -
6100120 SALARIES - PERSONAL - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100125 SALARIES - UNPAID SALARY (9363) (4304) (90) - 0 - 0 (13758) (13758) -
6100130 SALARIES - CA MISSED MEAL 2885 586 14 - 0 - 0 3485 3485 -
6100135 SALARIES - RETRO 14446 2641 90 - 0 - 0 17177 17177 -
6100140 SALARIES - ON CALL - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100145 SALARIES - SHD - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100150 SALARIES - PAY IN LIEU - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100155 SALARIES - OVERTIME 1223651 50632 1081 - 0 - 0 1275364 1275364 -
6100160 SALARIES - DOUBLE TIME 2480 86 1 - 0 - 0 2567 2567 -
6100165 SALARIES - HOLIDAY WORKED 84444 2550 102 - 0 - 0 87097 87097 -
6100170 SALARIES - COMMISSION 74194 - 0 - 0 - 0 - 0 74194 74194 -
6100175 SALARIES - RENEWAL COMMISSION - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100200 BONUS 379060 2600 40000 - 0 - 0 421660 421660 -
6100205 BONUS - ANNUAL 941965 582330 10429 - 0 - 0 1534725 1534725 -
6100210 BONUS - QUARTER 1 270019 - 0 36465 - 0 - 0 306484 306484 -
6100215 BONUS - QUARTER 2 - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100220 BONUS - QUARTER 3 1000 - 0 - 0 - 0 - 0 1000 1000 -
6100225 BONUS - QUARTER 4 226005 - 0 31003 - 0 - 0 257008 257008 -
6100230 BONUS - CALL CENTER - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100235 BONUS - LEASING - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100240 BONUS - SIGN ON - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100245 BONUS - RJ1 INCENTIVE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100300 OTHER SALARIES - FAMILY LEAVE 9594 858 38 - 0 - 0 10490 10490 -
6100305 OTHER SALARIES - ADMIN LEAVE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100310 OTHER SALARIES - SEVERENCE 92235 11988 23474 - 0 - 0 127697 127697 -
6100315 OTHER SALARIES - JURY DUTY 721 18 1 - 0 - 0 740 740 -
6100320 OTHER SALARIES - BEREAVEMENT 12551 461 16 - 0 - 0 13029 13029 -
6100325 OTHER SALARIES - RELOCATION 19596 - 0 - 0 - 0 - 0 19596 19596 -
6100330 OTHER SALARIES - RESTRICTED STOCK UNITS - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100335 OTHER SALARIES - REFERRAL FEE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100340 OTHER SALARIES - MISC SALARIES 2343 (22) (0) - 0 - 0 2321 2321 -
6100345 OTHER SALARIES - AUTO ALLOWANCE 36751 9750 500 - 0 - 0 47001 47001 -
6100350 OTHER SALARIES - EMPLOYEE LODGING - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100500 MEDICAL INSURANCE 2223581 226287 12411 - 0 - 0 2462279 2462279 -
6100501 MEDICAL INSURANCE - EMPLOYEE REIMB (706436) (76402) (4657) - 0 - 0 (787495) (787495) -
6100505 DENTAL INSURANCE 174620 13881 1014 - 0 - 0 189515 189515 -
6100506 DENTAL INSURANCE - EMPLOYEE REIMB (101325) (8153) (591) - 0 - 0 (110070) (110070) -
6100510 VISION INSURANCE 10 (6) 1 - 0 - 0 4 4 -
6100511 VISION INSURANCE - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100515 TELEHEALTH - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100550 401K TRADROTH 210030 103399 3512 - 0 - 0 316941 316941 -
6100555 HEALTH SAVINGS ACCOUNT - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100560 FLEXIBLE SPENDING ACCOUNT - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100600 LIFE amp ADD INSURANCE 13431 2150 93 - 0 - 0 15674 15674 -
6100605 VOLUNTARY LIFE amp ADD INSURANCE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100606 VOLUNTARY LIFE amp ADD INSURANCE - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100610 SHORT TERM DIS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100611 SHORT TERM DIS - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100615 LONG TERM DIS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100616 LONG TERM DIS - EMPLOYEE REIMB - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100620 WORKERS COMPOTHER INSURANCE 257810 22428 935 - 0 - 0 281173 281173 -
6100650 OTHER PAYROLL DEDUCTIONS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6100900 SALARY AND BENEFITS - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100905 STATE UNEMPLOYMENT INSURANCE 411086 31124 1450 - 0 - 0 443660 443660 -
6100910 FUTA 52150 13919 465 - 0 - 0 66534 66534 -
6100915 PAYROLL TAXES 123387 - 0 - 0 - 0 - 0 123387 123387 -
6100920 PAYROLL TAXES - SOCIAL SECURITY EMPLOYER 1191664 211687 17698 - 0 - 0 1421049 1421049 -
6100925 PAYROLL TAXES - MEDICARE EMPLOYER 285440 58277 4197 - 0 - 0 347915 347915 -
6100930 PAYROLL TAXES - OTHER EMPLOYER (41) (22) (4) - 0 - 0 (67) (67) -
6100935 MEDICARE SURTAX - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6100940 OREGON WBF TAX 35 - 0 - 0 - 0 - 0 35 35 -
6100950 PAYROLL RECLASS ACCOUNT 466 14964 19411 - 0 - 0 34842 34842 -
6101000 AIRFARE 188038 52983 7117 - 0 - 0 248138 248138 -
6101100 CAR RENTAL 51667 4974 1168 - 0 - 0 57808 57808 -
6101200 FUEL AND MILEAGE 704314 2256 135 - 0 - 0 706705 706705 -
6101300 TAXI 5616 2807 103 - 0 - 0 8525 8525 -
6101400 PARKING 11102 5244 381 - 0 - 0 16726 16726 -
6101500 MEALS 101100 22454 1567 - 0 - 0 125122 125122 -
6101600 LODGING 196825 35454 3159 - 0 - 0 235437 235437 -
6101700 ENTERTAINMENT 1062 - 0 - 0 - 0 - 0 1062 1062 -
6101800 CELL PHONE DATA REIMBURSEMENT 114561 10587 149 - 0 - 0 125297 125297 -
6102000 DUES AND SUBSCRIPTION 54311 96016 15 - 0 - 0 150341 150341 -
6102100 CONFERENCE AND EDUCATION 59291 44354 2 - 0 - 0 103647 103647 -
6102200 PROF LICENSE AND FEES 85272 3136 - 0 - 0 - 0 88408 88408 -
6102300 EMPLOYEE EVENT ACCOUNT 34925 4110 17 - 0 - 0 39052 39052 -
6102310 EMPLOYEE GIFTS 11476 1073 19 - 0 - 0 12568 12568 -
6102400 RELOCATION 310 190 0 - 0 - 0 501 501 -
6102500 PERSONNEL PROCUREMENT 749022 81689 2008 - 0 - 0 832719 832719 -
6102510 ASSESSMENT TOOLS - 0 - 0 - 0 - 0 - 0 - 0 0 -
6102520 BACKGROUND CHECKS 41484 3598 98 - 0 - 0 45180 45180 -
6102530 AGENCY PROCUREMENT 46509 3761 101 - 0 - 0 50372 50372 -
6102600 TEMPORARY SERVICES 482660 188016 5954 - 0 - 0 676630 676630 -
6102700 CONSULTING 94037 1045165 151 - 0 - 0 1139353 1139353 -
6103000 OFFICE RENT 927113 157102 - 0 - 0 - 0 1084216 1084216 -
6103050 STORAGE RENT 37957 3495 - 0 - 0 - 0 41452 41452 -
6103100 OFFICE COMMON AREA MAINTENANCE 93182 18601 - 0 - 0 - 0 111782 111782 -
6103110 OFFICE PROPERTY TAXES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6103120 OFFICE UTILITIES 72809 - 0 - 0 - 0 - 0 72809 72809 -
6103130 OFFICE REPAIRS AND MAINTENANCE 62936 4133 - 0 - 0 - 0 67069 67069 -
6103200 OFFICE EQUIPMENT 99083 66640 - 0 - 0 - 0 165723 165723 -
6103210 COMPUTER EQUIPMENT EXPENSE 8114 95811 - 0 - 0 - 0 103925 103925 -
6103300 OFFICE SUPPLIES 187967 19923 8 - 0 - 0 207898 207898 -
6103310 POSTAGE AND COURIER 112833 78651 10 - 0 - 0 191495 191495 -
6103500 OFFICE PHONE INTERNET 462259 126442 98 - 0 - 0 588799 588799 -
6103510 INTERNET 28647 1010 50 - 0 - 0 29707 29707 -
6104000 PROFESSIONAL SERVICES 939097 314773 53 - 0 - 0 1253923 1253923 -
6104100 CHARITABLE CONTRIBUTION - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104110 CLOUD SERVICE 64202 879287 - 0 - 0 - 0 943489 943489 -
6104120 WEBSITE 262 352 - 0 - 0 - 0 613 613 -
6104130 ONLINE ADVERTISING 16817 - 0 - 0 - 0 - 0 16817 16817 -
6104135 ADVERTISING - NON GampA 197665 3793 0 - 0 - 0 201459 201459 -
6104140 SOFTWARE EXPENSE 48054 46202 67 - 0 - 0 94323 94323 -
6104150 SOFTWARE LICENSING 379705 774086 - 0 - 0 - 0 1153791 1153791 -
6104200 PM TERMINATION FEE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104250 CONSERVICE MONTHLY SERVICE FEE 149131 - 0 - 0 - 0 - 0 149131 149131 -
6104255 CONSERVICE OTHER FEES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104260 ONLINE LOCKBOX SERVICE 619531 - 0 - 0 - 0 - 0 619531 619531 -
6104265 RESIDENT SCREENING 150964 - 0 - 0 - 0 - 0 150964 150964 -
6104270 MLS SERVICE FEE 7884 - 0 - 0 - 0 - 0 7884 7884 -
6104275 PROMOTIONAL ITEMS 21917 - 0 - 0 - 0 - 0 21917 21917 -
6104280 PAYROLL PROCESSING COSTS 66713 6016 146 - 0 - 0 72875 72875 -
6104285 BENEFIT PROCESSING FEES 58030 5246 162 - 0 - 0 63439 63439 -
6104290 EAP FEES (36643) 642 18 - 0 - 0 (35983) (35983) -
6104295 WELLNESS EXPENSE (2) 0 (0) - 0 - 0 (2) (2) -
6104300 DUE DILIGENCE 1122 - 0 411 - 0 - 0 1533 1533 -
6104350 LEGAL - SETTLEMENTS 211771 51206 298 - 0 - 0 263275 263275 -
6104400 IT SERVICE MANAGEMENT - 0 563046 - 0 - 0 - 0 563046 563046 -
6104500 OTHER EVICTION-MAILPOSTAGE - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
6104510 OTHER EVICTION-LEGAL NOTICES 0 - 0 - 0 - 0 - 0 0 0 -
6104520 LEGAL NON GampA 344696 7608 214 - 0 - 0 352518 352518 -
6104600 OTHER 9516 17712 (1) - 0 - 0 27227 27227 -
6104605 VEHICLE INSURANCE 38494 - 0 - 0 - 0 - 0 38494 38494 -
6104610 BANK CHARGES - 0 - 0 - 0 - 0 - 0 - 0 0 (0)
6104800 GROSS RECEIPTS TAX 4970 - 0 - 0 - 0 - 0 4970 4970 -
6105300 FUEL amp MAINTENANCE 27645 - 0 - 0 - 0 - 0 27645 27645 -
6104700 PERSONAL PROPERTY TAXES 16391 2851 - 0 - 0 - 0 19242 19242 -
6104701 PERSONAL PROPERTY TAXES - INTEREST amp LATE FEES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104702 PERSONAL PROPERTY TAXES - PENALTIES 132 - 0 - 0 - 0 - 0 132 132 -
6104710 COUNTY RECORDING FEES - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104900 CALL CENTER - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104905 INTELLECTUAL PROPERTY FEE - 0 - 0 - 0 - 0 - 0 - 0 0 -
6104910 ADMIN 1304 - 0 - 0 - 0 - 0 1304 1304 -
6104920 PROPERTY RELATED COSTS - CLEARING (12) - 0 - 0 - 0 - 0 (12) (12) -
6105100 UNIFORMS 9651 - 0 - 0 - 0 - 0 9651 9651 -
6105200 TOOLS amp EQUIPMENT 140991 - 0 - 0 - 0 - 0 140991 140991 -
6105350 VEHICLE REPAIRS AND MAINTENANCE 1864 - 0 - 0 - 0 - 0 1864 1864 -
6105400 SUPPLIES amp MATERIALS 205293 3 0 - - 205296
Total 33139396 9227746 309684 - - 42676827 42471531 (0)
Property operating expenses 33139396 - - - - 33139396
General and administrative - 9227746 309684 - - 9537431
33139396 9227746 309684 - - 42676827
radic
REIT COMBINED (reit)
Trial Balance Cr Dr Details
Period = Jan 2016-Jun 2016
Book = AccrualAccrual Cons Tree = ysi_tb
Yardi Acct ASSETS Mapping Beg Bal Debit Credit End Bal other 1 other 2 other 3 other 4 other 5 Type
1010100 PETTY CASH Cash and cash equivalents 50000 46764 000 96764 Assets
1010200 CNB (MAIN) Cash and cash equivalents 1042264848 335219052494 312623605702 23637711640 Assets
1010300 CNB (MAIN) - AHLPC 23866 Cash and cash equivalents -646391586 20697055364 20231928849 -181265071 Assets
1010350 CNB (PAYROLL) Cash and cash equivalents 918425 3889925194 3890855619 -12000 Assets
1010360 BOA (FLEXIBLE SPENDING ACCOUNTS) Cash and cash equivalents 000 1185524 4500 1181024 Assets
1010400 CNB (MANUAL CHECK ACCOUNT) Cash and cash equivalents 000 2500000 000 2500000 Assets
1010420 TRUST (OPERATING) Cash and cash equivalents -169714124 23465192794 23272322897 23155773 Assets
1010530 CNB (OPERATING) Cash and cash equivalents 000 040 000 040 Assets
1011000 WFB (MAIN) Cash and cash equivalents 000 256334223 258125800 -1791577 Assets
1011100 WFB (OPERATING) Cash and cash equivalents 865942007 8020066855 8525317664 360691198 Assets
1011210 WFB (FL - ACQUISITIONS) Cash and cash equivalents 10336370 21891510 27807441 4420439 Assets
1011230 WFB (MAIN - AHLP1) Cash and cash equivalents 33641579 6793608124 6800699555 26550148 Assets
1011240 WFB OPERATING ACCOUNT-SECURITIZATION Cash and cash equivalents 365248 14382169890 14382300000 235138 Assets
1011250 PNC CASH MANAGEMENT ACCOUNT Resident security deposits 1690574977 22863409721 23095811877 1458172821 Assets
1011255 PNC PROPERTY INS ESCROW Resident security deposits 000 26370700 000 26370700 Assets
1011260 PNC PROPERTY TAX ESCROW Resident security deposits 3014419957 258291550 000 3272711507 Assets
1011265 PNC ADVANCE RENT ACCOUNT Resident security deposits 154860391 61965976 51366331 165460036 Assets
1011270 PNC CAPITAL EXPENDITURE ESCROW Resident security deposits 895161654 547500000 000 1442661654 Assets
1011300 WFB (SWEEP) Cash and cash equivalents 000 70376002 70376002 000 Assets
1012000 PNC (KY - ACQUISITIONS) Cash and cash equivalents 000 7303817 7303817 000 Assets
1012100 PNC (MAIN) Cash and cash equivalents 810869 2000000 1035436 1775433 Assets
1013500 BOA (MAIN) Cash and cash equivalents 000 2054401345 1810262353 244138992 Assets
1015000 CASHIERS CHECK Cash and cash equivalents 2838320000 7815530000 9574660000 1079190000 Assets
1016040 CNB NCAROLINA UTILITY DEBIT CARD Cash and cash equivalents 6000 116292 122292 000 Assets
1016210 CNB NEVADA I UTILITY DEBIT CARD 23904 Cash and cash equivalents 599695 51858052 51245513 1212234 Assets
1016230 CNB NEVADA III UTILITY DEBIT CARD 23890 Cash and cash equivalents 73003 6662 79665 000 Assets
1016240 CNB NEVADA IV UTILITY DEBIT CARD 24250 Cash and cash equivalents -55312 65812 10500 000 Assets
1016250 CNB NEVADA V UTILITY DEBIT CARD 13512 Cash and cash equivalents 997346 3065812 2267522 1795636 Assets
1016700 CASH - AMIP Cash and cash equivalents 85259719 3390359100 2972944900 502673919 Assets
1017100 COURT ACCOUNT (ORANGE COUNTY) Cash and cash equivalents 35089100 75480502 85569602 25000000 Assets
1017110 COURT ACCOUNT (POLK COUNTY) Cash and cash equivalents 25900000 000 25900000 000 Assets
1017120 COURT ACCOUNT (PASCO COUNTY) Cash and cash equivalents 61097450 196370290 193925980 63541760 Assets
1017140 COURT ACCOUNT (DUVAL COUNTY) Cash and cash equivalents 68398000 236485650 281511250 23372400 Assets
1017150 COURT ACCOUNT (BROWARD) Cash and cash equivalents 000 7669000 7669000 000 Assets
1017160 COURT ACCOUNT (PALMBEACH) Cash and cash equivalents 000 3094000 3094000 000 Assets
1017170 COURT ACCOUNT (HILLSBOROUGH) Cash and cash equivalents 71454250 296760750 310185020 58029980 Assets
1017200 COURT ACCOUNT (INDIAN RIVER) Cash and cash equivalents 5000000 000 5000000 000 Assets
1017220 COURT ACCOUNT(MANATEE COUNTY) Cash and cash equivalents 20639680 000 20639680 000 Assets
1017240 COURT ACCOUNT (PINELLAS COUNTY) Cash and cash equivalents 16882000 000 16882000 000 Assets
1017270 COURT ACCOUNT (ST LUCIE) Cash and cash equivalents 000 24259420 24259420 000 Assets
1017280 COURT ACCOUNT (NASSAU COUNTY) Cash and cash equivalents 000 16228600 11891510 4337090 Assets
1017402 JPM (DEPOSITORY) - BEAZER Cash and cash equivalents 000 2750202 2750202 000 Assets
1017404 JPM (DISBURSEMENT) - BEAZER Cash and cash equivalents 000 4879224 4879224 000 Assets
1018106 PREPAID CASH - SERVICELIVE Cash and cash equivalents 000 5000000 000 5000000 Assets
1019900 CASH - PREPAID Cash and cash equivalents 1400685068 5649132349 5896486391 1153331026 Assets
1020005 RESTRICTED CASH - AMIP Resident security deposits 1184784 92548900 86229300 7504384 Assets
1020010 TRUST (SECURITY DEPOSITS) Resident security deposits -155498 909002 992746 -239242 Assets
1020059 TRUST (SECURITY DEPOSITS) - SECURITIZATION - TX Resident security deposits -315000 000 000 -315000 Assets
1020070 SECURITY DEPOSIT - MULTIPLE STATES Resident security deposits 5372455820 2749716264 1094896098 7027275986 Assets
1110000 ACCOUNTS RECEIVABLE Rent and other receivables net 1437427788 2846357119 2499864220 1783920687 Assets
1110100 ACCOUNTS RECEIVABLE OTHER Rent and other receivables net 23067699 515931387 516062050 22937036 Assets
1110105 AR VENDOR PAYMENTS Rent and other receivables net 19022780 107297162 19952414 106367528 Assets
1110116 AR ndash CONTRA Rent and other receivables net -191971393 717781459 721121610 -195311544 Assets
1110120 UTILITY CHARGEBACK ACCRUAL RECEIVABLE Rent and other receivables net 807779749 3352354189 3236105454 924028484 Assets
1110125 AR - DERECOGNITION OF RENT Rent and other receivables net -142973474 221245555 241884847 -163612766 Assets
1110130 AR - DERECOGNITION OF ACCELERATED RENT Rent and other receivables net -70896265 214039469 278013265 -134870061 Assets
1110135 AR - DERECOGNITION OF APPLICATION FEE INCOME Rent and other receivables net 000 7000 14000 -7000 Assets
1110140 AR - DERECOGNITION OF TENANT CHARGEBACKS UTILITIES Rent and other receivables net 000 554073 1317105 -763032 Assets
1110145 AR - DERECOGNITION OF TENANT CHARGEBACKS RampM Rent and other receivables net -290000 918831 1284143 -655312 Assets
1110150 AR - DERECOGNITION OF TENANT CHARGEBACKS ELECTRICITY Rent and other receivables net -7048158 19482589 20892500 -8458069 Assets
1110155 AR - DERECOGNITION OF TENANT CHARGEBACKS TRASH Rent and other receivables net -996245 2685567 2976834 -1287512 Assets
1110160 AR - DERECOGNITION OF TENANT CHARGEBACKS GAS Rent and other receivables net -1939977 8457622 9680347 -3162702 Assets
1110165 AR - DERECOGNITION OF TENANT CHARGEBACKS WATER Rent and other receivables net -8311351 16779162 14211277 -5743466 Assets
1110170 AR - DERECOGNITION OF TENANT CHARGEBACKS - TURN Rent and other receivables net -224585092 354959496 253932445 -123558041 Assets
1110180 AR - DERECOGNITION OF TENANT CHARGEBACKS EVICTION FEES Rent and other receivables net -22772178 57516687 69604840 -34860331 Assets
1110181 AR - DERECOGNITION OF TENANT CHARGEBACKS ADMIN FEES Rent and other receivables net -1840302 5436080 7185808 -3590030 Assets
1110183 AR - DERECOGNITION OF TENANT CHARGEBACKS SEWER Rent and other receivables net 000 1653637 7060080 -5406443 Assets
1110500 ALLOWANCE FOR DOUBTFUL ACCOUNTS Rent and other receivables net -299309814 1337713553 1312209866 -273806127 Assets
1120000 RECEIVABLE - INTEREST Rent and other receivables net 000 38358123 38290105 68018 Assets
1121400 RECEIVABLE - NNN Rent and other receivables net 000 361202164 000 361202164 Assets
1121405 FMV - NNN RECEIVABLE Rent and other receivables net 000 000 1069790175 -1069790175 Assets
1121410 RECEIVABLE - NNN PROPERTY TAX Rent and other receivables net 000 665310690 000 665310690 Assets
1121500 RECEIVABLE - 3RD PARTY PROPERTY MANAGER Rent and other receivables net 000 140999 505600 -364601 Assets
1122000 DUE FROM AFFILIATE Amounts due from affiliates 20635342592 20097476941 30926666929 9806152604 Assets
1122350 RECEIVABLE - INSURANCE CLAIM Rent and other receivables net 000 936183 936183 000 Assets
1122360 RECEIVABLE - OTHER - OLD OWNER Rent and other receivables net 000 12785447 7286693 5498754 Assets
1122400 RECEIVABLE - OTHER AMIP Rent and other receivables net 78864717 241409200 247552000 72721917 Other non-tenant receivables 1974941 Assets
1122410 RECEIVABLE - RESCINDED PROPERTIES Rent and other receivables net 000 123185325 123185325 000 Assets
1122420 RECEIVABLE - DISPOSED PROPERTIES Rent and other receivables net 33091 416239201 405747977 10524315 Assets
1130000 RECEIVABLE - ESCROWTRUSTEE Rent and other receivables net 1633788 13478434 12798672 2313550 Due from trustee 23136 Assets
1160100 NOTES RECEIVABLE Asset-backed securitization certificates 2566580000 1900000000 1900000000 2566580000 Assets
1200100 ESCROW AND DEPOSITS Escrow deposits 50357705 155106800 137066800 68397705 Assets
1200815 UTILITY DEPOSITS Prepaid expenses and other assets 356045058 98340129 48556488 405828699 Assets
1200825 SECURITY DEPOSIT OFFICE LEASE Prepaid expenses and other assets 19095599 2555049 789950 20860698 Assets
1200830 SECURITY DEPOSIT - HOA Prepaid expenses and other assets 7206200 1099000 770000 7535200 Assets
1200835 ACQUISITION DEPOSITS Escrow deposits -79380 64089100 49089100 14920620 Assets
1300100 PREPAID OTHER Prepaid expenses and other assets 16305946 40270106 39412369 17163683 Assets
1300110 PREPAID EXCHANGE LISTINGS Prepaid expenses and other assets 000 23039300 11519651 11519649 Assets
1300200 PREPAID PROPERTY INSURANCE - PROPERTY Prepaid expenses and other assets 93605740 581023076 327989872 346638944 Assets
1300201 PREPAID PROPERTY INSURANCE - GENERAL LIABILITY Prepaid expenses and other assets -7728488 83211393 43843527 31639378 Assets
1300202 PREPAID PROPERTY INSURANCE - POLLUTION Prepaid expenses and other assets 20205137 79479 15943953 4340663 Assets
1300203 PREPAID PROPERTY INSURANCE - OLD OWNER Prepaid expenses and other assets 000 42950763 000 42950763 Assets
1300210 PREPAID CORPORATE INSURANCE Prepaid expenses and other assets 78457733 68042661 84581787 61918607 Assets
1300301 PREPAID HOA DUES Prepaid expenses and other assets 594207787 328994776 442277197 480925366 Assets
1300310 PREPAID HOA DUES - OLD OWNER Prepaid expenses and other assets 000 116750 116750 000 Assets
1300314 PPD OTHER - OLD OWNER Prepaid expenses and other assets 000 28808472 23289115 5519357 Assets
1300600 PREPAID PROPERTY TAXES Prepaid expenses and other assets 000 26665 37216 -10551 Assets
1300700 PREPAID PROFESSIONAL SERVICES - PROPERTY TAXES Prepaid expenses and other assets 165434928 3258803 7853449 160840282 Assets
1300900 PREPAID YARDI Prepaid expenses and other assets 21568090 176823116 77454188 120937018 Assets
1301000 PREPAID HR SOFTWARE OPENHIRE Prepaid expenses and other assets 4637331 000 3478002 1159329 Assets
1301100 PREPAID MARKET RENTAL DATA SERVICES Prepaid expenses and other assets 4744180 000 124140 4620040 Assets
1301200 PREPAID MICROSOFT OFFICE365 Prepaid expenses and other assets 31473081 86632414 40454143 77651352 Assets
1301300 PREPAID IT SERVICE Prepaid expenses and other assets 13286050 58872151 34985681 37172520 Assets
1301450 PREPAID LEGAL RETAINER Prepaid expenses and other assets 000 750000 000 750000 Assets
1301500 PREPAID TAXES - STATE Prepaid expenses and other assets 000 000 7518 -7518 Assets
1301600 PREPAID OFFICE RENT Prepaid expenses and other assets 2065112 7963703 8516145 1512670 Assets
1301910 OTHER ASSETS - AMIP Prepaid expenses and other assets 26498588 28244800 31815300 22928088 Assets
1301930 OTHER ASSETS - OLD OWNER Prepaid expenses and other assets 000 8648250 000 8648250 Assets
1301940 TRANSACTIONS - CLEARING Prepaid expenses and other assets 000 302764125612 302764125612 000 x Assets
1301950 SUSPENSE - OLD OWNER Prepaid expenses and other assets 000 16830 16830 000 Assets
1301970 SUSPENSE - MISC TRANSACTIONS Prepaid expenses and other assets 23124 18216030 18225654 13500 x Assets
1301980 SUSPENSE ARP PLS Prepaid expenses and other assets 000 732441766 732441766 000 Assets
1302310 INTEREST RATE CAP Prepaid expenses and other assets 221 6998614 6996540 2295 Assets
1302710 PURCHASED MORTGAGE LOANS Prepaid expenses and other assets 4447404916 2745000 2361257300 2088892616 Purchased mortgage loans 23585123 Assets
1302720 REO COSTS OF SALES - AMIP Prepaid expenses and other assets 103957983 31677500 41133900 94501583 Assets
1302730 PRIVATE MORTGAGE LOANS - ARP Prepaid expenses and other assets 000 2149030838 957543558 1191487280 Assets
1302735 FMV - PRIVATE MORTGAGE LOANS - ARP Prepaid expenses and other assets 000 123302772 193488188 -70185416 Assets
1310100 DEF FINANCING COST Deferred costs and other intangibles net 1245409000 35074200 74200 1280409000 Assets
1310110 DEF FINANCING COST - 2014-1 Asset-backed securitization 6589382150 4000000 000 6593382150 Liabilities
1310300 DEF LEASING COMMISSION Deferred costs and other intangibles net 869163641 424820932 7342366 1286642207 Assets
1310400 DEF LEASE IN PLACE Deferred costs and other intangibles net 15171467 000 000 15171467 Assets
1310401 DEF LEASE IN PLACE - ARP Deferred costs and other intangibles net 000 6809097916 4548827608 2260270308 Assets
1310402 DEF RENT - OFFICE BUILDING Prepaid expenses and other assets 000 51694 000 51694 Assets
1310700 TRADEMARKTRADENAME Deferred costs and other intangibles net 310000000 000 000 310000000 Assets
1310900 DATABASE TECHNOLOGY PLATFORM Deferred costs and other intangibles net 210000000 000 000 210000000 Accumulated amortization (37225450) Assets
1319000 GOODWILL Goodwill 12065508015 000 000 12065508015 Assets
1320010 AA - DEF FINANCING Deferred costs and other intangibles net -842906675 000 132287763 -975194438 Assets
1320020 AA - DEF FINANCING - 2014-1 Asset-backed securitization -932671089 000 411518134 -1344189223 Liabilities
1320030 AA - DEF LEASING COMMISSION (3RD PARTY) Deferred costs and other intangibles net -102558715 21591 92149820 -194686944 Assets
1320040 AA - DEF LEASING COMMISSIONS (INTERNAL) Deferred costs and other intangibles net -404421951 000 344862056 -749284007 Assets
1320050 AA - DEF LEASE IN PLACE Deferred costs and other intangibles net -11381974 510675941 2009083101 -1509789134 Assets
1320060 AA - TRADE NAME Deferred costs and other intangibles net -168824039 000 32978724 -201802763 Assets
1320080 AA - DATABASE TECHNOLOGY PLATFORM Deferred costs and other intangibles net -76787671 000 15000000 -91787671 Assets
1455000 INVESTMENT IN SUBSIDIARY Prepaid expenses and other assets 000 540354182476 540354182476 000 Assets
1460000 INVESTMENT IN JOINT VENTURE (AMIP FUND II) Prepaid expenses and other assets 450445284 10180727 30333855 430292156 Assets
1462000 INVESTMENT IN JOINT VENTURE (APFC2) Prepaid expenses and other assets 3974369547 2279928 608220350 3368429125 Assets
1463000 INVESTMENT IN JOINT VENTURE (ARP FLAT IRON) Prepaid expenses and other assets 000 439619511 11600468 428019043 Assets
1463500 FMV - INVESTMENT IN JV (ARP FLAT IRON) Prepaid expenses and other assets 000 000 169519044 -169519044 Assets
1464000 INVESTMENT IN JOINT VENTURE (ARP SIPHON) Prepaid expenses and other assets 000 280695063 4992640 275702423 Assets
1464500 FMV - INVESTMENT IN JV (ARP SIPHON) Prepaid expenses and other assets 000 000 56902423 -56902423 Assets
1465000 INVESTMENT IN JOINT VENTURE ARP RED ROCK Prepaid expenses and other assets 000 1724139116 000 1724139116 Assets
1465001 INVESTMENT IN JOINT VENTURE (ARP RED ROCK) Prepaid expenses and other assets 000 7526395 7526395 000 Assets
1465500 FMV - INVESTMENT IN JV (ARP RED ROCK) Prepaid expenses and other assets 000 000 878139116 -878139116 Assets
1480300 INVESTMENT IN LP (SERIES D) Prepaid expenses and other assets 000 78179812500 78179812500 000 Assets
1480400 INVESTMENT IN LP (SERIES E) Prepaid expenses and other assets 000 15400000000 15400000000 000 Assets
1510050 LAND Land 122929504025 80432900737 53324544122 150037860640 Assets
1510055 FMV LAND Land 39361707 15125836 24340649 30146894 Assets
1510100 LAND IMPROVEMENTS Buildings and improvements 3846208916 17118179821 11397245596 9567143141 57209342 Assets
1510150 SWIMMING POOLS Buildings and improvements 150440546 23465187 1584601 172321132 218806 Assets
1510200 BUILDING Buildings and improvements 475769201264 288229889533 190246255735 573752835062 Assets
1510205 FMV BUILDINGS Buildings and improvements 167848802 47075045 74719453 140204394 Assets
1510250 BUILDING IMPROVEMENTS Buildings and improvements 47404041482 1868931312 457285431 48815687363 14116459 Assets
1510300 CARPETING Buildings and improvements 3476806923 25705669 24088538 3478424054 16171 Assets
1510301 CARPET REPLACEMENT Buildings and improvements 183921833 718700 880160 183760373 (1615) Assets
1510302 FLOORING Buildings and improvements 2609130287 421089215 48349851 2981869651 3727394 Assets
1510350 ROOF Buildings and improvements 780891845 121430662 21614809 880707698 998159 Assets
1510400 REAL ESTATE PURCHASE Buildings and improvements 000 2666459507 2666459507 000 Assets
1510500 CONSTRUCTION ACCRUAL Buildings and improvements 714370329 1900904168 2340183741 275090756 (4392796) Assets
1510510 CAPITALIZED COST ACCRUAL Buildings and improvements 150356595 1075537420 874440035 351453980 Assets
1510800 HVAC Buildings and improvements 5268591299 813725419 96567189 5985749529 7171582 Assets
1510850 STOVE Buildings and improvements 1571906574 1486542326 956593872 2101855028 5299485 Assets
1510900 WASHER AND DRYER Buildings and improvements 479652637 865274533 578849851 766077319 2864247 Assets
1510950 REFRIGERATOR Buildings and improvements 2419630880 1773830413 1132414831 3061046462 6414156 Assets
1511000 DISHWASHER Buildings and improvements 1165678782 2593896306 1780599092 1978975996 8132972 Assets
1511050 WATER HEATER Buildings and improvements 425785210 138475629 8005283 556255556 1304703 Assets
1511100 APPLIANCES Buildings and improvements 1097191880 47410966 52366374 1092236472 (49554) Assets
1511200 VEHICLES Prepaid expenses and other assets 30287170 220422446 16589669 234119947 103029511 Assets
1520100 RENOVATION FEES Buildings and improvements 1460210929 1164770 2600985 1458774714 Assets
1520200 PURCHASE PRICE Buildings and improvements 412596275152 8868373877 1324597078 420140051951 Assets
1520300 ACQUISITION FEES Buildings and improvements 16747512483 30418926 46122410 16731808999 Assets
1520400 ACQUISITION FEES CONTRA Buildings and improvements -7556700 000 000 -7556700 Assets
1520500 CLOSING COSTS Buildings and improvements 1853410734 49025593 9688948 1892747379 Assets
1520600 CAPITALIZED LIENS Buildings and improvements 24677780 000 85085 24592695 Assets
1520700 CAPITALIZED PROPERTY TAXES (PRE-PURCHASE) Buildings and improvements 2340572401 56381767 46368806 2350585362 Assets
1520800 CAPITALIZED HOA LIENS Buildings and improvements 209346947 9420213 6730510 212036650 Assets
1520900 CAPITALIZED UTILITY LIENS Buildings and improvements 56586068 1400220 718395 57267893 Assets
1521000 CAPITALIZED OTHER LIENS Buildings and improvements 1806400 000 000 1806400 Change AD Real Estate 123875775 Assets
1521100 CAPITALIZED CITYMUNI LIENS Buildings and improvements 25675332 164209 35000 25804541 Assets
1521200 CAPITALIZED UCC PAYMENTS Buildings and improvements 3960641 000 000 3960641 Assets
1521300 CAPITALIZED PROPERTY TAX Buildings and improvements 2323596895 57051895 20788637 2359860153 Assets
1521400 CAPITALIZED PROPERTY INSURANCE Buildings and improvements 221972512 4426441 1148054 225250899 Assets
1521500 CAPITALIZED UTILITIES Buildings and improvements 1258369861 38074434 12541253 1283903042 Assets
1521600 CAPITALIZED HOA DUES Buildings and improvements 295207371 16559879 6048409 305718841 Assets
1521650 CAPITALIZED HOA LEGAL FEES Buildings and improvements 58196275 4473023 324946 62344352 Assets
1521700 CAPITALIZED PROFESSIONAL SERVICES Buildings and improvements 652948118 34966720 6637454 681277384 Assets
1521750 CAPITALIZED CONVERSION COSTS Buildings and improvements 80681722 17942791 559500 98065013 Assets
1521800 CAPITALIZED INTEREST Buildings and improvements 3128581929 109034282 13490569 3224125642 Change AD Other Assets 2250303 Assets
1521820 CAPITALIZED OTHER PROJECT COSTS Buildings and improvements 423387677 34106417 4366625 453127469 Assets
1521900 REAL ESTATE TRANSFER Buildings and improvements -443755420548 1482039632 9311961486 -451585342402 Assets
1540100 COMPUTER EQUIPMENT Prepaid expenses and other assets 436148139 31017344 3930 467161553 Assets
1540200 FURNITURE FIXTURE AND EQUIPMENT Prepaid expenses and other assets 318176211 6833898 000 325010109 Assets
1540300 LEASEHOLD IMPROVEMENTS Prepaid expenses and other assets 3827777 000 000 3827777 Assets
1540400 SOFTWARE Prepaid expenses and other assets 1852529455 226424418 24264101 2054689772 Assets
1540600 TENANT IMPROVEMENTS Prepaid expenses and other assets 150743395 4533405 000 155276800 Assets
1540700 PERSONNEL TOOLS Prepaid expenses and other assets 000 21181221 24012 21157209 Assets
1540800 COMMERICAL REAL ESTATE - LAND Prepaid expenses and other assets 000 457795532 000 457795532 Assets
1540850 COMMERICAL REAL ESTATE - BUILDING Prepaid expenses and other assets 000 1547849468 000 1547849468 Assets
1610100 AD - LAND IMPROVEMENTS Less accumulated depreciation -387968682 68755381 273678553 -592891854 Assets
1610150 AD - SWIMMING POOLS Less accumulated depreciation -27641223 1184139 9552044 -36009128 Assets
1610200 AD - BUILDING Less accumulated depreciation -29808300521 918912310 9767119469 -38656507680 Assets
1610205 AD - FMV BUILDINGS Less accumulated depreciation -6691106 615470 4008079 -10083715 Assets
1610250 AD - BUILDING IMPROVEMENTS Less accumulated depreciation -7272872675 139524951 2040018138 -9173365862 Assets
1610300 AD - CARPETING Less accumulated depreciation -1586366891 20571420 418453326 -1984248797 Assets
1610301 AD - CARPET REPLACEMENT Less accumulated depreciation -101636663 918262 20153049 -120871450 Assets
1610302 AD - FLOORING Less accumulated depreciation -289821560 8722729 246154434 -527253265 Assets
1610350 AD - ROOF Less accumulated depreciation -38844204 605704 14500175 -52738675 Assets
1610450 AD - FLOORING Less accumulated depreciation 000 345011 345011 000 Assets
1610800 AD - HVAC Less accumulated depreciation -725815190 55703041 332863784 -1002975933 Assets
1610850 AD - STOVE Less accumulated depreciation -319908109 22317604 113691682 -411282187 Assets
1610900 AD - WASHER AND DRYER Less accumulated depreciation -101054980 10241278 41877746 -132691448 Assets
1610950 AD - REFRIGERATOR Less accumulated depreciation -466701448 33066600 168515620 -602150468 Assets
1611000 AD - DISHWASHER Less accumulated depreciation -234417943 33905824 113326554 -313838673 Assets
1611050 AD - WATER HEATER Less accumulated depreciation -33815719 1839284 25524053 -57500488 Assets
1611100 AD - APPLIANCES Less accumulated depreciation -232316705 18371548 133396339 -347341496 Assets
1611200 AD - VEHICLES Prepaid expenses and other assets -2030609 5344 4963307 -6988572 Assets
1640100 AD - COMPUTER EQUIPMENT Prepaid expenses and other assets -298134287 000 72476476 -370610763 Assets
1640200 AD - FURNITURE FIXTURE AND EQUIPMENT Prepaid expenses and other assets -111707439 000 31857978 -143565417 Assets
1640300 AD - LEASEHOLD IMPROVEMENTS Prepaid expenses and other assets -59365018 000 14817346 -74182364 Assets
1640400 AD - SOFTWARE Prepaid expenses and other assets -631415291 000 100920567 -732335858 Assets
1640700 AD - PERSONNEL TOOLS Prepaid expenses and other assets 000 000 409619 -409619 Assets
1700100 DUE FROM AFFILIATE Amounts due from affiliates 26067987247 4074263206 5760679145 24381571308 Assets
1700200 DUE FROM AFFILIATE - ACQUISITON FEES Amounts due from affiliates 22591611 85079582 103902724 3768469 Assets
1700300 DUE FROM AFFILIATE - RENOVATION FEES Amounts due from affiliates 8038388 60861882 55586970 13313300 Assets
1710300 DISTRIBUTION RECEIVABLE Amounts due from affiliates 000 9640417702 9640417702 000 Assets
1710400 LEASING FEE RECEIVABLE INTERNAL Amounts due from affiliates 2129999 38547604 38427603 2250000 Assets
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5201700 HOA CIE Property operating expenses 000 21154903 29655734 -8500831 Expenses
5302100 ELECTRIC UTILITY Property operating expenses 000 1234889789 3276377 1231613412 Expenses
5302108 ELECTRICITY CIE Property operating expenses 000 57704804 27167729 30537075 Expenses
5302200 TRASH COLLECTION Property operating expenses 000 188082527 1189344 186893183 Expenses
5302208 TRASH CIE Property operating expenses 000 10529812 13592884 -3063072 Expenses
5302300 GAS UTILITY Property operating expenses 000 462186968 2652833 459534135 Expenses
5302308 GAS CIE Property operating expenses 000 45078064 7946141 37131923 Expenses
5302400 WATER UTILITY Property operating expenses 000 470595537 6147923 464447614 Expenses
5302402 IRRIGATION WATER Property operating expenses 000 776496 95741 680755 Expenses
5302408 WATER CIE Property operating expenses 000 52438414 44629689 7808725 Expenses
5302500 SEWER Property operating expenses 000 503631740 6696361 496935379 Expenses
5302508 SEWER CIE Property operating expenses 000 54715045 42061851 12653194 Expenses
5302600 INTERNETCABLE Property operating expenses 000 45162 000 45162 Expenses
5302620 PAST DUE BALANCES - GAS Property operating expenses 000 652 652 000 Expenses
5302700 UTILITY LATE FEES Property operating expenses 000 41215 50480 -9265 Expenses
5302715 UTILITY OTHER FEES Property operating expenses 000 46000 000 46000 Expenses
5302800 UTILITIES (CAPITALIZED) Property operating expenses 000 7186343 30209813 -23023470 Expenses
5302801 UTILITIES CIE (CAPITALIZED) Property operating expenses 000 3393892 3368187 25705 Expenses
5302900 ELECTRIC - ACCRUAL Property operating expenses 000 1155660393 442682 1155217711 Expenses
5302902 TRASH - ACCRUAL Property operating expenses 000 135602187 000 135602187 Expenses
5302904 GAS - ACCRUAL Property operating expenses 000 517049466 209121 516840345 Expenses
5302906 WATER - ACCRUAL Property operating expenses 000 689820836 234896 689585940 Expenses
5302908 SEWER - ACCRUAL Property operating expenses 000 727724964 170619 727554345 Expenses
5302909 UTILITIES ACCRUAL REVERSAL Property operating expenses 000 39880 2651184313 -2651144433 Expenses
5500100 GENERAL REPAIRS AND MAINTENANCE Property operating expenses 000 148084306 17495618 130588688 Expenses
5500200 LANDSCAPING SERVICES Property operating expenses 000 97329602 1374475 95955127 Expenses
5500300 LANDSCAPING REPAIRS Property operating expenses 000 39563738 2343580 37220158 Expenses
5500310 FENCINGRETAINING WALL REPAIRS Property operating expenses 000 65332411 5542919 59789492 Expenses
5500320 DRIVEWAYCONCRETE REPAIRS Property operating expenses 000 4466951 1155380 3311571 Expenses
5500400 WINDOW TREATMENTS Property operating expenses 000 6327540 63161 6264379 Expenses
5500410 WINDOWDOOR REPAIRS Property operating expenses 000 148635489 3433310 145202179 Expenses
5500600 POOL SERVICES Property operating expenses 000 45738471 97566 45640905 Expenses
5500700 POOL REPAIRS Property operating expenses 000 14878086 3351218 11526868 Expenses
5500800 PEST CONTROL Property operating expenses 000 29779659 586855 29192804 Expenses
5501000 APPLIANCE REPAIRS Property operating expenses 000 180299428 71098222 109201206 Expenses
5501010 ELECTRICAL REPAIRS Property operating expenses 000 57848631 1478961 56369670 Expenses
5501020 FLOORING REPAIRS Property operating expenses 000 35044318 11043774 24000544 Expenses
5501030 HARDWAREFINISH REPAIRS Property operating expenses 000 137085392 7722627 129362765 Expenses
5501100 HVAC REPAIRS Property operating expenses 000 407677903 275637878 132040025 Expenses
5501110 PLUMBING REPAIRS Property operating expenses 000 159988127 22018867 137969260 Expenses
5501150 MOLD REMEDIATION Property operating expenses 000 24108101 7641419 16466682 Expenses
5501160 WINTERIZATION MAINTENANCE Property operating expenses 000 48933 000 48933 Expenses
5501200 ROOF REPAIRS Property operating expenses 000 145737373 13690852 132046521 Expenses
5501300 OFFICEHOUSING SUPPLIES Property operating expenses 000 79770 15603 64167 Expenses
5501500 PAINTING Property operating expenses 000 39404643 345291 39059352 Expenses
5501600 GARAGE DOOR Property operating expenses 000 896144 000 896144 Expenses
5501700 CLEANING GENERAL Property operating expenses 000 44087887 83035 44004852 Expenses
5501800 LOCKSMITH Property operating expenses 000 12966826 109983 12856843 Expenses
5501900 CITY CODE VIOLATIONS Property operating expenses 000 2226589 46454 2180135 Expenses
5501998 REPAIRS AND MAINTENANCE - ACCRUAL Property operating expenses 000 814991419 41617898 773373521 Expenses
5501999 REPAIRS AND MAINTENANCE - ACCRUAL REVERSAL Property operating expenses 000 616692 676615950 -675999258 Expenses
5502000 GENERAL REPAIRS AND MAINTENANCE (TURN) Property operating expenses 000 27498770 796177 26702593 Expenses
5502100 PAINTING (TURN) Property operating expenses 000 191236040 3459494 187776546 Expenses
5502200 WINDOW TREATMENTS (TURN) Property operating expenses 000 18755848 803388 17952460 Expenses
5502201 REPAIRS amp MAINTENANCE (TURN) Property operating expenses 000 51910288 4184140 47726148 Expenses
5502210 WINDOWDOOR REPAIRS (TURN) Property operating expenses 000 57370755 3232434 54138321 Expenses
5502300 POOL (TURN) Property operating expenses 000 647816 142865 504951 Expenses
5502400 PEST CONTROL (TURN) Property operating expenses 000 18230045 276427 17953618 Expenses
5502500 LANDSCAPING (TURN) Property operating expenses 000 177309314 1115850 176193464 Expenses
5502510 FENCINGRETAINING WALL REPAIRS (TURN) Property operating expenses 000 15590065 416127 15173938 Expenses
5502520 DRIVEWAYCONCRETE REPAIRS (TURN) Property operating expenses 000 1097926 57000 1040926 Expenses
5502600 APPLIANCE REPAIRS (TURN) Property operating expenses 000 24501252 1817009 22684243 Expenses
5502610 ELECTRICAL REPAIRS (TURN) Property operating expenses 000 31639903 1204040 30435863 Expenses
5502620 FLOORING REPAIRS (TURN) Property operating expenses 000 1827892 1827892 000 Expenses
5502630 HARDWAREFINISH REPAIRS (TURN) Property operating expenses 000 41788416 2490024 39298392 Expenses
5502700 HVAC REPAIRS (TURN) Property operating expenses 000 34110556 10083349 24027207 Expenses
5502710 PLUMBING REPAIRS (TURN) Property operating expenses 000 35226961 2045838 33181123 Expenses
5502720 MOLD REMEDIATION (TURN) Property operating expenses 000 1450940 346000 1104940 Expenses
5502800 ROOF REPAIRS (TURN) Property operating expenses 000 12158836 820480 11338356 Expenses
5502900 POWER WASHING (TURN) Property operating expenses 000 19961836 911000 19050836 Expenses
5503000 CARPET CLEANING (TURN) Property operating expenses 000 63410528 1370494 62040034 Expenses
5503100 FLOORING (TURN) Property operating expenses 000 44951102 21966483 22984619 Expenses
5503200 CLEANING (TURN) Property operating expenses 000 149573880 1443439 148130441 Expenses
5503300 LOCKSMITH (TURN) Property operating expenses 000 67195240 787451 66407789 Expenses
5503398 TURN EXPENSE - ACCRUAL Property operating expenses 000 1029882588 1011358 1028871230 Expenses
5503399 TURN EXPENSE - ACCRUAL REVERSAL Property operating expenses 000 15128033 1019353572 -1004225539 Expenses
5503400 GENERAL REPAIRS AND MAINTENANCE (HOA) Property operating expenses 000 11833003 1873400 9959603 Expenses
5503410 PAINTING (HOA) Property operating expenses 000 17232357 40000 17192357 Expenses
5503420 LANDSCAPING (HOA) Property operating expenses 000 35297518 6058933 29238585 Expenses
5503430 FENCINGRETAINING WALL REPAIRS (HOA) Property operating expenses 000 9232929 275670 8957259 Expenses
5503440 DRIVEWAYCONCRETE REPAIRS (HOA) Property operating expenses 000 539490 000 539490 Expenses
5503450 POWER WASHING (HOA) Property operating expenses 000 16511472 342500 16168972 Expenses
5503460 CLEANING (HOA) Property operating expenses 000 210500 000 210500 Expenses
5503470 POOL KEYS (HOA) Property operating expenses 000 2708286 48000 2660286 Expenses
5503475 GATE REMOTES (HOA) Property operating expenses 000 152500 000 152500 Expenses
5604100 ADVERTISING Property operating expenses 000 9370 000 9370 Expenses
5705100 PROPERTY INSURANCE - PROPERTY Property operating expenses 000 373969819 277374 373692445 Expenses
5705101 PROPERTY INSURANCE - GENERAL LIABILITY Property operating expenses 000 50619451 165310 50454141 Expenses
5705102 PROPERTY INSURANCE - POLLUTION Property operating expenses 000 15879180 14642 15864538 Expenses
5705200 PROPERTY INSURANCE (CAPITALIZED) Property operating expenses 000 148317 3704689 -3556372 Expenses
5806100 OTHER EXPENSE Other E 000 744049131 719660085 24389046 Expenses
5806300 EVICTION COSTS Property operating expenses 000 209507703 8629040 200878663 Expenses
5806500 OTHER OPERATING EXPENSES Property operating expenses 000 21938781 2567624 19371157 Expenses
5806510 OTHER EXPENSES - AMIP Other E 000 261601080 287400 261313680 Expenses
5806650 CC PROCESSING FEE Property operating expenses 000 79139364 143743 78995621 Expenses
5806660 CONSERVICE OCCUPIED HOME BILLING FEE Property operating expenses 000 126577810 460619 126117191 Expenses
5806662 CONSERVICE UTILITY TENANT SETUP FEE Property operating expenses 000 24662080 3999 24658081 Expenses
5806663 CONSERVICE UTILITY VACANT RECOVERY FEE Property operating expenses 000 16329000 74000 16255000 Expenses
5806664 CONSERVICE OCCUPIED HOME BILLING FEE - NO CHARGEBACK Property operating expenses 000 28574216 4691 28569525 Expenses
5806665 CONSERVICE UNOCCUPIED HOME BILLING FEE Property operating expenses 000 19724000 4000 19720000 Expenses
5806670 CONSERVICE UTILITY ACTIVATION FEE Property operating expenses 000 19822500 8750 19813750 Expenses
5806675 CONSERVICE UTILITY DEACTIVATION FEE Property operating expenses 000 136500 000 136500 Expenses
5806690 CONSERVICE FEES - ACCRUAL REVERSAL Property operating expenses 000 542059 513365846 -512823787 Expenses
5806691 CONSERVICE OCCUPIED HOME BILLING FEE - ACCRUAL Property operating expenses 000 262012578 538422 261474156 Expenses
5806692 CONSERVICE UTILITY TENANT SETUP FEE - ACCRUAL Property operating expenses 000 50619500 9000 50610500 Expenses
5806693 CONSERVICE UTILITY VACANT FEE - ACCRUAL Property operating expenses 000 813000 000 813000 Expenses
5806694 CONSERVICE OCCUPIED HOME BILLING FEE NO CHARGEBACK - ACCRUAL Property operating expenses 000 54793228 39158 54754070 Expenses
5806695 CONSERVICE UNOCCUPIED HOME BILLING FEE - ACCRUAL Property operating expenses 000 84228000 8000 84220000 Expenses
5806696 CONSERVICE UTILITY ACTIVATION FEE - ACCRUAL Property operating expenses 000 42520000 7500 42512500 Expenses
5806697 CONSERVICE UTILITY FEE OTHER - ACCRUAL Property operating expenses 000 338000 3000 335000 Expenses
5806698 CONSERVICE FEES (CAPITALIZED) Property operating expenses 000 617095 4612917 -3995822 Expenses
5806700 BAD DEBT EXPENSE Property operating expenses 000 956516313 12059786 944456527 Expenses
5806709 BAD DEBT EXPENSE - DERECOGNITION ACCELERATED RENT ADJ Property operating expenses 000 115500 105773515 -105658015 Expenses
5806710 BAD DEBT EXPENSE -DERECOGNITION RENT ADJ Property operating expenses 000 4763775 158671414 -153907639 Expenses
5806711 BAD DEBT EXPENSE - CHARGEBACKS UTILITIES ADJ Property operating expenses 000 000 67836 -67836 Expenses
5806712 BAD DEBT EXPENSE - CHARGEBACKS RampM ADJ Property operating expenses 000 000 35000 -35000 Expenses
5806714 BAD DEBT EXPENSE - CHARGEBACKS EVICTION FEES ADJ Property operating expenses 000 678627 15766080 -15087453 Expenses
5806715 BAD DEBT EXPENSE - CHARGEBACKS ELECTRICITY ADJ Property operating expenses 000 000 3263802 -3263802 Expenses
5806716 BAD DEBT EXPENSE - CHARGEBACKS TRASH ADJ Property operating expenses 000 4663 512294 -507631 Expenses
5806717 BAD DEBT EXPENSE - CHARGEBACKS GAS ADJ Property operating expenses 000 13341 1403943 -1390602 Expenses
5806718 BAD DEBT EXPENSE - CHARGEBACKS WATER ADJ Property operating expenses 000 207581 5803985 -5596404 Expenses
5806719 BAD DEBT EXPENSE - CHARGEBACKS - TURN ADJ Property operating expenses 000 9435741 301481137 -292045396 Expenses
5806720 BAD DEBT - RECOVERY Property operating expenses 000 46052037 63543615 -17491578 Expenses
5806721 BAD DEBT EXPENSE - CHARGEBACKS NOTICE FEES ADJ Property operating expenses 000 10000 687327 -677327 Expenses
5806724 BAD DEBT EXPENSE - CHARGEBACK SEWER ADJ Property operating expenses 000 000 293247 -293247 Expenses
5806801 BAD DEBT RESERVE EXPENSE - RENT Property operating expenses 000 772196505 813001616 -40805111 Expenses
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5806803 BAD DEBT RESERVE EXPENSE - CHARGEBACKS RampM Property operating expenses 000 11480082 14303693 -2823611 Expenses
5806804 BAD DEBT RESERVE EXPENSE - CHARGEBACKS (TURN) Property operating expenses 000 1570253 1817108 -246855 Expenses
5806805 BAD DEBT RESERVE EXPENSE - CHARGEBACKS UTILITIES Property operating expenses 000 98703018 91585287 7117731 Expenses
5806810 MANAGEMENT FEE EXPENSE - AMIP Property operating expenses 000 97934700 97934900 -200 Expenses
5807300 AZ TPT LICENSES Property operating expenses 000 736598 92000 644598 Expenses
5807400 REGISTRATION LICENSE FEES Property operating expenses 000 11670949 69345 11601604 Expenses
5807500 REGISTRATION LICENSE PENALTIES Property operating expenses 000 918040 000 918040 Expenses
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5807700 PERSONAL PROPERTY INTEREST Property operating expenses 000 882166 000 882166 Expenses
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6100115 SALARIES - HOLIDAY Management company operating expenses 000 67328503 10838343 56490160 Expenses
6100125 SALARIES - UNPAID SALARY Management company operating expenses 000 528059 1903817 -1375758 Expenses
6100130 SALARIES - CA MISSED MEAL Management company operating expenses 000 424042 75564 348478 Expenses
6100135 SALARIES - RETRO Management company operating expenses 000 2952040 1234363 1717677 Expenses
6100155 SALARIES - OVERTIME Management company operating expenses 000 155289373 27752954 127536419 Expenses
6100160 SALARIES - DOUBLE TIME Management company operating expenses 000 283161 26460 256701 Expenses
6100165 SALARIES - HOLIDAY WORKED Management company operating expenses 000 9015029 305347 8709682 Expenses
6100170 SALARIES - COMMISSION Management company operating expenses 000 193466608 186047233 7419375 Expenses
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6100215 BONUS - QUARTER 2 Management company operating expenses 000 5000 5000 000 Expenses
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6100315 OTHER SALARIES - JURY DUTY Management company operating expenses 000 88216 14240 73976 Expenses
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6100915 PAYROLL TAXES Management company operating expenses 000 22249747 9911065 12338682 Expenses
6100920 PAYROLL TAXES - SOCIAL SECURITY EMPLOYER Management company operating expenses 000 199024719 56919862 142104857 Expenses
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6100950 PAYROLL RECLASS ACCOUNT Management company operating expenses 000 3809153 324983 3484170 Expenses
6101000 AIRFARE Management company operating expenses 000 50538805 25724971 24813834 Expenses
6101100 CAR RENTAL Management company operating expenses 000 12475120 6694305 5780815 Expenses
6101200 FUEL AND MILEAGE Management company operating expenses 000 114900630 44230083 70670547 Expenses
6101300 TAXI Management company operating expenses 000 2108110 1255589 852521 Expenses
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6101500 MEALS Management company operating expenses 000 26987077 14474884 12512193 Expenses
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6101700 ENTERTAINMENT Management company operating expenses 000 332110 225878 106232 Expenses
6101800 CELL PHONE DATA REIMBURSEMENT Management company operating expenses 000 21109613 8579948 12529665 Expenses
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6102200 PROF LICENSE AND FEES Management company operating expenses 000 15524035 6683244 8840791 Expenses
6102300 EMPLOYEE EVENT ACCOUNT Management company operating expenses 000 12472811 8567595 3905216 Expenses
6102310 EMPLOYEE GIFTS Management company operating expenses 000 2162342 905528 1256814 Expenses
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6102520 BACKGROUND CHECKS Management company operating expenses 000 12857967 8339984 4517983 Expenses
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6102600 TEMPORARY SERVICES Management company operating expenses 000 230779201 163116189 67663012 Expenses
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6103050 STORAGE RENT Management company operating expenses 000 7222587 3077388 4145199 Expenses
6103100 OFFICE COMMON AREA MAINTENANCE Management company operating expenses 000 19414888 8236640 11178248 Expenses
6103120 OFFICE UTILITIES Management company operating expenses 000 17163102 9882170 7280932 Expenses
6103130 OFFICE REPAIRS AND MAINTENANCE Management company operating expenses 000 14301044 7594138 6706906 Expenses
6103200 OFFICE EQUIPMENT Management company operating expenses 000 24814327 8242025 16572302 Expenses
6103210 COMPUTER EQUIPMENT EXPENSE Management company operating expenses 000 77581961 67189472 10392489 Expenses
6103300 OFFICE SUPPLIES Management company operating expenses 000 39039371 18249566 20789805 Expenses
6103310 POSTAGE AND COURIER Management company operating expenses 000 72631331 53481837 19149494 Expenses
6103500 OFFICE PHONE INTERNET Management company operating expenses 000 154082780 95202882 58879898 Expenses
6103510 INTERNET Management company operating expenses 000 4401606 1430881 2970725 Expenses
6104000 PROFESSIONAL SERVICES Management company operating expenses 000 405124439 279732132 125392307 Expenses
6104110 CLOUD SERVICE Management company operating expenses 000 258344255 163995327 94348928 Expenses
6104120 WEBSITE Management company operating expenses 000 68316 6985 61331 Expenses
6104130 ONLINE ADVERTISING Management company operating expenses 000 3167375 1485710 1681665 Expenses
6104135 ADVERTISING - NON GampA Management company operating expenses 000 24423753 4277900 20145853 Expenses
6104140 SOFTWARE EXPENSE Management company operating expenses 000 47354709 37922392 9432317 Expenses
6104150 SOFTWARE LICENSING Management company operating expenses 000 218592373 103213242 115379131 Expenses
6104250 CONSERVICE MONTHLY SERVICE FEE Management company operating expenses 000 142095806 127182693 14913113 Expenses
6104260 ONLINE LOCKBOX SERVICE Management company operating expenses 000 97255642 35302512 61953130 Expenses
6104265 RESIDENT SCREENING Management company operating expenses 000 90529898 75433525 15096373 Expenses
6104270 MLS SERVICE FEE Management company operating expenses 000 1890598 1102248 788350 Expenses
6104275 PROMOTIONAL ITEMS Management company operating expenses 000 2384239 192562 2191677 Expenses
6104280 PAYROLL PROCESSING COSTS Management company operating expenses 000 19846583 12559057 7287526 Expenses
6104285 BENEFIT PROCESSING FEES Management company operating expenses 000 13131867 6787981 6343886 Expenses
6104290 EAP FEES Management company operating expenses 000 5310793 8909049 -3598256 Expenses
6104295 WELLNESS EXPENSE Management company operating expenses 000 423933 424088 -155 Expenses
6104300 DUE DILIGENCE Management company operating expenses 000 67477237 67323937 153300 Expenses
6104350 LEGAL - SETTLEMENTS Management company operating expenses 000 49120780 22793330 26327450 Expenses
6104400 IT SERVICE MANAGEMENT Management company operating expenses 000 106404471 50099858 56304613 Expenses
6104500 OTHER EVICTION-MAILPOSTAGE Management company operating expenses 000 16627847 16627847 000 Expenses
6104510 OTHER EVICTION-LEGAL NOTICES Management company operating expenses 000 9928061 9928058 003 Expenses
6104520 LEGAL NON GampA Management company operating expenses 000 188413095 153161309 35251786 Expenses
6104600 OTHER Management company operating expenses 000 16482413 13759702 2722711 Expenses
6104605 Vehicle Insurance Management company operating expenses 000 7722246 3872813 3849433 Expenses
6104610 BANK CHARGES Management company operating expenses 000 10591777 10591762 015 Expenses
6104700 PERSONAL PROPERTY TAXES Management company operating expenses 000 7530724 5606491 1924233 Expenses
6104702 PERSONAL PROPERTY TAXES - PENALTIES Management company operating expenses 000 25963 12774 13189 Expenses
6104800 GROSS RECEIPTS TAX Management company operating expenses 000 1988048 1491036 497012 Expenses
6104910 ADMIN Management company operating expenses 000 343000 212625 130375 Expenses
6104920 PROPERTY RELATED COSTS - CLEARING Management company operating expenses 000 201151 202382 -1231 Expenses
6105100 UNIFORMS Management company operating expenses 000 1005989 40880 965109 Expenses
6105200 TOOLS amp EQUIPMENT Management company operating expenses 000 39477073 25377972 14099101 Expenses
6105300 FUEL amp MAINTENANCE Management company operating expenses 000 5453994 2689506 2764488 Expenses
6105350 VEHICLE REPAIRS AND MAINTENANCE Management company operating expenses 000 470470 284034 186436 Expenses
6105400 SUPPLIES amp MATERIALS Management company operating expenses 000 72933078 52403468 20529610 Expenses
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6200105 PROPERTY MANAGEMENT FEES Management company operating expenses 000 2208511931 2208511931 000 Expenses
6200115 LEASING COMMISSIONS FEES 3rd PARTY Management company operating expenses 000 121760470 121760470 000 Expenses
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6301200 OTHER GampA EXPENSE General and administrative expense 000 716523 195 716328 Expenses
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6301400 EXCHANGE LISTING FEES General and administrative expense 000 40318777 28799126 11519651 Expenses
6301500 ACQUISITION DUE DILIGENCE General and administrative expense 000 131250 131250 000 Expenses
6302000 LICENSES AND FEES General and administrative expense 000 389022 13396 375626 Expenses
6302100 INVESTOR SERVICES General and administrative expense 000 13468480 4477893 8990587 Expenses
6302200 TRANSFER AGENCY FEES General and administrative expense 000 2717424 266666 2450758 Expenses
6302300 FILING FEES General and administrative expense 000 21777543 4863497 16914046 Expenses
6302400 BANK CHARGES General and administrative expense 000 43237555 6288121 36949434 Expenses
6302600 OFFICE SUPPLIES (DO NOT USE) General and administrative expense 000 95785 000 95785 Expenses
6303000 TRUSTEE COMPENSATION General and administrative expense 000 35384674 13509674 21875000 Expenses
6303100 TRUSTEE OTHER EXPENSES General and administrative expense 000 1857866 671250 1186616 Expenses
6303300 TAX PENALTIES General and administrative expense 000 54700 79400 -24700 Expenses
6303400 PERSONAL PROPERTY TAXES General and administrative expense 000 30000 30000 000 Expenses
6400100 INTEREST INCOME General and administrative expense 000 27542176 27639039 -96863 Expenses
6400110 OTHER INCOMEEXPENSE - AMIP General and administrative expense 000 10246800 20860300 -10613500 Expenses
6400300 OTHER INCOME General and administrative expense 000 3497705 381159 3116546 Expenses
6400310 OTHER INCOME - AMIP Other 000 115442000 422621900 -307179900 Revenues
6400315 OTHER INCOME - PRIVATE MORTGAGE LOANS - ARP Other 000 1724682 72213490 -70488808 Revenues
6400320 MANAGEMENT FEE INCOME - AMIP Other 000 97934900 264705300 -166770400 Revenues
6400330 INTEREST INCOME - AMIP Other 000 000 28715900 -28715900 Revenues
6400350 INTEREST INCOME - PRIVATE MORTGAGE LOANS - ARP Other 000 1390533 67858436 -66467903 Revenues
6400500 LOSS (GAIN) ON DISPOSED PROPERTY Other 000 17616116 112330715 -94714599 Revenues
6400600 LOSS (GAIN) TRAILING DISPOSED COSTS Other 000 73234527 67690345 5544182 Revenues
6400650 LOSS (GAIN) WRITE DOWN OF ASSETS Other E 000 1737894237 1647937781 89956456 Expenses
6400700 OFFICE RENT INCOME Other 000 7343098 7343098 000 Revenues
6400800 OFFICE CAM INCOME Other 000 1920414 1920414 000 Revenues
6410300 INTEREST EXPENSE - NP TO BANK Interest expense 000 494653763 000 494653763 Expenses
6410600 INTEREST EXPENSE - LOAN COSTS Interest expense 000 132287763 000 132287763 Expenses
6420200 COMPENSATION EXPENSE-EMPLOYEES Noncash share-based compensation expense 000 185541243 224370 185316873 Expenses
6501000 SIGNAGE General and administrative expense 000 79400 79400 000 Expenses
6501010 NON-CAPITALIZED ACQUISITION FEE Acquisition fees and costs expensed 000 1005060691 83041514 922019177 Expenses
6501011 GAINLOSS ON RESCINDED PROPERTIES Other 000 124248929 123725136 523793 Revenues
6600100 DEPR - LAND IMPROVEMENTS Depreciation and amortization 000 274465586 68616140 205849446 Depreciation expense on RE 127023694 Expenses
6600150 DEPR - SWIMMING POOLS Depreciation and amortization 000 9542144 1174239 8367905 Expenses
6600200 DEPR - BUILDING Depreciation and amortization 000 9750232902 837379742 8912853160 Expenses
6600205 DEPR - FMV BUILDINGS Depreciation and amortization 000 3273603 330696 2942907 Expenses
6600250 DEPR - BUILDING IMPROVEMENTS Depreciation and amortization 000 2120512157 139671664 1980840493 Depreciation expense on other assets 2263183 Expenses
6600300 DEPR - CARPETING Depreciation and amortization 000 417550138 11769625 405780513 Expenses
6600302 DEPR - FLOORING Depreciation and amortization 000 247075496 6419640 240655856 Expenses
6600350 DEPR - ROOF Depreciation and amortization 000 14420052 232535 14187517 Expenses
6600400 DEPR - FURNITURE FIXTURE AND EQUIPMENT Depreciation and amortization 000 32736334 000 32736334 Amortization related to deferred leasing in place trademark amp database 19833762 Expenses
6600450 DEPR - CARPET REPLACEMENT Depreciation and amortization 000 20448762 1135368 19313394 Expenses
6600800 DEPR - HVAC Depreciation and amortization 000 330615207 41422747 289192460 Expenses
6600850 DEPR - STOVE Depreciation and amortization 000 43712069 16740584 26971485 Expenses
6600900 DEPR - WASHER AND DRYER Depreciation and amortization 000 41663131 8534104 33129027 Expenses
6600950 DEPR - REFRIGERATOR Depreciation and amortization 000 165562716 23189723 142372993 Expenses
6601000 DEPR - DISHWASHER Depreciation and amortization 000 109367056 24567542 84799514 Expenses
6601050 DEPR - WATER HEATER Depreciation and amortization 000 25552507 1177004 24375503 Expenses
6601100 DEPR - APPLIANCES Depreciation and amortization 000 197907940 11222333 186685607 Expenses
6601200 DEPR - VEHICLES Depreciation and amortization 000 4957963 000 4957963 Expenses
6601998 GENERAL DEPRECIATION ACCELERATION Depreciation and amortization 000 186707809 62656218 124051591 Expenses
6604050 DEPR - COMPUTER EQUIPMENT Depreciation and amortization 000 72476476 000 72476476 Expenses
6604100 DEPR - COMPUTER SOFTWARE Depreciation and amortization 000 100920567 000 100920567 Expenses
6604150 DEPR - LEASEHOLD IMPROVEMENTS Depreciation and amortization 000 14817346 000 14817346 Expenses
6604700 DEPR - PERSONNEL TOOLS Depreciation and amortization 000 409619 000 409619 Expenses
6605500 AMORT - TRADE NAME Depreciation and amortization 000 32978724 000 32978724 Expenses
6605600 AMORT - DATABASE TECHNOLOGY PLATFORM Depreciation and amortization 000 15000000 000 15000000 Expenses
6605650 AMORT - DEFERRED LEASING COMMISSIONS (INTERNAL) Depreciation and amortization 000 436990285 000 436990285 Expenses
6605750 AMORT - DEFERRED LEASE IN PLACE Depreciation and amortization 000 2009676984 511269823 1498407161 Expenses
6740115 INCOME FOR UNCONSOLIDATED CONSOLIDATED AMIP Other 000 30333855 10180727 20153128 Revenues
6740120 EQUITY IN INC OF UNCONSOL ENTY Other 000 32339853 49435145 -17095292 Revenues
6750000 LOSS ON REMEASUREMENT OF SERIES E - OP UNITS Gain on conversion of Series E units 000 000 1146250000 -1146250000 Expenses
6760000 LOSS (GAIN) ON REMEASUREMENT OF SERIES A PREF LIABILITY Remeasurement of Preferred Shares 000 16000000 000 16000000 Accrued interest from prior year-end (12-31-15) 8352 Expenses
6770000 LOSS (GAIN) ON REMEASUREMENT OF SERIES B PREF LIABILITY Remeasurement of Preferred Shares 000 13000000 000 13000000 Interest expense per GL 59785 Expenses
6770020 LOSS (GAIN) ON REMEASUREMENT OF SERIES C PREF LIABILITY Remeasurement of Preferred Shares 000 16000000 000 16000000 Accrued interest 9272 Expenses
6810000 NCI EXPENSE CLASS A UNITS Noncontrolling interest 000 145990958 72995479 72995479 Expenses
6815000 NCI EXPENSE CLASS A UNITS ARPI Noncontrolling interest 000 4043480 2021740 2021740 Expenses
6830000 NCI EXPENSE SERIES C Noncontrolling interest 000 605492602 302746301 302746301 Expenses
6840000 NCI EXPENSE SERIES D Noncontrolling interest 000 65900687 21883874 44016813 Expenses
6860000 NCI EXPENSE - AMIP Noncontrolling interest 000 32905900 54945300 -22039400 Cash paid for interest 58865 Expenses
6860300 INTEREST EXPENSE Interest expense 000 29361023 128896170 -99535147 Loan cost amortization 5438 Expenses
6860310 INT EXP-NOTE PAYABLE Interest expense 000 5544852626 60963815 5483888811 73575 Expenses
6860315 INT EXP ndash LOAN DISCOUNT AMORT ndash SECURITIZATION Interest expense 000 56718772 56254189 464583 Expenses
6860316 LOAN DISCOUNT AMORT - ARP SECURITIZATION Interest expense 000 111873910 000 111873910 Expenses
6860320 INTEREST EXPENSE - 2014-1 LOAN COSTS Interest expense 000 411518134 000 411518134 Expenses
6860325 INTEREST EXPENSE ndash EXCHANGEABLE SR NOTES Interest expense 000 110601308 000 110601308 Expenses
7000200 TAXES STATE General and administrative expense 000 300995573 61604432 239391141 Expenses
7000300 TAXES INTEREST General and administrative expense 000 119491 229 119262 Expenses
7000400 TAXES PENALTIES General and administrative expense 000 206000 4400 201600 Expenses
9991010 EMPLOYEE COUNT General and administrative expense 1642800 597400 82100 2158100 Expenses
9991020 TEMPORARY EMPLOYEE COUNT General and administrative expense 70100 16200 200 86100 Expenses
9991990 STATISTICAL OFFSET General and administrative expense -1712900 82300 613600 -2244200 Expenses
Total (000) 3459495971370 3459495971370 000
Assets 825265124218 Variance
Liabilities 337283316279 -
Equity 488222150588
Net Loss (240342649)
Liabilities amp Equity w NI 825265124218
Revenues 41616501569
Expenses 41856844218
Net Loss (240342649)
radic
radic
American Homes 4 Rent
Cash Flow Worksheet
June 30 2016
(in thousands) radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic radic
Cash amp Restricted Rent amp other Due from Escrow Def Lease Costs Accumulated Asset-backed securitization certificates Prepaid expenses amp Single-family Accumulated AMH ARPI Asset-backed Exchangeable Secured AP amp accrued Amounts due from (payable Series E Preferred Shares Class A Class B Preferred Accumulated Accumulated Noncontrolling
cash equivalents Cash receivables Trustee deposits amp Intangibles Amortization Goodwill other assets properties depreciation Credit facility Credit facility securitizations net Senior Notes net Note Payable expenses to) affiliates Liability Conversion Liab Common Common Shares APIC OCI deficit interest TOTAL
Balance at 63016 (+DEBIT -CREDIT) (FORMULA FROM BS) 270369 133996 19257 23 833 53624 (37225) 25666 120655 142386 8057307 (535648) (142000) - (2795777) (106434) (50295) (215307) 1157 - (63240) (2377) (6) (370) (4462743) - 335684 (749535) -
Balance at 123115 (+DEBIT -CREDIT) (FORMULA FROM BS) 57686 111282 13920 16 503 26498 (16069) 25666 120655 121124 6705982 (416044) - - (2473643) - (50752) (154751) (4093) (69957) (62790) (2072) (6) (171) (3554063) 102 296865 (675888) -
(212683) (22714) (5337) (7) (330) (27126) 21156 - - (21262) (1351325) 119604 142000 - 322134 106434 (457) 60556 (5250) (69957) 450 305 - 199 908680 102 (38819) 73647 -
CASH FLOWS FROM OPERATING ACTIVITIES IS checks
Net loss (1800) 3075 1275 -
Adjustments to reconcile net loss to net cash used for operating activities
Depreciation and amortization 19834 2263 127024 149121 -
Noncash amortization of deferred financing costs 1284
Valerie Ware Valerie WarePer capitalized interest split schedule
3995
Valerie Ware Valerie WarePer capitalized interest split schedule
5279
Amortization of discount on exchangeable senior notes 1106 1106
Amortization of discount on ARP 2014-SFR1 securitization 1119 1119
Noncash share-based compensation 1853 1853 -
Provision for bad debt 2483 2483
Gain on conversion of Series E to Series D units (11463) (11463) -
Remeasurement of preferred shares 450 450 -
Equity in net loss (income) of unconsolidated ventures 261
Valerie Ware Valerie Ware$230K adjustment to reclass distribution to ARP JV to distributions from unconsolidated joint ventures net under investing activities See Equity in Income JV GL detail
261
Net (gain) loss on sale impairment of single-family properties 8 8
Net gain on sale of non-performing loans (1656)
Valerie Ware Valerie WarePer GainLoss on Foreclosures schedule
(1656)
Changes in operating assets and liabilities -
Rent and other receivables (6977) (6977)
Restricted cash for resident security deposits (12394)
Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger
(12394)
Prepaid expenses and other assets 3807 3807
Deferred leasing costs (4080) (4080)
Accounts payable and accrued expenses 12208 (137) 12071
Security deposit liability 12370
Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger
12370
Amounts payable to affiliates (5250) (5250)
Net cash provided by (used for) operating activities 149383 (12394) (4494) - - (4080) 21118 - - 4675 8 127024 - - 5114 1106 - 24578 (5250) (11463) 450 - - - 1716 - (1800) 3075 149383
CASH FLOWS FROM INVESTING ACTIVITIES
Cash paid for single-family properties (7) (60614) (1345) (61966)
Escrow deposits for purchase of single-family properties (330) (330)
Change in other restricted cash (799) (799)
Cash acquired in ARPI merger 15499 15499
Payoff of credit facility assumed in ARPI merger (350000) (350000)
Net proceeds received from sale of single-family properties 15493
Valerie Ware Valerie WareProceeds from Accounting Disposition Summary
15493
Net proceeds received from sale of non-performing loans 16405
Valerie Ware Valerie WarePer Gains Loss on Forfeitures schedule
16405
Purchase of commercial office building (20056) (20056)
Investment in unconsolidated joint ventures -
Valerie Ware Valerie WareSee Investment in JV GL detail
-
Investment in mortgage financing receivables -
Valerie Ware Valerie WareNo NPL additions during 2016
-
Distributions from unconsolidated joint venture net 5770
Whitney Skaff Whitney SkaffSupport for $6M distribution recd in Investment in JV GL Detail Support for $230K distribution paid in Equity in Income JV GL detail
5770
Improvements to single-family properties 38 (16524)
Valerie Ware Valerie WareReduced for ARPI Building Improvements Beg Bal of $76401K
119 (1162) (17529)
Maintenance capital expenditures for single-family properties (12675)
Valerie Ware Valerie WarePer maintenance capex file
(12675)
Net cash used for investing activities (425687) (799) - (7) (330) - 38 - - 2119 (74320) - - (350000) 119 - - (2507) - - - - - - - - - - (410188)
CASH FLOWS FROM FINANCING ACTIVITIES
Proceeds from issuance of Class A common shares 2 - 2
Proceeds from issuance of perpetual preferred shares - 199 482527 482726
Repurchases of Class A common shares -
Proceeds from exercise of stock options 1682
Valerie Ware Valerie WareSee APIC GL Detail
1682
Repurchases of Class A common shares (62) (96036) (96098)
Redemptions of Class A units (29)
Whitney Skaff Whitney SkaffPer OP Unit Redemption Log
(262)
Whitney Skaff Whitney SkaffPer OP Unit Redemption Log
(291) 0
Proceeds from asset-backed securitizations -
Payments on asset-backed securitizations (12762) (12762)
Proceeds from credit facility 626000
Valerie Ware Valerie WarePer Treasurys credit facility rollforward of draws and paydowns
626000
Payments on credit facility (484000)
Valerie Ware Valerie WarePer Treasurys credit facility rollforward of draws and paydowns

Valerie Ware Valerie WareSee APIC GL Detail
(484000)
Payments on secured note payable (457) (457)
Change in restricted cash related to financings -
Contributions from noncontrolling interests -
Distributions to noncontrolling interests - (5905) (5905)
Distributions to common shareholders (24038) (24038)
Distributions to preferred shareholders (12981) (12981)
Deferred financing costs (350) (40) (390)
Net cash provided by financing activities 473488 - - - - (350) - - - - - - 142000 - (12802) - (457) - - - - (60) - 199 388144 - (37019) (6167) 473488
NET INCREASE IN CASH AND CASH EQUIVALENTS 197184 (13193) (4494) (7) (330) (4430) 21156 - - 6794 (74312) 127024 142000 (350000) (7569) 1106 (457) 22071 (5250) (11463) 450 (60) - 199 389860 - (38819) (3092) 212683
NON CASH ITEMS
Accrued deferred financing costs - - -
Accrued Class A common share distribution -
Accrued Series C distribution - - -
HFS Reclassification 4272
Valerie Ware Valerie WareIncludes 123115 HFS topside reclass
(4272) -
Write off of deferred leasing costs - -
Valerie Ware Valerie WareWrite-offs per Deferred Leasing Costs Rollforward
-
Writedowns and casualty loss of real estate 2570 (2570)
Valerie Ware Valerie WareWritedowncasualty losses and accelerated depreciation from AD rollforward
-
Dispositions of real estate 578 (578)
Valerie Ware Valerie WareDisposals per AD Rollforward
-
Unrealized gainloss on interest rate cap agreement (102) 102 -
Conversion of NPL to properties 7180 (7180)
Valerie Ware Valerie Ware16405 of proceeds from sales of NPLs from GainsLosses on Foreclosures schedule
-
Conversion of Series E to Series D units (58494) 58494 -
American Residential Properties Inc Merger (15499) (9521)
Valerie Ware Valerie WareIncludes $4154K of restricted cash for security deposits per ARPI opening balance sheet accounts
(843) (22696) (35134) (1277253) 350000 329703 112298 38485
Valerie Ware Valerie WareIncludes $4154K of security deposit liability per ARPI opening balance sheet accounts
365 511281 18814 -
Noncash redemptions of Class A units 569 (569) -
Equity bifurcation of exchangeable senior notes net (6970) 6970 -
Rounding -
(15499) (9521) (843) - - (22696) - - - (28056) (1277013) (7420) - 350000 329703 105328 - 38485 - (58494) - 365 - - 518820 102 - 76739 -
RECONCILIATION
INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS 212683 (22714) (5337) (7) (330) (27126) 21156 - - (21262) (1351325) 119604 142000 - 322134 106434 (457) 60556 (5250) (69957) 450 305 - 199 908680 102 (38819) 73647 235397
FROM ABOVE 212683 (22714) (5337) (7) (330) (27126) 21156 - - (21262) (1351325) 119604 142000 - 322134 106434 (457) 60556 (5250) (69957) 450 305 - 199 908680 102 (38819) 73647 235397
DIFFERENCE (MUST EQUAL ZERO) - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
CASH AND CASH EQUIVALENTS BEGINNING OF PERIOD 57686 57686
CASH AND CASH EQUIVALENTS END OF PERIOD 270369 270369
Amounts payable to affiliates related to property acquisitions - x
Accounts payable and accrued expenses related to property acquisitions (1345) x
Accounts payable and accrued expenses related to deferred financing costs - 0
x
Cash paid for interest 58865
Deferred financing costs - cash payments x
Gross deferred finance cost (LOC) increase 123115 - 63016 350
Valerie Ware Valerie WareAdditions to LOC per Deferred Costs and Other Intangibles Rollforward

Whitney Skaff Whitney SkaffPer OP Unit Redemption Log
Gross deferred finance cost (securitization) increase 123115 - 63016 40
Valerie Ware Valerie WareAdditions to securitizations per Deferred Costs and Other Intangibles Rollforward

Whitney Skaff Whitney SkaffPer OP Unit Redemption Log

Valerie Ware Valerie WarePer capitalized interest split schedule

Valerie Ware Valerie WareWrite-offs per Deferred Leasing Costs Rollforward

Valerie Ware Valerie WareIncludes $4154K of restricted cash for security deposits per ARPI opening balance sheet accounts

Valerie Ware Valerie WareIncludes 123115 HFS topside reclass

Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger

Valerie Ware Valerie WareWritedowncasualty losses and accelerated depreciation from AD rollforward

Valerie Ware Valerie WarePer capitalized interest split schedule

Valerie Ware Valerie WareDisposals per AD Rollforward

Valerie Ware Valerie Ware16405 of proceeds from sales of NPLs from GainsLosses on Foreclosures schedule

Valerie Ware Valerie Ware$230K adjustment to reclass distribution to ARP JV to distributions from unconsolidated joint ventures net under investing activities See Equity in Income JV GL detail

Valerie Ware Valerie WarePer GainLoss on Foreclosures schedule

Valerie Ware Valerie WareIncludes $4154K of security deposit liability per ARPI opening balance sheet accounts

Valerie Ware Valerie Ware$4154 is noncash change for cash restricted for ARP security deposits in merger

Valerie Ware Valerie WareProceeds from Accounting Disposition Summary

Valerie Ware Valerie WarePer Gains Loss on Forfeitures schedule

Valerie Ware Valerie WareSee Investment in JV GL detail

Valerie Ware Valerie WareNo NPL additions during 2016

Whitney Skaff Whitney SkaffSupport for $6M distribution recd in Investment in JV GL Detail Support for $230K distribution paid in Equity in Income JV GL detail

Valerie Ware Valerie WareReduced for ARPI Building Improvements Beg Bal of $76401K

Valerie Ware Valerie WarePer maintenance capex file
x
Less accrued deferred finance costs - 0 x
Cash payments 40
radic
American Residential Properties Inc Merger Per PPA Per BS
Single-family properties 1277253 1277253
Cash and cash equivalents 15568 15499
Restricted cash 9452 9521
Rent and other receivables net 789 843
Escrow deposits prepaid expenses and other assets 35188 35134
Deferred costs and other intangibles net 22696 22696
Credit facility (350000) (350000)
Asset-backed securitization (329703) (329703)
Exchangeable senior notes net (112298) (112298)
Accounts payable and accrued expenses (38485) (38485)
Class A common shares and units issued (530460) (530460)
- 0 - 0
American Homes 4 Rent
June 30 2016 Financial Statement Worksheet
(in thousands) Permanent Top-Side Roll-Overs
Land Building Recurring Top-sides Topside Topside Topside Topside Topside Topside Topside Topside
Reclass to 4Q13 Property Mgmt Co 1 2 3 4 5 6 7 8
Trial Balance Link GampA correct recording Sales Impairment Preferred Bad Debt 2014 HFS Unadjusted Record Expenses Preferred Noncontrolling Held for Sale Accrued Property Tax Adjustment Accrued Payroll Reclass NCI Adjustment Adjusted
June 30 2016 Rounded in 000s Allocation of 1Q13 top-side and HFS Dividend (Sponsor) Impairment June 30 2016 Net Income Relassification Dividend Interest Reclassification Rounding June 30 2016
Assets
Single-family properties
Land 1500680075 $ 1500680 $ 940 $ (44) $ 1501576 $ (26264) $ 1475312
Buildings and improvements 6561419049 $ 6561419 $ (940) $ (179) $ 6560300 $ (110068) $ 1 $ 6450233
Single-family properties held for sale - 0 $ - $ - $ 131762 $ 131762
8062099124 $ 8062099 $ - $ - $ - $ - $ - $ - $ (223) $ 8061876 $ - $ - $ - $ - $ (4570) $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ 8057307
Less accumulated depreciation (540217511) $ (540218) $ (540218) $ 4570 $ (535648)
Single-family properties net 7521881613 $ 7521881 $ - $ - $ - $ - $ - $ (223) $ 7521658 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ 7521659
Cash and cash equivalents 270368720 $ 270369 $ 270369 $ 270369
Resident security deposits 133996028 $ 133996 $ 133996 $ 133996
Rent and other receivables net 19296459 $ 19296 $ (16) $ 19280 $ 19280
Amounts due from affiliates 1168649 $ 1169 $ (12) $ 1157 $ 1157
Escrow deposits 833183 $ 833 $ 833 $ 833
Deferred costs and other intangibles net 16399480 $ 16399 $ 16399 $ 16399
Asset-backed securitization certificates 25665800 $ 25666 $ 25666 $ 25666
Goodwill 120655080 $ 120655 $ 120655 $ 120655
Investment in unconsolidated joint ventures - $ - $ - $ -
Prepaid expenses and other assets 142386229 $ 142386 $ 142386 $ 142386
Total assets $ 8252651242 $ 8252650 $ - $ - $ (12) $ - $ (16) $ (223) $ 8252399 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ 8252400
Liabilities
Senior secured line of credit 142000000 $ 142000 $ 142000 $ 142000
Asset-backed securitization 2795777262 $ 2795777 $ 2795777 $ 2795777
Exchangeable senior notes net 106433664 $ 106434 $ 106434 $ 106434
Secured note payable 50294632 $ 50295 $ 50295 $ 50295
Accounts payable and accrued expenses 215087605 $ 215088 $ (100) $ 214988 $ 397 $ (78) $ 215307
Amounts payable to affiliates - $ - $ - $ -
Contingently convertible Series E units liability - $ - $ - $ - $ -
Preferred shares conversion liability 63240000 $ 63240 $ 63240 $ - $ 63240
Total liabilities 3372833163 $ 3372834 $ - $ - $ - $ (100) $ - $ - $ - $ 3372734 $ - $ - $ - $ - $ - $ 397 $ (78) $ - $ - $ - $ - $ - $ - $ - $ 3373053
Commitments and contingencies
Equity
Shareholders equity
Class A common shares 2377303 $ 2377 $ 2377 $ 2377
Class B common shares 6351 $ 6 $ 6 $ 6
Preferred shares 370100 $ 370 $ 370 $ 370
Additional paid-in capital 4406405958 $ 4406406 $ 993 $ 42363 $ 4449762 $ 12981 $ 4462743
Accumulated deficit (277395653) $ (277396) $ (993) $ 88 $ (42363) $ (16) $ (223) $ (320903) $ (2404) $ 1 $ (12981) $ 616 $ - $ (397) $ 78 $ 306 $ (335684)
Members Equity
Jeanette Peck Jeanette PeckThis should be eliminated
- 0 $ - $ - $ -
Accumulated other comprehensive income - 0 $ - $ - $ -
Total shareholders equity 4131764059 $ 4131763 $ - $ - $ 88 $ - $ (16) $ (223) $ 4131612 $ (2404) $ 1 $ - $ 616 $ - $ (397) $ 78 $ 306 $ - $ - $ - $ - $ - $ - $ 4129812
Noncontrolling interest E 750457447 $ 750457 $ 750457 $ (616) $ - $ (306) $ 749535
Total equity 4882221506 $ 4882220 $ - $ - $ 88 $ - $ (16) $ (223) $ 4882069 $ (2404) $ 1 $ - $ - $ - $ (397) $ 78 $ - $ - $ - $ - $ - $ - $ - $ 4879347
Total liabilities and equity $ 8255054669 $ 8255054 $ - $ - $ (12) $ - $ (16) $ (223) $ 8254803 $ (2404) $ 1 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 8252400
(2403426) $ (2404) $ - $ - $ - $ - $ - $ - $ (2404) $ 2404 $ (1) $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 1 $ -
Revenues
Rents from single-family properties $ 361486097 $ 361486 $ 361486 $ 361486
Fees from single-family properties 4920857 $ 4921 $ 4921 $ 4921
Tenant charge-backs 41269223 $ 41269 $ 41269 $ 41269
Other 8488839 $ 8489 $ 8489 $ - $ - $ 8489
Total revenues 416165016 $ 416165 $ - $ 416165 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ 416165
Expenses
Property operating expenses $ 147049652 $ 147050 $ 147050 $ 33139 $ 397 $ 180586
Management company operating expenses 42676827 $ 42677 $ 42677 $ (42677) $ -
General and administrative expense 5865801 $ 5866 $ 5866 $ 9537 $ - $ 15403
Interest expense 66457531 $ 66458 $ 66458 $ 66458
Noncash share-based compensation expense 1853169 $ 1853 $ 1853 $ 1853
Acquisition fees and costs expensed 9220192 $ 9220 $ 9220 $ (78) $ 9142
Equity in income from unconsolidated JV - 0 $ - $ - $ -
Advisory fees - 0 $ - $ - $ -
Depreciation and amortization 149120638 $ 149121 $ 149121 $ - $ - $ 149121
Other E 3339723 $ 3340 $ 3340 $ 3340
Total expenses $ 425583533 $ 425585 $ - $ 425585 $ - $ (1) $ - $ - $ - $ 397 $ (78) $ - $ - $ - $ - $ - $ - $ - $ 425903
Gain on remeasurement of equity method investment - 0 $ - $ - $ -
Gain on conversion of Series E units 11462500 $ 11463 $ 11463 $ 11463
Remeasurement of preferred Shares (450000) $ (450) $ (450) $ (450)
Loss from continuing operations 1593983 $ 1593 $ - $ 1593 $ - $ 1 $ - $ - $ - $ (397) $ 78 $ - $ - $ - $ - $ - $ - $ - $ 1275
Discontinued operations
Gain on disposition of single-family properties - 0 $ - $ - $ -
Income from discontinued operations - 0 $ - $ - $ -
Total income from discontinued operations - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ -
Net income 1593983 $ 1593 $ - $ 1593 $ - $ 1 $ - $ - $ - $ (397) $ 78 $ - $ - $ - $ - $ - $ - $ - $ 1275
Noncontrolling interest 3997409 $ 3997 $ 3997 $ (616) $ - $ (306) $ 3075
Dividends on preferred shares - 0 $ - $ - $ 12981 $ 12981
Conversion of preferred units - 0 $ - $ - $ -
Net loss attributable to common shareholders $ (2403426) $ (2404) $ - $ (2404) $ - $ 1 $ (12981) $ 616 $ - $ (397) $ 78 $ 306 $ - $ - $ - $ - $ - $ - $ (14781)
radic
(0)
American Homes 4 Rent
Condensed Consolidated Statements of Cash Flows
(Amounts in thousands)
For the Six Months Ended June 30 1Q16 2Q16 3Q16 4Q16
2016 2015 2013 Variance
Operating activities Checks
Net income (loss) 1275 $ (16663) $ (19066) $ - $ 5028 $ (3753)
Adjustments to reconcile net income (loss) to net cash provided by operating activities
Depreciation and amortization 149121 112885 70987 - 69517 79604
Noncash amortization of deferred financing costs 5279 3500 186 2838 2441
Noncash amortization of discount on exchangeable senior notes 1106 - 1079 290 816
Noncash amortization of discount on ARP 2014-SFR1 securitization 1119 - 286 833
Noncash share-based compensation 1853 1430 - 870 983
Provision for bad debt 2483 2785 2273 1069 1414
Gain on conversion of Series E units to Series D units (11463) - - (11463) -
Remeasurement of Series E units - 0 (3981) 2057 - - -
Remeasurement of preferred shares 450 (700) 1810 - 300 150
Equity in net income of unconsolidated ventures 261 273 - 232 29
Net loss on sale impairment of single-family properties 8 - (60) 68
Net gain on sale of non-performing loans (1656) -
Other changes in operating assets and liabilities
Rent and other receivables (6977) (5305) 3339 (3277) (3700)
Restricted cash for resident security deposits (12394) (9223) (26430) (13170) 776
Prepaid expenses and other assets 3807 2546 (16238) 659 3148
Deferred leasing costs (4080) (5421) (9710) (1929) (2151)
Accounts payable and accrued expenses 12071 6267 13543 (4011) 16082
Resident security deposit liability 12370 9223 26430 (4155) 13170 (800)
Amounts payable to affiliates (5250) 6211 (22239) (4946) (304)
Net cash provided by operating activities 149383 103827 28021 55403 93980
Investing activities
Cash paid for single-family properties (61966) (438689) (2011977) (34181) (27785)
Escrow deposits for purchase of single-family properties (330) (3113) (13740) (467) 137
Increase in other restricted cash (799) (8416) - 1891 (2690)
Cash acquired in ARPI merger 15499 - 33099 15499 -
Payoff of credit facility assumed in ARPI merger (350000) - (350000) -
Net proceeds received from sales of single-family properties 15493 - 8844 7582 7911
Net proceeds received from sales of non-performing loans 16405 -
Purchase of commercial office building (20056) -
Investment in unconsolidated joint ventures - 0 (10003) - - -
Purchase of outside interests in RJ joint ventures - 0 - - - -
Distributions from unconsolidated joint venture - 0 - 3431 - -
Investments in mortgage financing receivables - 0 (7731) - - -
Distributions from unconsolidated joint ventures net 5770 - - 5770
Renovations to single-family properties (17529) (93655) (382070) (12118) (5411)
Other capital expenditures for single-family properties (12675) (15925) - (4526) (8149)
Net cash used for investing activities (410188) (577532) (2362413) (376320) (33868)
Financing activities
Net proceeds from issuance of Class A common shares 2 - 1548280 1 1
Net proceeds from issuance of perpetual preferred shares 482726 - 212596 - 482726
Proceeds from exercise of stock options 1682 - - 337 1345
Repurchase of Class A common shares (96098) - - (76045) (20053)
Redemptions of Class A units (291) - (291) -
Proceeds from asset-backed securitizations - 0 552830 - - -
Payments on asset-backed securitizations (12762) (8557) - (6381) (6381)
Proceeds from credit facility 626000 628000 1425000 521000 105000
Payments on credit facility (484000) (658000) (1050000) (83000) (401000)
Payments on secured note payable (457) (444) - (230) (227)
Distributions to noncontrolling interests (5905) (12108) (11829) (2991) (2914)
Distributions to common shareholders (24038) (21148) - (12122) (11916)
Distributions to preferred shareholders (12981) (11138) (1160) (5569) (7412)
Deferred financing costs paid (390) (13860) (11314) (40) (350)
Net cash provided by financing activities 473488 455575 2111573 334669 138819
Net increase in cash and cash equivalents 212683 (18130) (222819) 13752 198931
Cash and cash equivalents beginning of period 57686 108787 397198 57686 71438
Cash and cash equivalents end of period 270369 $ 90657 $ 174379 $ - $ 71438 270369
American Homes 4 Rent
Condensed Consolidated Statements of Cash Flows Continued
(Amounts in thousands)
(Unaudited)
0
For the Six Months Ended June 30
2016 2015
For the Six Months Ended June 30
2016 2015 2013
Supplemental cash flow information
Cash payments for interest (58865) $ (33431) $ (5473)
Supplemental schedule of noncash investing and financing activities
Accounts payable and accrued expenses related to property acquisitions (1345) $ (344) $ 24589
Accounts payable and accrued expenses related to deferred financing costs - 0 $ - $ - $ 833
Amounts payable to affiliates related to property acquisitions - 0 $ - $ (244)
Accrued distribution to Series C convertible units - 0 $ 4698 $ 5387
Accrued distribution to common shareholders - 0 $ - $ - $ 9274
Contribution of properties (see Note 10)
Single-family properties including related assets and liabilities - 0 $ - $ 32229
Additional paid-in capital - 0 $ - $ (384255)
Due from affiliates - 0 $ - $ (2508)
Issuance of Series C convertible units to noncontrolling interest - 0 $ - $ 391701
Issuance of Class B common shares - 0 $ - $ 7993
Issuance of Class A units - 0 $ - $ -
Acquistions for equity (See Note 11)
Single-family properties - 0 $ - $ 966571
Cash and cash equivalents - 0 $ - $ 33099
Other net assets and liabilities - 0 $ - $ (36760)
Deferred costs and other intangibles - 0 $ - $ 133195
Class A common shares - 0 $ - $ (436)
Additional paid-in capital - 0 $ - $ (703856)
Issuance of Class A units to noncontrolling interest - 0 $ - $ (221934)
Issuance of Series D units to noncontrolling interest - 0 $ - $ (65188)
Contingently convertible Series E units liability - 0 $ - $ (64881)
Noncontrolling interest in consolidated subsidiaries - 0 $ - $ (39321)
Merger with ARPI (see Note 10)
Single-family properties 1277253 $ -
Cash and cash equivalents 15499 $ -
Restricted cash 9521 $ -
Rent and other receivables net 843 $ -
Escrow deposits prepaid expenses and other assets 35134 $ -
Deferred costs and other intangibles net 22696 $ -
Credit facility (350000) $ -
Asset-backed securitization (329703) $ -
Exchangeable senior notes net (112298) $ -
Accounts payable and accrued expenses (38485) $ -
Class A common shares and units issued (530460) $ -
radic
American Homes 4 Rent
Consolidated Statements of Members Equity
(in thousands)
Class A common shares Class B common shares Preferred shares
Additional Accumulated other
Number Number Number paid-in Accumulated comprehensive Shareholders Noncontrolling Total
of shares Amount of shares Amount of shares Amount capital deficit loss equity interest equity
Balances at December 31 2015 207235510 $ 2072 635075 $ 6 17060000 $ 171 $ 3554063 $ (296865) $ (102) $ 3259345 $ 675888 $ 3935233
Share-based compensation - - - - - - 1853 - - 1853 - 1853
Common stock issued under
share-based compensation
plans net of shares withheld
for employee taxes 123628 2 - - - - 1545
Valerie Ware Valerie WareSee APIC GL Detail in Equity folder
- - 1547 - 1547
Issuance of Class A common
shares and units in connection
with the Merger 36546170 365 - - - - 511281
Whitney Skaff Whitney SkaffSee APIC GL Detail in Equity folder
- - 511646 18814 530460
Issuance of perpetual preferred
shares net of offering
costs of $15996 - - - - 19950000 199 482527 - - 482726 - 482726
Redemptions of Class A units 40632 - - - - - 540 - - 540 (831) (291)
Repurchase of Class A common
shares (6215656) (62) - - - - (96036) - - (96098) - (96098)
Assumption of exchangeable
senior notes - - - - - - 6970 - - 6970 - 6970
Conversion of Series E units
to Series D units - - - - - - - - - - 58494 58494
Distributions to equity holders
Preferred shares - - - - - - - (12981) - (12981) - (12981)
Noncontrolling interests - - - - - - - - - (5905) (5905)
Common shares - - - - - - - (24038) - (24038) - (24038)
Net (loss) income - - - - - - - (1800) - (1800) 3075 1275
Total other comprehensive income - - - - - - - - 102 102 - 102
Balances at June 30 2016 237730284 $ 2377 635075 $ 6 37010000 $ 370 $ 4462743 $ (335684) $ - $ 4129812 $ 749535 $ 4879347
radic Check figures
237730284 2377 635075 6 37010000 370 4462743 (335684) - 4129812 749535 4879347
- - - - - - - - - - - -
American Homes 4 Rent
Draft Consolidated Statements of Comprehensive Income
(in thousands)
For the Three Months Ended For the Six Months Ended For the Three Months Ended
June 30 June 30 March 31
2016 2015 2016 2015 2013 Q414 Check Variance 2016 2015
Net (loss) income $ (3753) $ (8398) $ 1275 $ (16663) $ (19066) (3753) - 0 5028 (8265)
Other comprehensive income - 0 - 0
Unrealized gain on interest rate cap agreement - 0 - 0
Unrealized interest rate cap agreement gain arising during the period - 30 - 30 - - 0 - 0 - -
Reclassification adjustment for amortization of interest expense included in net (loss) income 62 - 102 - ERRORREF ERRORREF 40 -
Unrealized gain on interest rate cap agreement 62 30 102 30 - 62 - 0 40 -
- 0 - 0
Other comprehensive income 62 30 102 30 - 62 - 0 40 -
Comprehensive (loss) income (3691) (8368) 1377 (16633) (19066) (3691) - 0 5068 (8265)
Comprehensive (loss) income attributable to noncontrolling interests (778) 3728 3058 7684 13245 (778) - 0 3836 3956
Dividends on preferred shares 7412 5569 12981 11138 1160 7412 - 0 5569 5569
Conversion of preferred shares - - - - 10456 - 0 - 0 - - 0
Comprehensive loss attributable to common shareholders $ (10325) $ (17665) $ (14662) $ (35455) $ (43927) (10325) - 0 (4337) (17790)
radic
American Homes 4 Rent
Draft Consolidated Statements of Operations
(in thousands)
For the Three Months Ended For the Six Months Ended For the Three Months Ended
June 30 June 30 March 31
2016 2015 2016 2015 2013 2016 2015
(Unaudited) (Unaudited) (Unaudited) (Unaudited)
Revenues
Rents from single-family properties $ 193491 $ 137818 $ 361486 $ 258498 $ 132722 $ 167995 $ 120680
Fees from single-family properties 2724 2204 4921 3535 3639 2197 1331
Tenant charge-backs 20253 11962 41269 20334 1588 21016 8372
Other 4504 1644 8489 3009 1083 3985 1365
Total revenues 220972 153628 416165 285376 139032 438 458 195193 131748
442 470 445
Expenses
Property operating expenses 95585 71439 180586 130647 443 463 85001 59208
General and administrative expense 7346 6276 15403 12407 8845 075 076 8057 6131
Advisory fees - - - - 6352 - -
Interest expense 35481 22003 66458 37673 370 30977 15670
Noncash share-based compensation expense 983 734 1853 1430 1079 870 696
Acquisition fees and costs expensed 3489 4236 9142 10144 4799 5653 5908
Depreciation and amortization 79604 59221 149121 112885 70987 69517 53664
Other 2087 840 3340 1534 1253 694
Total expenses 224575 164749 425903 306720 92432 201328 141971
Gain on remeasurement of equity method investment - - - - 10945 - -
Gain on conversion of Series E units - - 11463 - 11463 -
Remeasurement of Series E units - 2143 - 3981 (2057) - 1838
Remeasurement of preferred shares (150) 580 (450) 700 (1810) (300) 120
Net (loss) income (3753) (8398) 1275 (16663) 53678 5028 (8265)
Discontinued operations
Gain on disposition of single-family properties - - - - 904 - -
Income from discontinued operations - - - - 104 - -
Income from discontinued operations - - - - 1008 - -
Net loss (3753) (8398) 1275 (16663) (19066) 5028 (8265)
Noncontrolling interest (761) 3730 3075 7686 13245 3836 3956
Dividends on preferred shares 7412 5569 12981 11138 1160 5569 5569
Conversion of preferred units - - - - 10456 - -
Net loss attributable to common shareholders $ (10404) $ (17697) $ (14781) $ (35487) $ (43927) $ (4377) $ (17790)
Weighted-average shares outstandingndashbasic and diluted 238481265 211487164 228819566 211484461 123592086 219157870 211481727
Net loss per share - basic and diluted
Loss from continuing operations $ (004) $ (008) $ (006) $ (017) $ (037) (0) (0)
Income from discontinued operations - - - - $ 001 - -
Net loss attributable to common shareholders
per sharendashbasic and diluted $ (004) $ (008) $ (006) $ (017) $ (036) $ (002) $ (008)
radic
120883 $ 80545 227090 $ 151720
5584 5300 5570 5373
American Homes 4 Rent
Draft Consolidated Balance Sheets
(in thousands)
June 30 2016 December 31 2015
(Unaudited)
Assets
Single-family properties
Land $ 1475312 $ 1229017
Buildings and improvements 6450233 5469533
Single-family properties held for sale 131762 7432
8057307 6705982
Less accumulated depreciation (535648) (416044)
Single-family properties net 7521659 6289938
Cash and cash equivalents 270369 57686
Restricted cash 133996 111282
Rent and other receivables net 19280 13936
Escrow deposits prepaid expenses and other assets 144376 121627
Deferred costs and other intangibles net 16399 10429
Asset-backed securitization certificates 25666 25666
Goodwill 120655 120655
Total assets $ 8252400 $ 6751219
Liabilities
Credit facility $ 142000 $ -
Asset-backed securitizations net 2795777 2473643
Exchangeable senior notes net 106434 -
Secured note payable 50295 50752
Accounts payable and accrued expenses 215307 154751
Amounts payable to affiliates - 4093
Contingently convertible Series E units liability - 69957
Preferred shares derivative liability 63240 62790 -
Total liabilities 3373053 2815986
Commitments and contingencies
Equity
Shareholders equity
Class A common shares $001 par value per share 450000000 shares
authorized 237730284 and 207235510 shares issued and outstanding
at June 30 2016 and December 31 2015 respectively 2377 2072
Class B common shares $001 par value per share 50000000 shares authorized
635075 shares issued and outstanding at June 30 2016 and December 31 2015 6 6
Preferred shares $001 par value per share 100000000 shares authorized 37010000 and
17060000 shares issued and outstanding at June 30 2016 and December 31 2015 370 171
Additional paid-in capital 4462743 3554063
Accumulated deficit (335684) (296865)
Accumulated other comprehensive loss - (102)
Total shareholders equity 4129812 3259345
Noncontrolling interest 749535 675888
Total equity 4879347 3935233
Total liabilities and equity $ 8252400 $ 6751219
radic $ - $ -
American Homes 4 Rent
Quarterly Balance Sheet
(in thousands)
123112 33113 63013 93013 123113 33114 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 ARP Beg Bal 3116 Mar 312016 Jun 302016
Assets
Single-family properties
Land $ 96139 $ 223730 $ 580433 $ 668336 $ 728362 $ 797079 $ 847564 $ 982959 $ 1104409 $ 1166186 $ 1192335 $ 1218547 $ 1229017 $ 262396 $ 1474902 $ 1475312
Buildings and improvements 411706 902150 2472921 2896559 3188693 3507526 3758122 4296874 4808706 5117269 5263599 5401857 5469533 1014858 6434859 6450233
Single-family properties held for sale - - - - 6569 6226 5012 5574 3818 5428 6387 6472 7432 - 123575 131762
507845 1125880 3053354 3564895 3923624 4310831 4610698 5285407 5916933 6288883 6462321 6626876 6705982 1277253 8033336 8057307
Less accumulated depreciation (2132) (5037) (13850) (34773) (62202) (92177) (126904) (167664) (206262) (251528) (300173) (359412) (416044) - (472147) (535648)
Single-family properties net 505713 1120843 3039504 3530122 3861422 4218654 4483794 5117743 5710671 6037355 6162148 6267464 6289938 1277253 7561189 7521659
Cash and cash equivalents 397198 519410 251406 158065 148989 103249 239075 103939 108787 115693 90657 238417 57686 15499 71438 270369
Restricted cash - - 13572 21282 26430 32586 46912 59212 77198 86446 94837 106973 111282 9521 132082 133996
Rent and other receivables net 6586 8808 7644 6758 6863 6180 5646 5637 11009 11289 12184 17527 13936 843 16998 19280
Escrow deposits prepaid expenses and other assets 11961 29200 27936 23861 39212 24081 56110 60685 118783 114179 118516 118444 121627 35134 142828 144376
Deferred costs and other intangibles net - - 21978 24518 20573 18628 30365 42807 54582 14795 13374 12227 10429 22696 26854 16399
Asset-backed securitization certificates - - - 25666 25666 25666 25666 25666 25666 - 25666 25666
Goodwill 120655 120655 120655 120655 120655 120655 120655 120655 120655 - 120655 120655
Total assets $ 921458 $ 1678261 $ 3362040 $ 3764606 $ 4224144 $ 4524033 $ 4982557 $ 5536344 $ 6227351 $ 6526078 $ 6638037 $ 6907373 $ 6751219 $ 1360946 $ 8097710 $ 8252400
Liabilities
Credit facility $ - $ - $ 670000 $ 238000 $ 375000 $ 671000 $ 481000 $ 82000 $ 207000 $ 45000 $ 177000 $ - $ - $ 350000 $ 438000 $ 142000
Asset-backed securitizations net - - 480970 993058 1519390 2017917 2014738 2477749 2473643 329703 2799267 2795777
Exchangeable senior notes net - - - - 105328 105618 106434
Secured note payable - - - - 51644 51417 51200 50980 50752 - 50522 50295
Accounts payable and accrued expenses 11282 33970 75318 91637 103397 112583 117486 135789 149706 141382 158037 234651 154751 38485 200946 215307
Amounts payable to affiliates 5012 15828 21160 1012 - 6799 6598 10170 - 2609 1863 - 4093 - - -
Contingently convertible Series E units liability - - 64881 65319 66938 69694 74638 71050 72057 70219 68076 68601 69957 - - -
Preferred shares derivative liability - - - - 28150 29849 55670 57420 57960 57840 57260 60260 62790 - 63090 63240
Total liabilities 16294 49798 831359 395968 573485 889925 1216362 1349487 2057757 2386384 2528174 2892241 2815986 823516 3657443 3373053
Commitments and contingencies
Equity
Shareholders equity
Class A common shares 387 854 1294 1848 1848 1848 1848 2108 2108 2108 2108 2074 2072 365 2389 2377
Class B common shares - 6 6 6 6 6 6 6 6 6 6 6 6 - 6 6
Preferred shares - - - - 91 95 171 171 171 171 171 171 171 - 171 370
Additional paid-in capital 914565 1261141 1965413 2809829 2996478 3004928 3160486 3614428 3618207 3618769 3619503 3566892 3554063 518251 3997747 4462743
Accumulated deficit (63479) (86430) (107956) (140277) (170162) (198526) (226797) (265988) (296865) - (313364) (335684) (165522)
Accumulated other comprehensive loss (10278) (18030) (32027) (39686) - - (212) (196) (229) (229) (199) (148) (102) - (62) -
Total shareholders equity 904674 1243971 1934686 2771997 2934944 2920447 3054343 3476240 3450101 3422299 3394792 3303007 3259345 518617 3686887 4129812
Noncontrolling interest 490 384492 716650 717296 715715 713661 711852 710617 719493 717395 715071 712125 675888 18814 753380 749535
Total equity 905164 1628463 2651336 3489293 3650659 3634108 3766195 4186857 4169594 4139694 4109863 4015132 3935233 537430 4440267 4879347
Total liabilities and equity $ 921458 $ 1678261 $ 3482695 $ 3885261 $ 4224144 $ 4524033 $ 4982557 $ 5536344 $ 6227351 $ 6526078 $ 6638037 $ 6907373 $ 6751219 $ 1360946 $ 8097710 $ 8252400
radic - - (120655) (120655) - - - - - - - - - 0 - -
American Homes 4 Rent
Quarterly Metrics
($ in thousands)
For the Three Months Ended
Dec 312012 Mar 312013 Jun 302013 Sep 302013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016 Q2 v Q4 Q2 v PY
Quarterly Consolidated Statements of Operations
Revenues
Rents from single-family properties $ 6495 $ 17020 $ 47364 $ 61843 $ 73761 $ 88871 $ 104210 $ 109543 $ 120680 $ 137818 $ 148815 $ 152406 $ 167995 $ 193491 -
Fees from single-family properties 64 690 1476 1409 1358 1889 1529 1192 1331 2204 2146 1965 2197 2724 -
Tenant charge-backs - 47 323 1218 1890 3138 4282 5621 8372 11962 19881 16331 21016 20253 - 268
Other - 363 300 420 269 406 372 543 1365 1644 1771 1885 3985 4504 -
Total revenues 6559 18120 49463 64890 77278 94304 110393 116899 131748 153628 172613 172587 195193 220972 280 438
Expenses
Leased single-family properties
Property operating expenses 2503 6416 14204 19897 23811 30217 40651 38338 43518 55651 70398 62014 69304 -
Property management expenses - 443 3375 4573 5455 7082 9932 9988 10412 12172 13284 13458 15310 -
2503 6859 17579 24470 29266 37299 50583 48326 53930 67823 83682 75472 84614 - ERRORREF
Vacant single-family properties and other
Property operating expenses 1729 3063 3006 3460 4380 2275 1836 1886 2669 1629 475 246 - -
Property management expenses - 1328 4867 4676 4127 3249 1723 1698 2609 1987 895 738 387 -
Casualty loss on freeze damages - - - - 375 - - - - - - - - -
American Mortgage Investment Partners expenses - - - 212 161 318 326 545 - - - - - -
1729 4391 7873 8348 9043 5842 3885 4129 5278 3616 1370 984 387 - ERRORREF
Property operating expenses 59208 71439 85052 76456 85001 95585
General and administrative expense 1625 811 2742 3667 5074 5703 5291 5879 6131 6276 6090 6409 8057 7346 - 146
Advisory fees 2742 3610 - - - - - - - - - - - -
Interest expense 370 - - - 1502 3888 5112 9379 15670 22003 23866 27874 30977 35481 -
Noncash share-based compensation expense 174 279 153 473 532 612 751 691 696 734 913 782 870 983 -
Equity in income from unconsolidated JV - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - 0 - - - - ERRORREF
Acquisition fees and costs expensed 1390 2099 496 814 452 919 14550 6465 5908 4236 4153 5280 5653 3489 -
Depreciation and amortization 2905 10879 24043 33160 35131 38325 44855 47205 53664 59221 67800 62163 69517 79604 -
Other 694 840 1152 1084 1253 2087
Total expenses 13438 28928 52886 70932 81000 92588 125027 122074 141971 164749 189026 180048 201328 224575 -
Gain on remeasurement of equity method investment - 10945 - - - - - - - - - - - - -
Gain on conversion of Series E units - - - - 11463 -
Remeasurement of Series E units - - (438) (1619) (2756) (4944) 3588 (1007) 1838 2143 (525) (1356) - - -
Remeasurement of preferred shares - - - (1810) (457) (141) (1750) (3810) 120 580 (3000) (2530) (300) (150) -
Net (loss) income (6879) 137 (3861) (9471) (6935) (3369) (12796) (9992) (8265) (8398) (19938) (11347) 5028 (3753) -
Discontinued operations
Gain on disposition of single-family properties $ - $ 904 $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - $ - -
Income from discontinued operations 22 82 - - - - - - - - - - - - -
Total income from discontinued operations 22 986 - - - - - - - - - - - - -
Net loss (6857) 1123 (3861) (9471) (6935) (3369) (12796) (9992) (8265) (8398) (19938) (11347) 5028 (3753) - -707 -604
Noncontrolling interest $ 895 4664 3798 3888 3620 4212 3382 3751 3956 3730 3109 3558 3836 (761) -
Dividends on preferred shares - - - 1160 3121 4669 5569 5569 5569 5569 5569 5569 5569 7412 -
Conversion of preferred units - 10456 - - - - - - 0 - 0 - 0 - 0 - 0 - 0 - 0 -
Net loss attributable to common shareholders $ (7752) $ (13997) $ (7659) $ (14519) $ (13676) $ (12250) $ (21747) $ (19312) $ (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404) -
American Homes 4 Rent
Quarterly Operating Statements and Metrics
($ in thousands)
For the Three Months Ended
Mar 312013 Jun 302013 Sep 302013 Dec 312013 Mar 312014 Jun 302014 Sep 302014 Dec 312014 Mar 312015 Jun 302015 Sep 302015 Dec 312015 Mar 312016 Jun 302016
Financial Metrics
Core net operating income $ 4056 $ 10898 $ 31584 $ 40000 $ 47743 $ 56599 $ 59438 $ 68030 $ 76453 $ 84161 $ 87160 $ 95230 $ 106207 $ 120883 269 436
Net operating income margin 618 614 642 620 620 603 540 585 586 554 510 558 555 558
Core net operating income margin 619 619 652 650 648 630 573 621 633 608 586 621 628 621
GampA as of total revenues 47 41 35 37 41 33
Annualized GampA as of total assets 104 051 028 035 045 046 038 038 037 038 035 038 040 036
Adjusted EBITDA 65715 75073 80319 88638 100882 115954
Leased PM expenses as of rents amp fees from single-family properties 78 94 90 85 87 88 87
Vacant PM expenses as of rents amp fees from single-family properties 36 16 15 21 14 06 05
Total PM expenses as of rents amp fees from single-family properties 114 110 106 107 101 94 92
Portfolio Data - at end of period
Occupied single-family properties 30185 34293 35232 35958 43907 44021
Executed leases for future occupancy 998 610 385 445 548 708
Total leased single-family properties 31183 34903 35617 36403 44455 44729
Single-family properties in acquisition process 371 184 149 151 109 65
Single-family properties being renovated 1492 502 661 325 211 118
Single-family properties being prepared for re-lease 838 355 283 178 136 177
Vacant single-family properties available for re-lease 1008 1116 1389 1432 1242 1333
Vacant single-family properties available for initial lease 1661 387 232 246 221 34
Total single-family properties 36553 37447 38331 38735 46374 46456
Single-family properties held for sale 35 44 46 45 1581 1582
Total single-family properties and held for sale 36588 37491 38377 38780 47955 48038
Total leased percentage 853 932 929 940 959 963
Total occupancy percentage 826 916 919 928 947 948
Same-Home leased percentage 959 956 948 953 969 970
Same-Home occupancy percentage 944 943 938 943 958 955
Funds from Operations
Net loss attributable to common shareholders (7752) (13997) (7659) (14519) (13676) (12250) (21747) (19312) (17790) $ (17697) $ (28616) $ (20474) $ (4377) $ (10404)
Adjustments
Noncontrolling interests in the Operating Partnership 895 4662 4028 3718 3715 4140 3583 3791 3869 3861 3123 3657 3912 (616)
Net (gain) loss on sale impairment of single-family properties - - - - (60) 68
Depreciation and amortization of real estate assets 2905 10581 23211 31702 33827 36793 43153 45513 51204 56866 66218 60714 68162 78216
Funds from operations $ (3952) $ 1246 $ 19580 $ 20901 $ 23866 $ 28683 $ 24989 $ 29992 $ 37283 $ 43030 $ 40725 $ 43897 $ 67637 $ 67264 $ -
Adjustments
Acquisition fees and costs expensed 1390 2099 496 814 452 919 14550 6465 5908 4236 4153 5280 5653 3489
Noncash share-based compensation expense 174 279 153 473 532 612 751 691 696 734 913 782 870 983
Gain on remeasurement of equity method investment - (10945) - - - - - - - - - - -
- - - - -
Noncash interest expense on related to acquired debt - - - - 576 1649
Gain on conversion of Series E units - - - - (11463) -
Remeasurement of Series E units - - 438 1619 2756 4944 (3588) 1007 (1838) (2143) 525 1356 - -
Remeasurement of preferred shares - - - 1810 457 141 1750 3810 (120) (580) 3000 2530 300 150
Conversion of preferred units - 10456 - - - - - - - - - - - -
- - - - -
Core funds from operations $ (2388) $ 3135 $ 20667 $ 25617 $ 28063 $ 35299 $ 38452 $ 41965 $ 41929 $ 45277 $ 49316 $ 53845 $ 63573 $ 73535 $ - 366 754
Recurring capital expenditures (7785) (10200) (8495) (5799) (6017) (8755)
Leasing costs (2410) (3011) (2312) (1844) (1929) (2151)
Adjusted funds from operations $ 31734 $ 32066 $ 38509 $ 46202 $ 55627 $ 62629
FFO per weighted average FFO share $ (007) $ 001 $ 009 $ 009 $ 010 $ 012 $ 010 $ 011 $ 014 $ 016 $ 015 $ 017 $ 025 $ 023
Core FFO per weighted average FFO share $ (004) $ 002 $ 010 $ 011 $ 012 $ 015 $ 015 $ 016 $ 016 $ 017 $ 019 $ 021 $ 023 $ 025
Adjusted FFO per weighted average FFO share $ 012 $ 012 $ 014 $ 018 $ 020 $ 021
Quarter-weighted average shares OS 48233982 95971706 162725150 185499066 185504294 185515651 202547677 211473906 211481727 211487164 211414368 208045996 219157870 238481265
Class A units 32668 2891133 13787292 13787292 13787292 13787292 13787292 14440670 14440670 14440670 14440670 14440670 26177307 46812904
Common shares and units 48266650 98862839 176512442 199286358 199291586 199302943 216334969 225914576 225922397 225927834 225855038 222486666 245335177 285294169
Series C units 10827699 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 31085974 19813038 -
Series D units - 972222 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 5913462 8750000
Series E units - 972222 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 4375000 2836538 -
FFO shares 59094349 131893257 216348416 239122332 239127560 239138917 256170943 265750550 265758371 265763808 265691012 262322640 273898215 294044169
Analyst Estimates (1)
Core FFO Revenues EBITDA Rating
BAML 024 213550 69380 Buy
FBR 021 215750 67060 Outperform
Goldman Sachs 022 205440 na Neutral
JP Morgan 023 227000 na Neutral
KBW 020 225700 na Market Perform
Morgan Stanley 023 na na Overweight
Raymond James 023 220000 na Strong buy
Wells Fargo 025 220270 72630 Market Perform
Zelman amp Associates 022 212950 na Hold
Average 023 217583 69690
Actual 025 220972 213626
Variance 002 3390 143936
Surprise 887 156 20654
(1) Analyst estimates provided by Thomson First Call
radic
Detail of Vacant property management expenses 93013 123113 33114 63014 93014 123114 33115 63015 93015 123115 33116 63016
Property management expenses - 1328 4399 3864 3482 2880 1146 1631 2346 1721 487 420 387 ERRORREF
3rd party PM termination - - 468 583 509 211 209
Valerie Ware Valerie WareTB Acct 6104200
- - - - - - -
Casualty loss on fire damage - - - 165 - - - - - - - - - -
Impairment of single-family properties - - - 965 136 158 368 67 263 266 408 318 - ERRORREF
Management internalization true-up - - - (901) - - - - - - - - - -
- 1328 4867 4676 4127 3249 1723 1698 2609 1987 895 738 387 -
American Homes 4 Rent
Draft Consolidated Statements of Operations
(in thousands)
Fluctuation Analysis For the Three Months Ended
For the Six Months Ended For the Three Months Ended
June 30 2016 June 30 2015 Change Change June 30 2016 June 30 2015 Change Change June 30 2016 March 31 2016 Change Change Notes
Revenues
Rents from single-family properties $ 193491 $ 137818 $ 55673 404 $ 361486 $ 258498 $ 102988 398 $ 193491 $ 167995 $ 25496 152 Average number of leased properties increased to 44592 properties for the second quarter of 2016 from 33043 properties for the second quarter of 2015 roughly a 350 increase which is consistent with the actual increase in rent revenue for the second quarter of 2016 compared to the second quarter of 2015 Average number of leased properties increased to 44592 properties for the second quarter of 2016 from 40429 properties for the first quarter of 2016 roughly a 103 increase which is consistent with the actual increased rent revenue for the second quarter of 2016 compared to the first quarter of 2016
Fees from single-family properties 2724 2204 520 236 4921 3535 1386 392 2724 2197 527 240
Tenant charge-backs 20253 11962 8291 693 41269 20334 20935 1030 20253 21016 (763) -36 Q216 vs Q215 QTD and YTD increases in tenant charge-backs is expected as more properties were leased during Q2 2016 than during Q2 2015 Decrease in tenant charge-backs in Q2 2016 compared to Q1 2016 is primarily related to lower accrued gas utiligy charge-backs
Other 4504 1644 2860 1740 8489 3009 5480 1821 4504 3985 519 130
Total revenues 220972 153628 67344 438 416165 285376 130789 458 220972 195193 25779 132
Expenses
Property operating expenses 95585 71439 24146 338 180586 130647 49939 382 95585 85001 10584 125 Main driver of property operating expense increases was the addition of ARP properties in March 2016 and higher property taxes As a percentage of revenues from single-family properties total property operating expenses were approximately 440 vs 470 for the three months ended 63016 and 63015 respectively and approximately 442 vs 463 for the six months ended 63016 and 63015 respectively The increase in opex is primarily due to increased property tax expense and property management expenses As a percentage of revenues from single-family properties total property operating expenses were approximately 440 vs 445 for the three months ended 63016 and 33116 respectively The increase in opex is due to increased property tax expense RampM and turnover costs and property management expenses
General and administrative expense 7346 6276 1070 170 15403 12407 2996 241 7346 8057 (711) -88 Q2 2016 over Q2 2015 QTD increase is primarily attributable to $05M higher state taxes $03M higher Cloud servicing costs and $01M increase in professional fees Q2 2016 over Q2 2015 YTD increase is primarily attributable to $11M higher state taxes $06M higher Cloud servicing costs $04M increase in tempconsulting services $03M increase in professional fees $02M increase in software licensing costs and $02M higher legal costs Q2 2016 over Q1 2016 decrease is primarily attributable to $6175M decrease in auditlegal costs and $912M lower state taxes
Advisory fees - - - 0 00 - - - 0 00 - - - 0 00
Interest expense 35481 22003 13478 613 66458 37673 28785 764 35481 30977 4504 145 Increase in interest expense during Q2 2016 v Q1 2016 is related to the assumption of an asset-backed securitization and exchangeable senior notes in the ARPI merger Increase in interest expense during Q2 2016 v Q2 2015 QTD and YTD is related to the completion of our fifth securitization in September 2015 and the assumption of an asset-backed securitization and exchangeable senior notes in the ARPI merger
Noncash share-based compensation expense 983 734 249 339 1853 1430 423 296 983 870 113 130 Increase due to additional stock options granted and RSUs awarded during 2016
Acquisition fees and costs expensed 3489 4236 (747) -176 9142 10144 (1002) -99 3489 5653 (2164) -383 Decrease during Q2 2016 v Q2 2015 QTD and YTD primarily related to lower internal construction and acquisition costs partially offset by increased ARPI merger costs and AMIP costs Decrease during Q2 2016 v Q1 2016 primarily related to decreased ARPI merger costs and lower AMIP costs
Depreciation and amortization 79604 59221 20383 344 149121 112885 36236 321 79604 69517 10087 145 Refer to depreciation reasonableness analysis
Other 2087 840 1247 1485 3340 1534 1806 1177 2087 1253 834 666
Total expenses 224575 164749 59826 363 425903 306720 119183 389 224575 201328 23247 115
Gain on remeasurement of equity method investment - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Gain on conversion of Series E units - - - 0 00 11463 - 11463 1000 - 11463 (11463) 1000 A gain was realized on the conversion of Series E units to Series D units during Q1 2016
Remeasurement of Series E units - 2143 (2143) -1000 - 0 3981 (3981) -1000 - - - 0 00
Remeasurement of preferred shares (150) 580 (730) -1259 (450) 700 (1150) -1643 (150) (300) 150 -500
Net (loss) income (3753) (8398) 4645 -553 1275 (16663) 17938 -1077 (3753) 5028 (8781) -1746
Discontinued operations
Gain on disposition of single-family properties - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Income from discontinued operations - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Total income from discontinued operations - - - 0 00 - - - 0 ERRORDIV0 - - - 0 00
Net loss (3753) (8398) 4645 -553 1275 (16663) 17938 -1077 (3753) 5028 (8781) -1746
- 0
Noncontrolling interest (761) 3730 (4491) -1204 3075 7686 (4611) -600 (761) 3836 (4597) -1198 See noncontrolling interest rollforward
Dividends on preferred shares 7412 5569 1843 331 12981 11138 1843 165 7412 5569 1843 331 New Series D PS began receiving dividends Q2 2016
Conversion of preferred units - - - 0 - - - - 0 ERRORDIV0 - - - 0
Net loss attributable to common shareholders $ (10404) $ (17697) $ 7293 -412 $ (14781) $ (35487) $ 20706 -583 $ (10404) $ (4377) $ (6027) 1377
Weighted average shares outstanding - basic and diluted 238481265 211487164 228819566 211484461 238481265 219157870
Net loss attributable to common shareholders
per share - basic and diluted $ (004) $ (008) $ (006) $ (017) $ (004) $ (002)
- - - - - -
radic
$ 100630 $ 68583 $ 185821 $ 131386 $ 100630 $ 85191
5129 5580 5071 5014 5129 5580
American Homes 4 Rent
Draft Consolidated Balance Sheets
Fluctuation Analysis
(in thousands)
June 30 2016 March 31 2016 $ Change Change June 30 2016 December 31 2015 $ Change Change June 30 2016 June 30 2015 $ Change Change Notes
Assets
Single-family properties
Land $ 1475312 $ 1474902 $ 410 00 $ 1475312 $ 1229017 $ 246295 200 $ 1475312 $ 1192335 $ 282977 237 Total property count increased to 48038 as of 63016 from 37491 as of 63015 representing a 281 increase which is primarily related to the ARPI merger and is consistent with the actual increase in single-family homes net Total property count increased to 48038 as of 63016 from 38780 as of 123115 representing a 239 increase which is primarily related to the ARPI merger and is consistent with the actual increase in single family homes net Total property count increased to 48038 as of 63016 from 47955 as of 33116 representing a 00 increase which is consistent with the actual increase in single family homes net
Buildings and improvements 6450233 6434859 15374 02 6450233 5469533 980700 179 6450233 5263599 1186634 225 See above
Single-family properties held for sale 131762 123575 8187 66 131762 7432 124330 16729 131762 6387 125375 19630
8057307 8033336 23971 03 8057307 6705982 1351325 202 8057307 6462321 1594986 247
Less accumulated depreciation (535648) (472147) (63501) 134 (535648) (416044) (119604) 287 (535648) (300173) (235475) 784 Refer to depreciation reasonableness analysis
Single-family properties net 7521659 7561189 (39530) -05 7521659 6289938 1231721 196 7521659 6162148 1359511 221
Cash and cash equivalents 270369 71438 198931 2785 270369 57686 212683 3687 270369 90657 179712 1982 Refer to statement of cash flows
Restricted cash 133996 132082 1914 14 133996 111282 22714 204 133996 94837 39159 413 Total number of leased properties increased to 44729 as of 63016 from 34903 as of 63015 representing a 282 increase Total number of leased properties increased to 44729 as of 63016 from 36403 as of 123115 representing a 229 increase Total number of leased properties increased to 44729 as of 63016 from 44455 as of 33116 representing a 01 increase
Rent and other receivables net 19280 16998 2282 134 19280 13936 5344 383 19280 12184 7096 582 Increase at 63016 vs 63015 is due to a 282 increase in leased properties from 34903 leased properties at 63015 to 44729 leased properties at 63016 Increase at 63016 vs 123115 is due to a 229 increase in leased properties from 36403 leased properties at 123115 to 44729 leased properties at 63016 Increase at 63016 vs 33116 is primarily due to a $1M decrease in allowance for doubtful accounts
Escrow deposits prepaid expenses and other assets 144376 142828 1548 11 144376 121627 22749 187 144376 118516 25860 218 Increase at 63016 v 33116 is due to a $20M increase in commercial real estate partially offset by a $17M decrease in AMH purchased mortgage loans and purchased mortgage loans assumed in the ARPI merger Increase at 63016 v 123115 is due to a $20M increase in commercial real estate $13M of investments in ARP joint ventures and $11M related to purchased mortgage loans assumed in the ARPI merger partially offset by a $24M decrease in AMH purchased mortgage loans Increase at 63016 v 63015 is due to a $20M increase in commercial real estate $13M of investments in ARP joint ventures $11M related to purchased mortgage loans assumed in the ARPI merger and a $10M additional investment in the Alaska II JV during the second half of 2015 partially offset by a $27M decrease in AMH purchased mortgage loans
Deferred costs and other intangibles net 16399 26854 (10455) -389 16399 10429 5970 572 16399 13374 3025 226 Increase in deferred costs and other intangibles net at 63016 compared to 123115 and 63015 is primarily related to $227M of deferred in-places acquired through the ARPI merger Decrease in deferred costs and other intangibles net at 63016 compared to 33115 is related to $10M of amortization related to deferred in-place leases acquired through the ARPI merger
Asset-backed securitization certificates 25666 25666 - 00 25666 25666 - 00 25666 25666 - 00
Goodwill 120655 120655 - 00 120655 120655 - 00 120655 120655 - 00
Total assets $ 8252400 $ 8097710 $ 154690 19 $ 8252400 $ 6751219 $ 1501181 222 $ 8252400 $ 6638037 $ 1614363 243
Liabilities
Credit facility 142000 $ 438000 $ (296000) -676 $ 142000 $ - $ 142000 1000 $ 142000 $ 177000 $ (35000) -198 During Q1 2016 amounts were borrowed against the credit facility to pay off the credit facility assumed in the ARPI merger During Q2 2016 paydowns were made on the credit facility using proceeds from the Series D preferred share offering
Asset-backed securitizations net 2795777 2799267 (3490) -01 2795777 2473643 322134 130 2795777 $ 2014738 $ 781039 388 63016 v 123115 increase due to the assumption of an asset-backed securitization through the ARPI merger in February 2016 63016 v 63015 increase due to the completion of the fifth securitization in September 2015 and to the assumption of an asset-backed securitization through the ARPI merger in February 2016
Exchangeable senior notes net 106434 105618 816 08 106434 - 106434 1000 106434 $ - $ 106434 1000 Increase at 63016 due to assumption of ARPIs exchangeable senior notes net through the merger
Secured note payable 50295 50522 (227) -04 50295 50752 (457) -09 50295 $ 51200 $ (905) -18
Accounts payable and accrued expenses 215307 $ 200946 $ 14361 71 215307 $ 154751 $ 60556 391 215307 158037 57270 362 Increase at 63016 compared to 123115 was primarily attributable to approximately $39M higher accrued property taxes approximately $17M higher resident security deposits and approximately $6M accrued severance related to the ARPI merger Increase at 63016 compared to 63015 was primarily attributable to approximately $29M more accrued property taxes approximately $18M more in security deposits approximately $6M of accrued severance related to the ARPI merger and approximately $4M more prepaid rent Increase at 63016 compared to 33116 was primarily attributable to approximately $20M more accrued property taxes partially offset by lower accrued liabilities related to lower accrued ARPI legalprofessional fees and fewer EFT transactions
Amounts payable to affiliates - 0 - - 00 - 0 4093 (4093) -1000 - 0 1863 (1863) -1000 Decrease at 63016 compared to 63015 is due to a $12 million net due from affiliates that is included in escrow deposits prepaid expenses and other assets as of 63016 while 63015 had a net payable to affiliates of $19 million included in liabilities Decrease at 63016 compared to 123115 is due to a $12 million net due from affiliates that is included in escrow deposits prepaid expenses and other assets as of 63016 while 123115 had a net payable to affiliates of $41 million included in liabilities
Contingently convertible Series E units liability - 0 - - 00 - 0 69957 (69957) -1000 - 0 68076 (68076) -1000 Series E units were converted into Series D units during Q1 2016 thus the Series E units liability was eliminated
Preferred shares derivative liability 63240 63090 150 02 63240 62790 450 07 63240 57260 5980 104
Total liabilities 3373053 3657443 (284390) -78 3373053 2815986 557067 198 3373053 2528174 844879 334
Commitments and contingencies
Equity
Shareholders equity
Class A common shares $001 par value per share 450000000 shares authorized
237730284 and 207235510 shares issued and outstanding
at June 30 2016 and December 31 2015 respectively 2377 2389 (12) -05 2377 2072 305 147 2377 2108 269 128
Class B common shares $001 par value per share 50000000 shares authorized
635075 shares issued and outstanding
at June 30 2016 and December 31 2015 6 6 - 00 6 6 - 00 6 6 - 00
Preferred shares $001 par value per share 100000000 shares authorized 37010000 and
17060000 issued and outstanding at June 30 2016 and December 31 2015 370 171 199 1164 370 171 199 1164 370 171 199 1164
Additional paid-in capital 4462743 3997747 464996 116 4462743 3554063 908680 256 4462743 3619503 843240 233 Increase in APIC at 63016 from 63015 primarily related to Series D amp E preferred share issuances during Q2 2016 and $5113M of Class A common shares issued in connection with the Merger in Q1 2016 partially offset by $1533M of share repurchases Increase in APIC at 63016 from 123115 primarily related to Series D amp E preferred share issuances during Q2 2016 and $5113M of Class A common shares issued in connection with the Merger in Q1 2016 partially offset by $960M of share repurchases Increase in APIC at 63016 from 33116 primarily related to Series D amp E preferred share issuances during Q2 2016 partially offset by $200M of share repurchases
Accumulated deficit (335684) (313364) (22320) 71 (335684) (296865) (38819) 131 (335684) (226797) (108887) 480 Increase in accumulated deficit at 63016 from 63015 123115 and 33116 is related to PS and CS distributions as well as net loss
Accumulated other comprehensive loss - 0 (62) 62 -1000 - (102) 102 -1000 - (199) 199 -1000
Total shareholders equity 4129812 3686887 442925 120 4129812 3259345 870467 267 4129812 3394792 735020 217
-
Noncontrolling interest 749535 753380 (3845) -05 749535 675888 73647 109 749535 715071 34464 48
Total equity 4879347 4440267 439080 99 4879347 3935233 944114 240 4879347 4109863 769484 187
-
Total liabilities and equity $ 8252400 $ 8097710 $ 154690 19 $ 8252400 $ 6751219 $ 1501181 222 $ 8252400 $ 6638037 $ 1614363 243
- - - - - - -
radic
American Homes 4 Rent
Financial Statement Workbook
Quarter Ended - June 30 2016
Index
Prepared by Reviewed by Reviewer Comments
Financial Statements
Condensed Consolidated Balance Sheets Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Condensed Consolidated Statements of Operations Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Consolidated Statement of Comprehensive Income Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Condensed Consolidated Statements of Equity Go tohellip Whitney Skaff Valerie Solberg Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Condensed Consolidated Statements of Cash Flows Go tohellip Valerie Solberg Daniel Chon Tied prior period balances to prior period FS checked current period formula linkages to respective source worksheet recalculated mathematical accuracy
Financial Statement Worksheets
63016 YTD Financial Statement Worksheet Go to Whitney Skaff Valerie Solberg Tied trial balance column to underlying trial balance tab checked prior period roll-over adjustments to prior period working papers reviewed and confirmed each top-side adjustment to source documentation calculation recalculated mathematical accuracy
63016 YTD Trial Balance Go to Whitney Skaff Valerie Solberg Tied trial balance to final trial balance provided by accounting team recalculated all supporting calculations performed in worksheet margin used via linkages from other tabs
63016 YTD Cash Flow Worksheet Go to Valerie Solberg Daniel Chon Tied prior period balances to prior period financial statements checked current period linkages to respective source worksheet recalculated each number and adjustment within cash flow worksheet
63016 YTD Funds from Operations Go tohellip Valerie Solberg Daniel Chon Recalculated FFO and Core FFO calculation ensured consistency with NAREIT White Paper FFO definition and AMH Core FFO definition compared for reasonableness against internal corporate model expectations
Other Supporting Schedules
Common Shares Log Go tohellip Whitney Skaff Valerie Solberg Checked opening balances against prior period recalculated mathematical accuracy and confirmed current period transactions if any to my knowledge of quarterly business activity and underlying source documentation
OP Units Log Go tohellip Whitney Skaff Valerie Solberg Checked opening balances against prior period recalculated mathematical accuracy and confirmed current period transactions if any to my knowledge of quarterly business activity and underlying source documentation
Diluted AH LLC Ownership Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy
Weighted Average Shares Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy and checked formula linkages to other tabs within workbook
Earnings Per Share Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy and checked formula linkages to other tabs within workbook
Noncontrolling Interest Roll-forward Go tohellip Whitney Skaff Valerie Solberg Checked opening balances against prior period recalculated mathematical accuracy and tied out recalculated current quarter activity
Class A Unit - Weighted Average Units Calculation Go tohellip Whitney Skaff Valerie Solberg Recalculated mathematical accuracy
Management Company Expenses Go tohellip Whitney Skaff Valerie Solberg Tied cost center amounts to underlying source trial balance recalculated mathematical accuracy
REIT GampA Expense Detail Go tohellip Whitney Skaff Valerie Solberg Tied current quarter amounts to underlying trial balance recalculated mathematical accuracy reviewed quarter over quarter trends for unusual activity or fluctuations
Held for Sale Properties Go tohellip Whitney Skaff Valerie Solberg Confirmed prior period HFS properties to prior period working papers confirmed completeness of current period additions and sales with disposal team verified valuation of current period HFS properties with disposal team recalculated mathematical accuracy verified proper flow of HFS and sold properties impact
Preparer
s
Whitney Skaff Financial Reporting Analyst Date
Reviewer
s
Valerie Solberg Manager of Financial Reporting Date
Secondary Reviewer
s
Daniel Chon Senior Manager of Finance Date
Core NOI For the Three Months Ended Sep 30 2020 For the TrailingTwelve Months Ended Mar 31 2021
Net income $ 40153 $ 166223
Loss on early extinguishment of debt - 0 - 0
Gain on sale and impairment of single-family properties and other net (12422) (48523)
Depreciation and amortization 86996 350403
Acquisition and other transaction costs 1616 11997
Noncash share-based compensation - property management 447 2305
Interest expense 29267 115328
General and administrative expense 12570 52456
Other income and expense net 4479 (1918)
Core NOI (2877) $ 648271
Less Non-Same-Home Core NOI (135028) (140222)
Same-Home Core NOI $ 135028 $ 140222
Same-Home recurring capital expenditures - 31687
Same-Home Core NOI After Capital Expenditures $ 135028 $ 108535
Core revenues
Rents and other single-family property revenues $ 1197745
Tenant charge-backs (166589)
Core revenues $ 1031156
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Page 24: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 25: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 26: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 27: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 28: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 29: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 30: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 31: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 32: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 33: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%
Page 34: American Homes 4 Rent · EQR. 10. Investment Grade Balance Sheet to Drive Growth. Capital Structure (1) Debt Maturity Schedule (1)(2)(3) Fixed Rate Debt 17.7% Preferred Shares 5.5%