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Common Stock Value 1.010.950.930.930.910.910.910.910.900.860.840.840.820.810.800.750.750.730.700.680.610.610.600.460.450.440.380.370.370.350.350.240.24NANANA
dei: Entity Common Stock Shares Outstanding NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Earnings Per Share Basic 0.040.060.050.040.180.010.080.080.080.090.100.080.030.050.050.020.020.010.08-0.010.010.030.020.030.030.020.020.030.040.020.020.030.010.020.02-0.22
Earnings Per Share Diluted 0.040.060.050.040.180.010.080.080.080.090.100.080.030.050.050.020.020.010.08-0.010.010.030.020.030.030.020.020.030.030.020.020.030.010.020.02-0.22

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Revenue From Contract With Customer Excluding Assessed Tax 72.6272.0171.3771.2273.5175.0472.7672.3071.6469.6168.6165.0065.2061.1360.5358.2260.7857.5952.7550.6148.2139.4436.9735.9736.3333.8630.6029.8928.7526.9824.9223.9722.1719.8619.2610.09
Revenues 72.6272.0171.3771.2273.5175.0472.7672.3071.6469.6168.6165.0065.2061.1360.5358.2260.7857.5952.7550.6148.2139.4436.9735.9736.3333.8630.6029.8928.7526.9824.9223.9722.1719.8619.2610.09
Cost Of Goods And Services Sold 17.7018.7517.6317.8917.9717.8015.5515.4615.1215.1914.3012.0913.9412.3110.9111.2613.9713.4110.939.969.357.787.226.566.006.725.84NANANANANANANANANA
Costs And Expenses 55.7355.2355.3456.1957.1257.1754.0153.7953.2351.9950.6248.0049.6447.6847.3647.4050.3148.5344.4842.9640.6432.0329.7828.5828.4727.4425.8826.1224.8923.8021.8920.9320.3917.70NANA
Interest Paid Net 13.7010.2812.4711.0814.404.0412.069.718.089.728.079.607.899.077.939.367.536.119.406.088.272.257.273.506.933.092.962.19NANANANANANANANA
Interest Income Expense Nonoperating Net -13.43-12.05-11.68-12.02-12.65-12.41-11.44-10.88-10.89-9.35-9.27-9.12-8.95-8.63-9.00-8.90-8.86-8.45-8.02-8.13-6.92-4.92-5.47-5.58-5.45-5.50-3.71-2.42-2.21-2.04-2.00-1.93-1.61-1.34-1.32-0.70
Profit Loss 4.796.085.784.4118.420.758.138.267.789.049.257.882.634.824.161.921.610.606.49-0.480.642.481.721.812.100.931.011.351.651.131.041.110.170.820.96-8.00
Other Comprehensive Income Loss Net Of Tax -3.01-0.113.11-2.01-0.501.812.905.512.811.181.261.841.401.23-0.27-9.851.94-1.81-5.17-3.02-4.190.410.661.860.94-0.11-0.690.11NANANANANANANANA
Net Income Loss 4.445.375.103.8916.290.647.207.346.897.988.206.992.334.263.671.701.430.555.64-0.420.592.151.441.521.290.780.831.081.150.900.700.680.100.500.59-2.88
Comprehensive Income Net Of Tax 1.885.297.852.1215.852.249.7612.249.348.999.408.603.555.313.32-6.893.13-1.091.11-3.05-3.092.552.243.002.530.750.351.185.440.900.700.68NANANANA
Net Income Loss Available To Common Stockholders Basic 4.295.224.953.7416.160.517.067.216.777.868.096.882.264.193.591.641.400.525.61-0.440.311.871.161.241.730.750.801.061.120.870.670.650.080.470.57-2.88

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Assets 2879.752825.482807.962819.292829.392961.652941.052832.332826.112555.972543.572507.602457.542396.592359.572307.322234.592223.702107.242016.741861.551778.511599.411424.701425.341368.041277.621078.571045.461020.551017.85934.67912.05793.18783.23780.13
Liabilities 1470.241390.261385.901379.251418.401542.861499.061392.991384.531185.261209.031180.811157.571096.441076.541110.121034.751039.96969.31887.00836.30737.21543.38630.01634.25598.90598.21390.57348.60343.63332.52321.73292.15165.59148.77142.72
Liabilities And Stockholders Equity 2879.752825.482807.962819.292829.392961.652941.052832.332826.112555.972543.572507.602457.542396.592359.572307.322234.592223.702107.242016.741861.551778.511599.411424.701425.341368.041277.621078.571045.461020.551017.85934.67912.05793.18783.23780.13
Stockholders Equity 1322.201270.831256.541272.511244.881252.811273.301281.111282.671212.851176.571181.061154.571152.861134.031049.661062.621046.46996.65985.84894.16911.26917.42659.63667.81654.16565.12553.87559.30535.50534.24373.03377.26382.06387.21NA

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Cash And Cash Equivalents At Carrying Value 9.3820.709.828.857.5811.038.267.7911.1316.078.066.328.469.048.9114.5212.0165.419.748.666.856.92147.509.5912.686.556.115.244.844.363.704.388.184.473.4111.92
Other Assets Current 3.003.103.303.403.501.401.501.601.60NANANA0.40NANANANANANANANANANANANANANANANANANANANANANANA
Land 222.00213.59213.59213.59213.59231.60231.84222.84222.84218.09219.24219.93215.07212.92NANA193.17NANANA161.57NANANA134.16NANANA112.16NANANA97.90NANANA

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Construction In Progress Gross 52.4341.9138.2535.2144.4539.3435.4732.2629.2128.0627.5626.8126.2425.43NANA57.77NANANA54.53NANANA17.75NANANA4.62NANANANANANANA
Intangible Assets Net Excluding Goodwill 148.45140.50145.84151.34157.28178.33183.09179.61186.31157.91161.19162.35163.39162.58169.24171.88168.62172.08176.23170.16165.67167.04132.48136.65143.06131.41127.13111.19113.80116.10111.73115.20116.58NANANA
Finite Lived Intangible Assets Net 148.45NANANA157.28NANANA186.31NANANA163.39NANANANANANANANANANANANANANANANANANANANANANANA

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Long Term Debt 1294.841216.841221.181218.691251.371370.531336.801230.331211.091008.221034.601007.25978.26899.75NANA901.84NANANA766.36NANANA575.89NANA337.32292.97288.22280.46267.44238.20118.92102.79100.90
Senior Notes 696.53696.41696.29696.17696.05695.93695.82695.70695.59447.21447.15447.23447.17447.11447.05446.99446.93446.87173.83173.80173.78173.75173.73173.70173.69NANANANANANANANANANANA

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Stockholders Equity 1322.201270.831256.541272.511244.881252.811273.301281.111282.671212.851176.571181.061154.571152.861134.031049.661062.621046.46996.65985.84894.16911.26917.42659.63667.81654.16565.12553.87559.30535.50534.24373.03377.26382.06387.21NA
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 1409.521435.221422.071440.041410.981418.801441.991439.351441.581370.711334.541326.791299.971300.151283.031197.201199.841183.741137.921129.751025.251041.301056.03794.69791.09769.13679.41688.00696.87676.92685.32612.95619.89627.59634.46637.41
Common Stock Value 1.010.950.930.930.910.910.910.910.900.860.840.840.820.810.800.750.750.730.700.680.610.610.600.460.450.440.380.370.370.350.350.240.24NANANA
Additional Paid In Capital Common Stock 1783.341707.141673.401672.471622.911622.631621.291614.801604.711521.451471.931464.011424.791405.511371.291270.761257.321225.031155.331127.941017.411015.601008.62741.09740.55718.88619.67599.23596.97568.52560.07392.18391.77391.36391.92390.79
Retained Earnings Accumulated Deficit 112.30107.86102.4997.3993.5077.2076.5669.3662.0255.1347.1638.9631.9629.6325.3721.7020.0018.5718.0212.3812.8312.2410.098.657.134.413.632.811.720.57-0.32-1.02-1.69NANANA
Accumulated Other Comprehensive Income Loss Net Of Tax 1.874.434.521.773.553.992.39-0.17-5.07-7.53-8.54-9.74-11.35-12.57-13.62-13.28-4.69-6.39-4.75-0.222.416.095.694.893.402.632.663.133.04NANANANANANANA
Stock Issued During Period Value New Issues 0.0033.680.0052.230.000.000.009.4084.8249.950.0039.9618.6233.52103.234.8331.5867.7026.44125.72-0.000.00273.0113.4918.90101.08NANANANANANANANANANA

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Net Cash Provided By Used In Operating Activities 17.5337.8937.4321.6222.1639.4340.2424.1123.8937.7430.7026.0136.5733.0337.0538.5522.9480.9424.4613.9813.6920.4816.5012.116.4118.28NANANANANANANANANANA
Net Cash Provided By Used In Investing Activities -78.35-27.69-10.39-10.58120.21-42.28-118.57-28.46-235.59-23.65-31.71-72.10-108.86-41.73-86.29-53.29-85.83-82.88-105.68-167.95-96.14-326.48-32.50-11.63-45.53-96.04NANANANANANANANANANA
Net Cash Provided By Used In Financing Activities 49.301.46-25.72-7.85-146.596.3179.031.54208.10-5.022.5444.5573.089.1644.0517.808.8356.6282.82156.2082.24163.48155.85-2.7144.9078.52NANANANANANANANANANA

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Net Cash Provided By Used In Operating Activities 17.5337.8937.4321.6222.1639.4340.2424.1123.8937.7430.7026.0136.5733.0337.0538.5522.9480.9424.4613.9813.6920.4816.5012.116.4118.28NANANANANANANANANANA
Net Income Loss 4.445.375.103.8916.290.647.207.346.897.988.206.992.334.263.671.701.430.555.64-0.420.592.151.441.521.290.780.831.081.150.900.700.680.100.500.59-2.88
Profit Loss 4.796.085.784.4118.420.758.138.267.789.049.257.882.634.824.161.921.610.606.49-0.480.642.481.721.812.100.931.011.351.651.131.041.110.170.820.96-8.00
Share Based Compensation 1.121.661.301.671.651.621.641.631.351.331.031.331.041.031.021.002.760.710.700.730.730.730.710.860.750.750.740.730.740.740.720.700.69NANANA
Amortization Of Financing Costs 0.550.540.520.510.520.520.510.510.490.400.380.380.380.380.380.380.380.350.340.340.340.330.320.280.330.330.270.250.250.220.220.220.210.210.210.12

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Net Cash Provided By Used In Investing Activities -78.35-27.69-10.39-10.58120.21-42.28-118.57-28.46-235.59-23.65-31.71-72.10-108.86-41.73-86.29-53.29-85.83-82.88-105.68-167.95-96.14-326.48-32.50-11.63-45.53-96.04NANANANANANANANANANA

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Net Cash Provided By Used In Financing Activities 49.301.46-25.72-7.85-146.596.3179.031.54208.10-5.022.5444.5573.089.1644.0517.808.8356.6282.82156.2082.24163.48155.85-2.7144.9078.52NANANANANANANANANANA
Payments Of Dividends Common Stock 28.6128.1628.1627.4627.3827.3827.3827.0425.8925.3324.5924.1923.8623.4822.3222.0921.7921.4020.2818.4318.4118.3414.7714.4213.7012.9211.5211.0511.0510.2410.248.768.768.36NANA

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Revenues 72.6272.0171.3771.2273.5175.0472.7672.3071.6469.6168.6165.0065.2061.1360.5358.2260.7857.5952.7550.6148.2139.4436.9735.9736.3333.8630.6029.8928.7526.9824.9223.9722.1719.8619.2610.09
Revenue From Contract With Customer Excluding Assessed Tax 72.6272.0171.3771.2273.5175.0472.7672.3071.6469.6168.6165.0065.2061.1360.5358.2260.7857.5952.7550.6148.2139.4436.9735.9736.3333.8630.6029.8928.7526.9824.9223.9722.1719.8619.2610.09
G S A Buffalo, Parking Garage, Accounting Standards Update201409 0.200.100.100.100.200.100.100.100.200.100.100.100.100.100.100.300.300.300.300.20NANA0.000.00NANANANANANANANANANANANA
Tenant Reimbursements 1.632.702.502.082.241.620.921.141.441.531.900.322.230.680.431.153.603.371.661.585.324.094.090.943.773.552.97NANANANANANANANANA
Real Estate Other 0.650.580.600.480.550.410.370.470.380.640.620.500.820.610.540.481.010.840.580.540.470.130.420.200.150.230.13NANANANANANANANANA
Accounting Standards Update201409 1.863.032.772.312.511.791.101.271.581.642.090.362.500.800.501.264.253.761.801.811.691.181.601.04NANANANANANANANANANANANA
Bonneville Power Administration, Accounting Standards Update201409 0.000.000.01NANANANANANANANANANANANANA0.000.000.00NANANANANANANANANANANANANANANANANA
Customs And Border Protection, Accounting Standards Update201409 0.060.150.000.080.000.000.040.12NANANANA0.010.01NANA0.000.010.01NANANANANANANANANANANANANANANANANA
Department Of Labor, Accounting Standards Update201409 0.000.000.00NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Department Of Transportation, Accounting Standards Update201409 0.010.000.020.12NANANANA0.000.010.000.040.000.000.01NA0.070.060.01NANANANANANANANANANANANANANANANANA
Department Of Veteran Affairs, Accounting Standards Update201409 1.481.591.700.930.801.270.200.100.200.351.000.110.360.040.080.660.360.590.130.450.290.571.250.79NANANANANANANANANANANANA
Federal Bureau Of Investigation, Accounting Standards Update201409 0.140.280.060.320.250.210.620.230.591.140.650.011.020.410.080.531.760.930.211.120.990.200.070.06NANANANANANANANANANANANA
Federal Emergency Management Agency, Accounting Standards Update201409 0.000.000.070.020.220.10NANA0.000.000.000.01NANANANA0.000.06-0.00NANANANANANANANANANANANANANANANANA
Food And Drug Administration, Accounting Standards Update201409 0.030.000.000.010.120.030.000.200.010.060.010.020.010.200.05NA1.951.691.390.08NANANANANANANANANANANANANANANANA
Immigration And Customs Enforcement, Accounting Standards Update201409 0.000.000.040.07NANANANA0.040.02NANA0.070.010.040.020.000.040.01NA0.000.000.000.01NANANANANANANANANANANANA
Internal Revenue Service, Accounting Standards Update201409 0.020.000.000.000.000.000.000.030.080.000.120.010.000.030.040.000.000.010.000.01NANANANANANANANANANANANANANANANA
National Archives And Records Administration, Accounting Standards Update201409 0.000.000.01NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
The Judiciary Of The United States Government, Accounting Standards Update201409 0.040.010.110.000.380.010.000.000.000.010.00NA0.010.000.000.000.000.010.020.000.060.030.010.10NANANANANANANANANANANANA
U S Joint Staff Command J S C, Accounting Standards Update201409 0.040.840.650.600.420.070.160.290.460.030.030.000.020.030.04NANANANANANANANANANANANANANANANANANANANANA
United States Citizenship And Immigration Services, Accounting Standards Update201409 0.000.030.03NA0.050.090.000.11-0.020.000.090.02NANANANA0.000.140.000.010.000.000.04NANANANANANANANANANANANANA
United States Coast Guard, Accounting Standards Update201409 0.000.130.060.150.150.000.000.030.090.01NANANANANANA0.020.00NANA0.000.000.000.01NANANANANANANANANANANANA

Plots across concepts


IncomeStatement
Other Comprehensive Income Loss Net Of Tax
Balance Sheet
Operating Lease Right Of Use Asset
Assets
Operating Lease Right Of Use Asset
Current Assets
Other Assets Current
NonCurrent Assets
Operating Lease Right Of Use Asset
Liabilities
Liabilities
Noncurrent Liabilities
Long Term Debt
Stockholders Equity
Common Stock Value
Per Share
Earnings Per Share Diluted
CashFlow
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInOperatingActivities
Increase Decrease In Prepaid Deferred Expense And Other Assets
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Net

Line plots across dimensions of each concept