v3.25.1
Supplemental Cash Flow Information (Tables)
3 Months Ended
Mar. 31, 2025
Supplemental Cash Flow Elements [Abstract]  
Schedule of Cash Flow, Supplemental Information
Supplemental cash flow information for Hudson Pacific Properties, Inc. and Hudson Pacific Properties, L.P. is included as follows:
Three Months Ended March 31,
20252024
Cash paid for interest, net of capitalized interest$41,418 $43,894 
Non-cash investing and financing activities
Accounts payable and accrued liabilities for real estate investments$69,013 $73,471 
Operating lease liability remeasurements$5,729 $— 
Redemption of common units in the operating partnership$— $133 
Schedule of Cash and Cash Equivalents The following table provides a reconciliation of cash and cash equivalents and restricted cash at the beginning and end of the periods presented for Hudson Pacific Properties, Inc and Hudson Pacific Properties, L.P.:
Three Months Ended March 31,
20252024
BEGINNING OF PERIOD
Cash and cash equivalents$63,256 $100,391 
Restricted cash35,921 18,765 
TOTAL$99,177 $119,156 
END OF PERIOD
Cash and cash equivalents$86,474 $114,305 
Restricted cash47,452 19,267 
TOTAL$133,926 $133,572 
Schedule of Restrictions on Cash and Cash Equivalents The following table provides a reconciliation of cash and cash equivalents and restricted cash at the beginning and end of the periods presented for Hudson Pacific Properties, Inc and Hudson Pacific Properties, L.P.:
Three Months Ended March 31,
20252024
BEGINNING OF PERIOD
Cash and cash equivalents$63,256 $100,391 
Restricted cash35,921 18,765 
TOTAL$99,177 $119,156 
END OF PERIOD
Cash and cash equivalents$86,474 $114,305 
Restricted cash47,452 19,267 
TOTAL$133,926 $133,572