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Debt Obligations (Details) - Real Estate [Domain]
1 Months Ended 4 Months Ended 5 Months Ended 6 Months Ended
Jun. 30, 2015
USD ($)
item
May. 31, 2015
Mar. 31, 2015
USD ($)
Apr. 30, 2015
Jun. 30, 2015
USD ($)
item
Jun. 30, 2015
USD ($)
item
Dec. 31, 2015
USD ($)
Feb. 28, 2015
USD ($)
Jan. 31, 2015
USD ($)
Dec. 31, 2014
USD ($)
item
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements $ 322,737,195       $ 322,737,195 $ 322,737,195       $ 180,386,200
Collateral Cash, Restricted Cash $ 76,252,399       76,252,399 $ 76,252,399       218,100,529
Past due days, full repayment of a advance required           60 days        
Maximum                    
Debt Obligations                    
Warehousing period           24 months        
Healthcare related loans | Minimum | LIBOR                    
Debt Obligations                    
Variable rate, spread (as a percent) 2.25%                  
Healthcare related loans | Maximum | LIBOR                    
Debt Obligations                    
Variable rate, spread (as a percent) 2.50%                  
Credit facilities and repurchase agreements                    
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements $ 322,737,195       322,737,195 $ 322,737,195       180,386,200
Collateral Carrying Value, Total credit facilities and repurchase agreements $ 451,453,538       $ 451,453,538 $ 451,453,538       $ 232,015,236
Weighted Average Note Rate (as a percent) 2.61%       2.61% 2.61%       2.84%
Weighted average note rate including certain fees and costs (as a percent) 2.87%       2.87% 2.87%       3.06%
Number of interest rate swaps | item 0       0 0       0
$150 million warehouse repurchase facility                    
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements $ 111,680,600       $ 111,680,600 $ 111,680,600        
Collateral Carrying Value, Total credit facilities and repurchase agreements $ 172,521,052       $ 172,521,052 $ 172,521,052        
Weighted Average Note Rate (as a percent) 2.43%       2.43% 2.43%        
Committed line                 $ 150,000,000  
Extension of maturity date (in years)           1 year        
$150 million warehouse repurchase facility | Subsequent event                    
Debt Obligations                    
Committed line             $ 175,000,000      
$150 million warehouse repurchase facility | Senior mortgage loans                    
Debt Obligations                    
Variable rate, spread (as a percent)           2.125%        
Variable interest rate, description           LIBOR        
$150 million warehouse repurchase facility | Junior mortgage loans                    
Debt Obligations                    
Variable rate, spread (as a percent)           3.50%        
Variable interest rate, description           LIBOR        
$100 million warehousing credit facility                    
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements $ 58,643,095       $ 58,643,095 $ 58,643,095       $ 92,520,637
Collateral Carrying Value, Total credit facilities and repurchase agreements $ 87,617,486       $ 87,617,486 $ 87,617,486       $ 128,593,000
Weighted Average Note Rate (as a percent) 2.37%       2.37% 2.37%       2.45%
Committed line $ 100,000,000       $ 100,000,000 $ 100,000,000        
Variable rate, spread (as a percent)   2.15%   2.25%            
Collateral Cash, Restricted Cash 50,000,000       50,000,000 $ 50,000,000        
Extension of maturity date (in years)   1 year                
$100 million warehousing credit facility | Maximum                    
Debt Obligations                    
Advance rate (as a percent)           75.00%        
$75 million warehousing credit facility - one                    
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements 68,491,000       68,491,000 $ 68,491,000       $ 42,975,000
Collateral Carrying Value, Total credit facilities and repurchase agreements $ 95,390,000       $ 95,390,000 $ 95,390,000       $ 58,000,000
Weighted Average Note Rate (as a percent) 2.40%       2.40% 2.40%       2.45%
Committed line $ 75,000,000       $ 75,000,000 $ 75,000,000        
Variable rate, spread (as a percent)           2.25%        
Variable interest rate, description           LIBOR        
Advance rate (as a percent)           75.00%        
Warehouse credit facility, sublimit $ 25,000,000       25,000,000 $ 25,000,000        
$75 million warehousing credit facility - one | LIBOR                    
Debt Obligations                    
Variable rate, spread (as a percent) 2.125%                  
$75 million warehousing credit facility - two                    
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements $ 48,802,500       48,802,500 48,802,500       $ 29,890,563
Collateral Carrying Value, Total credit facilities and repurchase agreements $ 70,725,000       $ 70,725,000 $ 70,725,000       $ 45,422,236
Weighted Average Note Rate (as a percent) 2.22%       2.22% 2.22%       2.20%
Committed line $ 75,000,000   $ 60,000,000   $ 75,000,000 $ 75,000,000        
Variable rate, spread (as a percent)       2.00%            
$75 million warehousing credit facility - two | Minimum                    
Debt Obligations                    
Advance rate (as a percent)           70.00%        
$75 million warehousing credit facility - two | Maximum                    
Debt Obligations                    
Advance rate (as a percent)           75.00%        
$25 million term credit facility                    
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements 20,120,000       20,120,000 $ 20,120,000        
Collateral Carrying Value, Total credit facilities and repurchase agreements $ 25,200,000       $ 25,200,000 $ 25,200,000        
Weighted Average Note Rate (as a percent) 2.22%       2.22% 2.22%        
Committed line               $ 25,000,000    
Variable rate, spread (as a percent)         2.00%          
$25 million term credit facility | LIBOR                    
Debt Obligations                    
Variable interest rate, description         LIBOR          
$15 million term credit facility                    
Debt Obligations                    
Debt Carrying Value, Total credit facilities and repurchase agreements $ 15,000,000       $ 15,000,000 $ 15,000,000       $ 15,000,000
Weighted Average Note Rate (as a percent) 7.60%       7.60% 7.60%       7.50%
Debt, Face Value $ 15,000,000       $ 15,000,000 $ 15,000,000        
Fixed interest rate (as a percent) 7.50%       7.50% 7.50%        
$87 million warehouse repurchase facility                    
Debt Obligations                    
Committed line     $ 87,000,000              
Variable rate, spread (as a percent)     2.50%              
Variable interest rate, description     LIBOR floor of .25%