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Derivatives - Schedule of Derivative Instruments (Details) - Designated as hedging Instrument - USD ($)
Sep. 30, 2025
Dec. 31, 2024
Derivative    
Fair Value Assets (Liabilities) $ 442,000 $ 4,022,000
1918 Eighth | Interest Rate Swap | Mark-to-Market Hedging    
Derivative    
Notional amount $ 172,865,000  
Interest Rate 3.75%  
Fair Value Assets (Liabilities) $ 31,000 524,000
1918 Eighth | Interest Rate Cap | Cash Flow Hedging, Partial    
Derivative    
Notional amount $ 314,300,000  
Interest Rate 5.00%  
Fair Value Assets (Liabilities) $ 0 62,000
1918 Eighth | Interest Rate Sold Cap | Mark-to-Market Hedging    
Derivative    
Notional amount $ 172,865,000  
Interest Rate 5.00%  
Fair Value Assets (Liabilities) $ 0 (34,000)
Hollywood Media Portfolio CMBS | Interest Rate Swap    
Derivative    
Notional amount 351,200,000  
Hollywood Media Portfolio CMBS | Interest Rate Swap | Cash Flow Hedging    
Derivative    
Notional amount $ 351,186,000  
Interest Rate 3.31%  
Fair Value Assets (Liabilities) $ 971,000 3,663,000
Hollywood Media Portfolio CMBS | Interest Rate Cap | Mark-to-Market Hedging    
Derivative    
Notional amount $ 1,100,000,000  
Interest Rate 4.95%  
Fair Value Assets (Liabilities) $ 7,000 0
Hollywood Media Portfolio CMBS | Interest Rate Cap | Cash Flow Hedging, Partial    
Derivative    
Notional amount $ 1,100,000,000  
Interest Rate 6.01%  
Fair Value Assets (Liabilities) $ 0 4,000
Hollywood Media Portfolio CMBS | Interest Rate Cap | Cash Flow Hedging    
Derivative    
Notional amount 539,000,000  
Hollywood Media Portfolio CMBS | Interest Rate Sold Cap | Mark-to-Market Hedging    
Derivative    
Notional amount $ 561,000,000  
Interest Rate 6.01%  
Fair Value Assets (Liabilities) $ 0 (2,000)
Hollywood Media Portfolio CMBS | Interest Rate Swap    
Derivative    
Notional amount 179,600,000  
Hollywood Media Portfolio CMBS | Interest Rate Swap | Cash Flow Hedging    
Derivative    
Notional amount $ 180,000,000  
Interest Rate 4.13%  
Fair Value Assets (Liabilities) $ (728,000) (267,000)
Hollywood Media Portfolio CMBS | Interest Rate Sold Cap 2 | Mark-to-Market Hedging    
Derivative    
Notional amount $ 561,000,000  
Interest Rate 4.95%  
Fair Value Assets (Liabilities) $ (4,000) 0
Sunset Glenoaks Studios | Interest Rate Cap | Cash Flow Hedging, Partial    
Derivative    
Interest Rate 4.50%  
Sunset Glenoaks Studios | Interest Rate Cap | Cash Flow Hedging    
Derivative    
Notional amount $ 100,600,000  
Fair Value Assets (Liabilities) 0 72,000
Office Portfolio CMBS | Interest Rate Swap    
Derivative    
Fair Value Assets (Liabilities) (864,000) 0
Notional amount 222,500,000  
Office Portfolio CMBS | Interest Rate Swap | Mark-to-Market Hedging    
Derivative    
Notional amount $ 250,000,000  
Office Portfolio CMBS | Interest Rate Swap | Cash Flow Hedging, Partial    
Derivative    
Interest Rate 3.41%  
Office Portfolio CMBS | Interest Rate Swap | Cash Flow Hedging    
Derivative    
Interest Rate 3.35%  
Office Portfolio CMBS | Interest Rate Cap    
Derivative    
Notional amount $ 250,000,000  
Office Portfolio CMBS | Interest Rate Cap | Mark-to-Market Hedging    
Derivative    
Notional amount 475,000,000  
Fair Value Assets (Liabilities) $ 48,000 0
Office Portfolio CMBS | Interest Rate Cap | Cash Flow Hedging, Partial    
Derivative    
Interest Rate 4.96%  
Office Portfolio CMBS | Interest Rate Sold Cap | Mark-to-Market Hedging    
Derivative    
Notional amount $ 475,000,000  
Fair Value Assets (Liabilities) $ (48,000) 0
Office Portfolio CMBS | Interest Rate Sold Cap | Cash Flow Hedging, Partial    
Derivative    
Interest Rate 4.96%  
Office Portfolio CMBS | Interest Rate Swap | Cash Flow Hedging, Partial    
Derivative    
Interest Rate 3.41%  
Office Portfolio CMBS Loan Cap 2 | Interest Rate Cap    
Derivative    
Fair Value Assets (Liabilities) $ 1,029,000 $ 0
Office Portfolio CMBS Loan Cap 2 | Interest Rate Cap | Mark-to-Market Hedging    
Derivative    
Notional amount $ 220,002,000  
Office Portfolio CMBS Loan Cap 2 | Interest Rate Cap | Cash Flow Hedging, Partial    
Derivative    
Interest Rate 3.35%