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Consolidated Statements of Equity and Temporary Equity (Unaudited) - USD ($)
Total
SST VI OP
Redeemable Common Stock
Common Stock
Common Stock
Class A Common stock
Common Stock
Class T Common stock
Common Stock
Redeemable Common Stock
Additional Paid-in Capital
Distributions
Accumulated Deficit
Accumulated Other Comprehensive Income (Loss)
Total SmartStop Self Storage REIT, Inc. Equity
Noncontrolling Interests
Noncontrolling Interests
SST VI OP
Preferred Stock
Beginning Balance at Dec. 31, 2019 $ 345,813,823       $ 51,435 $ 7,700 $ 43,391,362 $ 491,433,240 $ (128,642,787) $ (87,090,486) $ (1,955,335) $ 273,803,767 $ 72,010,056   $ 146,426,164
Beginning Balance (in shares) at Dec. 31, 2019         51,435,124 7,699,893                  
Offering costs (46,907)             (46,907)       (46,907)      
Issuance of preferred stock                             50,000,000
Preferred stock issuance costs                             (70,057)
Changes to redeemable common stock (15,954,081)           15,954,081 (15,954,081)       (15,954,081)      
Redemptions of common stock (165)       $ (165) $ 0 (2,009,868)         (165)      
Redemptions of common stock (in shares)         (164,894) 0                  
Issuance of restricted stock 72       $ 72             72      
Issuance of restricted stock (in shares)         71,567                    
Distributions (35,310,382)               (35,310,382)     (35,310,382)      
Distributions to noncontrolling interests (5,525,293)                       (5,525,293)    
Issuance of shares for distribution reinvestment plan 15,954,081       $ 1,319 $ 204   15,952,558       15,954,081      
Issuance of shares for distribution reinvestment plan (in shares)         1,318,605 204,018                  
Equity based compensation expense 1,738,873             1,023,196       1,023,196 715,677    
Net income (loss) attributable to common stockholders - basic: (54,354,394)                 (54,354,394)   (54,354,394)      
Net loss attributable to the noncontrolling interests in our Operating Partnership (6,901,931)                       (6,901,931)    
Foreign currency translation adjustment 965,103                   845,698 845,698 119,405    
Foreign currency hedge contract (losses) gains (596,969)                   (525,540) (525,540) (71,429)    
Interest rate swap and cap contract (losses) gains (2,541,625)                   (2,199,051) (2,199,051) (342,574)    
Ending Balance at Dec. 31, 2020 243,240,205       $ 52,661 $ 7,904 57,335,575 492,408,006 (163,953,169) (141,444,880) (3,834,228) 183,236,294 60,003,911   196,356,107
Ending Balance (in shares) at Dec. 31, 2020         52,660,402 7,903,911                  
Issuance of OP Units in connection with SSGT II Merger 231,412,470       $ 23,138     231,389,332       231,412,470      
Issuance of common stock in connection with the SSGT II Merger (in shares)         23,137,540                    
Issuance of Class A-1 Units in our Operating Partnership in connection with the contingent earnout related to the Self Administration Transaction 11,219,744                       11,219,744    
Acquisition of noncontrolling interest related to the Tenant Protection Programs joint ventures (10,900)                       (10,900)    
Offering costs (335,175) $ (1,239,194)           (335,175)       (335,175)   $ 1,239,194  
Issuance of preferred stock                             0
Preferred stock issuance costs                             0
Gross proceeds from issuance of operating partnership units in SST VI OP   $ 4,761,315                       $ 4,761,315  
Changes to redeemable common stock (19,564,929)   $ 19,564,929         (19,564,929)       (19,564,929)      
Redemptions of common stock (390)   (5,565,829)   $ (360) $ (30)           (390)      
Redemptions of common stock (in shares)         (359,976) 30,158                  
Issuance of restricted stock 78       $ 78             78      
Issuance of restricted stock (in shares)         78,192                    
Distributions (47,011,295)               (47,011,295)     (47,011,295)      
Distributions to noncontrolling interests (6,338,488)                       (6,338,488)    
Issuance of shares for distribution reinvestment plan 19,564,929       $ 1,541 $ 182   19,563,206       19,564,929      
Issuance of shares for distribution reinvestment plan (in shares)         1,541,585 182,445                  
Equity based compensation expense 2,907,808             1,279,432       1,279,432 1,628,376    
Net income (loss) attributable to common stockholders - basic: (29,401,595)                 (29,401,595)   (29,401,595)      
Deconsolidation of SST VI OP (3,170,238)                       3,170,238    
Net loss attributable to the noncontrolling interests in our Operating Partnership (2,663,123)                       (2,663,123)    
Foreign currency translation adjustment 65,261                   47,424 47,424 17,837    
Foreign currency hedge contract (losses) gains (394,417)                   (337,219) (337,219) (57,198)    
Interest rate swap and cap contract (losses) gains 4,335,323                   3,844,048 3,844,048 491,275    
Ending Balance at Dec. 31, 2021 407,377,389       $ 77,058 $ 8,056 71,334,675 724,739,872 (210,964,464) (170,846,475) (279,975) 342,734,072 64,643,317   196,356,107
Ending Balance (in shares) at Dec. 31, 2021         77,057,743 8,056,198                  
Issuance of Class A-1 Units in our Operating Partnership in connection with the contingent earnout related to the Self Administration Transaction 15,513,821                       15,513,821    
Issuance of noncontrolling interest in SST VI Advisor 1,000                       1,000    
Offering costs (53,949)             (53,949)       (53,949)      
Tax withholding (net settlement) related to vesting of restricted stock, (in Shares)         (8,098)                    
Tax withholding (net settlement) related to vesting of restricted stock (74,495)       $ (8)     (74,487)       (74,495)      
Changes to redeemable common stock (5,243,398)     $ 5,243,398       (5,243,398)       (5,243,398)      
Redemptions of common stock (112)       $ (107) $ (5)           (112)      
Redemptions of common stock (in shares)         (106,502) (4,696)                  
Issuance of restricted stock 45       $ 45             45      
Issuance of restricted stock (in shares)         45,170                    
Distributions (12,427,305)               (12,427,305)     (12,427,305)      
Distributions to noncontrolling interests (1,679,314)                       (1,679,314)    
Issuance of shares for distribution reinvestment plan 5,243,398       $ 314 $ 34   5,243,050       5,243,398      
Issuance of shares for distribution reinvestment plan (in shares)         313,658 34,048                  
Equity based compensation expense 1,171,937             403,252       403,252 768,685    
Net income (loss) attributable to common stockholders - basic: (216,555)                 (216,555)   (216,555)      
Foreign currency translation adjustment 937,962                   836,775 836,775 101,187    
Foreign currency hedge contract (losses) gains (834,436)                   (744,417) (744,417) (90,019)    
Interest rate swap and cap contract (losses) gains 506,515                   451,872 451,872 54,643    
Net income attributable to the noncontrolling interests in our Operating Partnership 355,978                       355,978    
Net income attributable to other noncontrolling interests 47,844                       47,844    
Ending Balance at Mar. 31, 2022 410,626,325       $ 77,302 $ 8,085 76,578,073 725,014,340 (223,391,769) (171,063,030) 264,255 330,909,183 79,717,142   196,356,107
Ending Balance (in shares) at Mar. 31, 2022         77,301,971 8,085,550                  
Beginning Balance at Dec. 31, 2021 407,377,389       $ 77,058 $ 8,056 71,334,675 724,739,872 (210,964,464) (170,846,475) (279,975) 342,734,072 64,643,317   196,356,107
Beginning Balance (in shares) at Dec. 31, 2021         77,057,743 8,056,198                  
Net income (loss) attributable to common stockholders - basic: 7,651,780                            
Net loss attributable to the noncontrolling interests in our Operating Partnership 2,528,010                            
Foreign currency hedge contract (losses) gains 4,152,495                            
Interest rate swap and cap contract (losses) gains 4,762,710                            
Ending Balance at Sep. 30, 2022 578,481,318       $ 88,857 $ 8,085 76,578,073 893,998,929 (251,489,095) (163,194,695) 3,499,198 482,911,279 95,570,039   196,356,107
Ending Balance (in shares) at Sep. 30, 2022         88,857,061 8,085,550                  
Beginning Balance at Dec. 31, 2021 407,377,389       $ 77,058 $ 8,056 71,334,675 724,739,872 (210,964,464) (170,846,475) (279,975) 342,734,072 64,643,317   196,356,107
Beginning Balance (in shares) at Dec. 31, 2021         77,057,743 8,056,198                  
Issuance of OP Units in connection with SSGT II Merger 168,789,874       $ 11,542     168,778,332       168,789,874      
Issuance of common stock in connection with the SSGT II Merger (in shares)         11,542,062                    
Issuance of Class A-1 Units in our Operating Partnership in connection with the contingent earnout related to the Self Administration Transaction 31,514,447                       31,514,447    
Issuance of noncontrolling interest in SST VI Advisor 1,000                       1,000    
Offering costs (445,149)             (445,149)       (445,149)      
Tax withholding (net settlement) related to vesting of restricted stock, (in Shares)         8,910                    
Tax withholding (net settlement) related to vesting of restricted stock (86,357)       $ 9     86,348       86,357      
Issuance of OP Units in connection with SSGT II Merger 1,703                       1,703    
Changes to redeemable common stock (5,243,398)   5,243,398         (5,243,398)       (5,243,398)      
Redemptions of common stock (112)       $ (107) $ (5)           (112)      
Redemptions of common stock (in shares)         (106,502) (4,696)                  
Issuance of restricted stock 55       $ 55             55      
Issuance of restricted stock (in shares)         55,403                    
Distributions (55,187,053)               (55,187,053)     (55,187,053)      
Distributions to noncontrolling interests (7,713,375)                       (7,713,375)    
Issuance of shares for distribution reinvestment plan 5,243,398       $ 314 $ 34   5,243,050       5,243,398      
Issuance of shares for distribution reinvestment plan (in shares)         313,658 34,048                  
Equity based compensation expense 3,968,494             1,297,595       1,297,595 2,670,899    
Net income (loss) attributable to common stockholders - basic: 6,321,880                 (6,321,880)   (6,321,880)      
Net loss attributable to the noncontrolling interests in our Operating Partnership 2,847,572                       2,847,572    
Foreign currency translation adjustment (3,832,344)                   3,400,645 3,400,645 431,699    
Foreign currency hedge contract (losses) gains 3,354,899                            
Foreign currency forward contract gain (loss) 3,354,899                   (2,977,385) (2,977,385) (377,514)    
Interest rate swap and cap contract (losses) gains 4,906,784                   4,357,917 4,357,917 548,867    
Ending Balance at Dec. 31, 2022 561,819,707       $ 88,853 $ 8,085 76,578,073 894,283,954 (266,151,517) (164,524,595) 3,654,682 467,359,462 94,460,245   196,356,107
Ending Balance (in shares) at Dec. 31, 2022         88,853,454 8,085,550                  
Beginning Balance at Mar. 31, 2022 410,626,325       $ 77,302 $ 8,085 76,578,073 725,014,340 (223,391,769) (171,063,030) 264,255 330,909,183 79,717,142   196,356,107
Beginning Balance (in shares) at Mar. 31, 2022         77,301,971 8,085,550                  
Issuance of OP Units in connection with SSGT II Merger 168,789,874       $ 11,542     168,778,332       168,789,874      
Issuance of common stock in connection with the SSGT II Merger (in shares)         11,542,062                    
Offering costs (391,200)             (391,200)       (391,200)      
Tax withholding (net settlement) related to vesting of restricted stock, (in Shares)         (812)                    
Tax withholding (net settlement) related to vesting of restricted stock (11,866)       $ (1)     (11,865)       (11,866)      
Issuance of OP Units in connection with SSGT II Merger 1,703                       1,703    
Issuance of restricted stock 14       $ 14             14      
Issuance of restricted stock (in shares)         13,840                    
Distributions (13,359,132)               (13,359,132)     (13,359,132)      
Distributions to noncontrolling interests (1,954,121)                       (1,954,121)    
Equity based compensation expense 945,317             324,301       324,301 621,016    
Net income (loss) attributable to common stockholders - basic: 9,138,542                 9,138,542   9,138,542      
Foreign currency translation adjustment (1,792,539)                   (1,587,642) (1,587,642) (204,897)    
Foreign currency hedge contract (losses) gains 1,512,677                   1,339,769 1,339,769 172,908    
Interest rate swap and cap contract (losses) gains 1,405,816                   1,245,122 1,245,122 160,694    
Net income attributable to other noncontrolling interests 1,758,141                       1,758,141    
Ending Balance at Jun. 30, 2022 576,669,551       $ 88,857 $ 8,085 76,578,073 893,713,908 (236,750,901) (161,924,488) 1,261,504 496,396,965 80,272,586   196,356,107
Ending Balance (in shares) at Jun. 30, 2022         88,857,061 8,085,550                  
Issuance of Class A-1 Units in our Operating Partnership in connection with the contingent earnout related to the Self Administration Transaction 16,000,625                       16,000,625    
Distributions (14,738,194)               (14,738,194)     (14,738,194)      
Distributions to noncontrolling interests (1,989,782)                       (1,989,782)    
Equity based compensation expense 925,620             285,021       285,021 640,599    
Net income (loss) attributable to common stockholders - basic: (1,270,207)                 (1,270,207)   (1,270,207)      
Net loss attributable to the noncontrolling interests in our Operating Partnership 366,047                            
Foreign currency translation adjustment (3,806,975)                   (3,383,637) (3,383,637) (423,338)    
Foreign currency hedge contract (losses) gains 3,474,254                   3,087,915 3,087,915 386,339    
Interest rate swap and cap contract (losses) gains 2,850,379                   2,533,416 2,533,416 316,963    
Net income attributable to other noncontrolling interests 366,047                       366,047    
Ending Balance at Sep. 30, 2022 578,481,318       $ 88,857 $ 8,085 76,578,073 893,998,929 (251,489,095) (163,194,695) 3,499,198 482,911,279 95,570,039   196,356,107
Ending Balance (in shares) at Sep. 30, 2022         88,857,061 8,085,550                  
Beginning Balance at Dec. 31, 2022 561,819,707       $ 88,853 $ 8,085 76,578,073 894,283,954 (266,151,517) (164,524,595) 3,654,682 467,359,462 94,460,245   196,356,107
Beginning Balance (in shares) at Dec. 31, 2022         88,853,454 8,085,550                  
Tax withholding (net settlement) related to vesting of restricted stock, (in Shares)         (14,786)                    
Tax withholding (net settlement) related to vesting of restricted stock (211,966)       $ (15)     (211,951)       (211,966)      
Redemptions of common stock     (4,715,055)                        
Issuance of restricted stock 44       $ 44             44      
Issuance of restricted stock (in shares)         43,876                    
Distributions (14,260,984)               (14,260,984)     (14,260,984)      
Distributions to noncontrolling interests (129,486)                       (129,486)    
Equity based compensation expense 1,106,113             282,654       282,654 823,459    
Net income (loss) attributable to common stockholders - basic: (1,389,957)                 (1,389,957)   (1,389,957)      
Foreign currency translation adjustment 253,576                   224,139 224,139 29,437    
Foreign currency hedge contract (losses) gains (91,616)                   (80,980) (80,980) (10,636)    
Interest rate swap and cap contract (losses) gains (1,493,341)                   (1,319,980) (1,319,980) (173,361)    
Disctributions to noncontrolling interests in our Operating Partnership (2,028,207)                       (2,028,207)    
Net income attributable to the noncontrolling interests in our Operating Partnership 232,943                       232,943    
Net income attributable to other noncontrolling interests 107,422                       107,422    
Ending Balance at Mar. 31, 2023 543,914,248       $ 88,882 $ 8,085 71,863,018 894,354,657 (280,412,501) (165,914,552) 2,477,861 450,602,432 93,311,816   196,356,107
Ending Balance (in shares) at Mar. 31, 2023         88,882,544 8,085,550                  
Beginning Balance at Dec. 31, 2022 561,819,707       $ 88,853 $ 8,085 76,578,073 894,283,954 (266,151,517) (164,524,595) 3,654,682 467,359,462 94,460,245   196,356,107
Beginning Balance (in shares) at Dec. 31, 2022         88,853,454 8,085,550                  
Net income (loss) attributable to common stockholders - basic: (1,632,362)                            
Net loss attributable to the noncontrolling interests in our Operating Partnership 1,573,727                            
Foreign currency hedge contract (losses) gains 189,267                            
Interest rate swap and cap contract (losses) gains (1,582,793)                            
Ending Balance at Sep. 30, 2023 514,106,196       $ 88,836 $ 8,120 69,461,463 894,718,919 (309,558,673) (166,156,957) 2,446,687 421,546,932 92,559,264   196,356,107
Ending Balance (in shares) at Sep. 30, 2023         88,835,383 8,121,031                  
Beginning Balance at Mar. 31, 2023 543,914,248       $ 88,882 $ 8,085 71,863,018 894,354,657 (280,412,501) (165,914,552) 2,477,861 450,602,432 93,311,816   196,356,107
Beginning Balance (in shares) at Mar. 31, 2023         88,882,544 8,085,550                  
Offering costs (11,354)             (11,354)       (11,354)      
Tax withholding (net settlement) related to vesting of restricted stock, (in Shares)         (2,636)                    
Tax withholding (net settlement) related to vesting of restricted stock (34,696)       $ (2)     (34,694)       (34,696)      
Changes to redeemable common stock (5,974,348)   5,974,348         (5,974,348)       (5,974,348)      
Redemptions of common stock (310)   (7,237,836)   $ (299) $ (11)           (310)      
Redemptions of common stock (in shares)         (299,129) (10,868)                  
Issuance of restricted stock 2       $ 2             2      
Issuance of restricted stock (in shares)         2,114                    
Distributions (14,503,753)               (14,503,753)     (14,503,753)      
Distributions to noncontrolling interests (97,632)                       (97,632)    
Issuance of shares for distribution reinvestment plan 5,974,348       $ 354 $ 39   5,973,955       5,974,348      
Issuance of shares for distribution reinvestment plan (in shares)         353,648 38,871                  
Equity based compensation expense 1,513,235             274,647       274,647 1,238,588    
Net income (loss) attributable to common stockholders - basic: 393,398                 393,398   393,398      
Foreign currency translation adjustment 1,183,503                   1,044,950 1,044,950 138,553    
Foreign currency hedge contract (losses) gains (962,245)                   (849,595) (849,595) (112,650)    
Interest rate swap and cap contract (losses) gains 550,036                   485,643 485,643 64,393    
Disctributions to noncontrolling interests in our Operating Partnership (2,106,368)                       (2,106,368)    
Net income attributable to the noncontrolling interests in our Operating Partnership 504,216                       504,216    
Net income attributable to other noncontrolling interests 265,302                       265,302    
Ending Balance at Jun. 30, 2023 530,607,582       $ 88,937 $ 8,113 70,599,530 894,582,863 (294,916,254) (165,521,154) 3,158,859 437,401,364 93,206,218   196,356,107
Ending Balance (in shares) at Jun. 30, 2023         88,936,541 8,113,553                  
Offering costs (432)             (432)       (432)      
Changes to redeemable common stock (5,901,131)   5,901,131         (5,901,131)       (5,901,131)      
Redemptions of common stock (479)   $ (7,039,198)   $ (447) $ (32)           (479)      
Redemptions of common stock (in shares)         (446,718) (31,755)                  
Issuance of restricted stock (3)       $ (3)             (3)      
Issuance of restricted stock (in shares)         (3,424)                    
Distributions (14,642,419)               (14,642,419)     (14,642,419)      
Distributions to noncontrolling interests (258,138)                       (258,138)    
Issuance of shares for distribution reinvestment plan 5,901,131       $ 349 $ 39   5,900,743       5,901,131      
Issuance of shares for distribution reinvestment plan (in shares)         348,984 39,233                  
Equity based compensation expense 1,459,225             136,012       136,012 1,323,213    
Net income (loss) attributable to common stockholders - basic: (635,803)                 (635,803)   (635,803)      
Net loss attributable to the noncontrolling interests in our Operating Partnership 463,844                            
Foreign currency translation adjustment (1,410,295)                   (1,245,107) (1,245,107) (165,188)    
Foreign currency hedge contract (losses) gains 1,243,128                   1,097,520 1,097,520 145,608    
Interest rate swap and cap contract (losses) gains (639,488)                   (564,585) (564,585) (74,903)    
Disctributions to noncontrolling interests in our Operating Partnership (2,081,391)                       (2,081,391)    
Net income attributable to the noncontrolling interests in our Operating Partnership 359,862                       359,862    
Net income attributable to other noncontrolling interests 103,983                       103,983    
Ending Balance at Sep. 30, 2023 $ 514,106,196       $ 88,836 $ 8,120 $ 69,461,463 $ 894,718,919 $ (309,558,673) $ (166,156,957) $ 2,446,687 $ 421,546,932 $ 92,559,264   $ 196,356,107
Ending Balance (in shares) at Sep. 30, 2023         88,835,383 8,121,031