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Fair Value Measurements (Details)
Dec. 31, 2022
USD ($)
item
Dec. 31, 2021
USD ($)
item
Fair value measurements    
Number of interest rate swaps | item 2  
Notional Amount $ 100,000,000  
Mortgage loans receivable, net of credit loss reserve 389,728,000 $ 344,442,000
Notes receivable, net of credit loss reserve 58,383,000 28,337,000
Outstanding Balance 767,854,000 722,719,000
Senior unsecured notes, net of debt issue costs $ 538,343,000 $ 512,456,000
Level 3 | Senior Unsecured Notes maturing before 2030 | Discount Rate    
Fair value measurements    
Future cash outflows discount rate (as a percent) | item 6.50 3.0
Level 3 | Senior Unsecured Notes maturing 2030 and after | Discount Rate    
Fair value measurements    
Future cash outflows discount rate (as a percent) | item 7.00 3.25
Level 3 | Financing Receivable | Discount Rate    
Fair value measurements    
Future cash inflows discount rate (as a percent) 7.6  
Level 3 | Mortgage Loans Receivable | Discount Rate    
Fair value measurements    
Future cash inflows discount rate (as a percent) 9.3 9.5
Level 3 | Notes Receivable | Discount Rate    
Fair value measurements    
Future cash inflows discount rate (as a percent) 7.1 5.6
Carrying Value    
Fair value measurements    
Mortgage loans receivable, net of credit loss reserve $ 389,728,000 $ 344,442,000
Revolving line of credit 130,000,000 110,900,000
Outstanding Balance 99,511,000 99,363,000
Senior unsecured notes, net of debt issue costs 538,343,000 512,456,000
Carrying Value | Financing Receivable    
Fair value measurements    
Notes receivable, net of credit loss reserve 75,999,000  
Carrying Value | Notes Receivable    
Fair value measurements    
Notes receivable, net of credit loss reserve 58,383,000 28,337,000
Fair Value    
Fair value measurements    
Revolving line of credit 130,000,000 110,900,000
Outstanding Balance 100,000,000 100,000,000
Fair Value | Financing Receivable    
Fair value measurements    
Notes receivable, net of credit loss reserve 76,033,000  
Fair Value | Notes Receivable    
Fair value measurements    
Notes receivable, net of credit loss reserve 61,858,000 28,653,000
Fair Value | Level 3    
Fair value measurements    
Mortgage loans receivable, net of credit loss reserve 461,276,000 405,162,000
Senior unsecured notes, net of debt issue costs $ 477,653,000 $ 540,045,000