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Unconsolidated Affiliates - Joint Ventures (Details) - USD ($)
1 Months Ended 2 Months Ended 6 Months Ended 10 Months Ended 12 Months Ended
Jan. 01, 2022
Dec. 31, 2021
Mar. 31, 2021
Feb. 29, 2020
Nov. 30, 2019
Oct. 31, 2019
Sep. 30, 2019
Aug. 31, 2019
May 31, 2019
Dec. 31, 2021
Jun. 30, 2020
Oct. 31, 2021
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Nov. 01, 2021
Jul. 31, 2019
Nov. 30, 2018
Schedule Of Equity Method Investments [Line Items]                                    
Long-lived assets   $ 120,290,000               $ 120,290,000   $ 120,290,000 $ 120,290,000 $ 268,830,000 $ 199,740,000      
Gain on deconsolidation                   19,126,000   55,131,000     67,242,000      
Secured loan   395,395,000               395,395,000   395,000,000 395,395,000     $ 455,000,000    
Proceeds after factoring in its share of outstanding debt                   7,103,000                
Fair value carrying amount   $ 2,092,298,000               2,092,298,000     $ 2,092,298,000     $ 133,000,000    
Gain on sales of real estate assets                   $ (3,000)   12,187,000   $ 4,696,000 $ 16,274,000      
Interest rate percentage   10.00%               10.00%     10.00%          
Asheville Mall and Park Plaza                                    
Schedule Of Equity Method Investments [Line Items]                                    
Long-lived assets                       0            
Gain on deconsolidation                       $ 55,131,000            
Springs at Port Orange                                    
Schedule Of Equity Method Investments [Line Items]                                    
Secured loan   $ 44,400,000               $ 44,400,000     $ 44,400,000          
EastGate Mall CMBS, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Long-lived assets   0               $ 0     0          
Gain on deconsolidation                         $ 19,126,000          
EastGate Storage, LLC, Hamilton Place Self Storage, LLC, Parkdale Self Storage, LLC and Self-Storage at Mid Rivers, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Gross proceeds   42,000,000                                
Pay off total outstanding debt secured by property   25,855,000                                
Amount received after the proceeds used to pay off outstanding debt   $ 7,637,000                                
Ambassador Infrastructure, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Loan maturity date                         Mar. 31, 2025          
Loan agreement term                         4 years          
Line of credit fixed interest rate   3.00%               3.00%     3.00%          
Loan outstanding balance   $ 8,250,000               $ 8,250,000     $ 8,250,000          
Amount paid in conjunction with modification                         $ 1,110,000          
Debtors emerged from bankruptcy date                         Nov. 01, 2021          
Debt instrument, term                         4 years          
Port Orange I, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Loan maturity date     Feb. 28, 2026                              
Loan agreement term     4 years                              
Loan outstanding balance   51,548,000               51,548,000     $ 51,548,000          
Debtors emerged from bankruptcy date     Nov. 01, 2021                              
Loan term of extension option     1 year                              
Debt instrument, term     4 years                              
Port Orange I, LLC | CBL Associates Properties Inc                                    
Schedule Of Equity Method Investments [Line Items]                                    
Loan outstanding balance   25,774,000               25,774,000     25,774,000          
Port Orange I, LLC | LIBOR in Year One                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     2.50%                              
Port Orange I, LLC | LIBOR in Year Two                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     2.50%                              
Port Orange I, LLC | LIBOR in Year Three                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     2.75%                              
Port Orange I, LLC | LIBOR in Year Four                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     3.00%                              
Port Orange I, LLC | LIBOR in Year Five                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     3.25%                              
West Melbourne I, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Loan maturity date     Feb. 28, 2026                              
Loan agreement term     4 years                              
Debtors emerged from bankruptcy date     Nov. 01, 2021                              
Loan term of extension option     1 year                              
Loans in default, aggregate outstanding balance   52,910,000               52,910,000     52,910,000          
Debt instrument, term     4 years                              
West Melbourne I, LLC | CBL Associates Properties Inc                                    
Schedule Of Equity Method Investments [Line Items]                                    
Loans in default, aggregate outstanding balance   $ 26,454,000               $ 26,454,000     $ 26,454,000          
West Melbourne I, LLC | LIBOR in Year One                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     2.50%                              
West Melbourne I, LLC | LIBOR in Year Two                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     2.50%                              
West Melbourne I, LLC | LIBOR in Year Three                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     2.75%                              
West Melbourne I, LLC | LIBOR in Year Four                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     3.00%                              
West Melbourne I, LLC | LIBOR in Year Five                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)     3.25%                              
York Town Center Holding, LP | Subsequent Event | Nonrecourse                                    
Schedule Of Equity Method Investments [Line Items]                                    
Loan agreement term 3 years                                  
Fair value carrying amount $ 30,000,000                                  
Debt Instrument, Interest Rate, Effective Percentage 4.75%                                  
Debt instrument, term 3 years                                  
Atlanta Outlet JV, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership interest in joint venture (as a percent)       50.00%                     50.00%      
Amount       $ 4,680,000                            
Debt instrument, maturity date       Nov. 30, 2023                            
Maximum guarantee (as a percent)       100.00%                            
Proportion of ownership in variable interest entity sold (as a percent)                             25.00%      
Proceeds from sale of land                             $ 20,778,000      
Related debt as part of proceeds from sale of land                             11,440,000      
Gain (loss) on investment/deconsolidation                             56,067,000      
Gain on sales of real estate assets                             $ 12,939,000      
Proportion of ownership in variable interest entity sold (as a percent)                             25.00%      
Gain (loss) related to marking investment to fair value                             $ 43,128,000      
Atlanta Outlet JV, LLC | LIBOR                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)       2.50%                            
BI Development II, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership in variable interest entity (as a percent)                     20.00%              
BI Development, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership in variable interest entity (as a percent)                         20.00%          
Bullseye, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership in variable interest entity (as a percent)                         20.00%          
El Paso Outlet Center Holding, LLC and El Paso Outlet Outparcels, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership interest in joint venture (as a percent)               50.00%                    
Proportion of ownership in variable interest entity sold (as a percent)               25.00%                    
Proceeds from sale of land               $ 27,750,000                    
Related debt as part of proceeds from sale of land               18,525,000                    
Gain (loss) on investment/deconsolidation               11,174,000                    
Gain on sales of real estate assets               3,884,000                    
Gain (loss) related to marking investment to fair value               $ 7,290,000                    
G&I VIII CBL Triangle LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership interest in joint venture (as a percent)                                 90.00%  
Real estate investments                                 $ 0  
Hamilton Place Self Storage, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership interest in joint venture (as a percent)             54.00%                      
Amount             $ 7,002,000                      
Maximum guarantee (as a percent)             100.00%                      
Gain on sales of real estate assets             $ 187,000                      
Maximum guarantee, backup guaranty (as a percent)             50.00%                      
Hamilton Place Self Storage, LLC | LIBOR                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)             2.75%                      
Mall of South Carolina L.P.                                    
Schedule Of Equity Method Investments [Line Items]                                    
Amount         $ 7,959,000                          
Debt instrument, maturity date         Nov. 30, 2024                          
Debt Fixed Interest Rate         5.05%                          
Parkdale Self Storage, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership interest in joint venture (as a percent)                 50.00%                  
Amount                 $ 6,500,000                  
Debt instrument, maturity date                 Jul. 31, 2024                  
Maximum guarantee (as a percent)                 100.00%                  
Gain on sales of real estate assets                 $ 433,000                  
Interest rate percentage                 5.25%                  
Parkdale Self Storage, LLC | LIBOR                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)                 2.80%                  
Vision-CBL Hamilton Place, LLC                                    
Schedule Of Equity Method Investments [Line Items]                                    
Ownership interest in joint venture (as a percent)                                   50.00%
Amount           $ 16,800,000                        
Debt instrument, maturity date           Nov. 30, 2024                        
Gain on sales of real estate assets                             $ 1,381,000      
Vision-CBL Hamilton Place, LLC | LIBOR                                    
Schedule Of Equity Method Investments [Line Items]                                    
Basis spread on variable rate (as a percent)           2.45%