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Summary of Fair Value of Financial Instruments - Schedule of Carrying Amounts and Estimated Fair Values of Financial Instruments (Details) - USD ($)
$ in Thousands
Mar. 31, 2024
Dec. 31, 2023
Mar. 31, 2023
Dec. 31, 2022
Financial assets measured at fair value:        
Derivative assets, Carrying value $ 12,398 $ 13,696    
Financial assets not measured at fair value:        
Cash and cash equivalents 111,065 165,231 $ 344,935 $ 417,064
Restricted cash 132,949 146,079 143,821 $ 141,962
Accounts receivable, Carrying value 56,041 45,521    
Notes receivable, net, Carrying value 9,642 7,369    
Financial liabilities not measured at fair value:        
Debt associated with hotels in receivership 355,120 355,120    
Accounts payable and accrued expenses 130,613 129,323    
Accrued interest payable 12,511 12,985    
Accrued interest associated with hotels in receivership 23,040 14,024    
Dividends and distributions declared but not paid 3,651 3,566 $ 3,193  
Ashford, Inc.        
Financial liabilities not measured at fair value:        
Other accounts payable 9,732 13,261    
Related Party        
Financial liabilities not measured at fair value:        
Other accounts payable 2,003 5,874    
Nonrelated Party        
Financial assets not measured at fair value:        
Other receivables (23,531) (21,664)    
Financial liabilities not measured at fair value:        
Other accounts payable 1,487 1,193    
Carrying Value        
Financial assets measured at fair value:        
Derivative assets, Carrying value 12,398 13,696    
Financial liabilities measured at fair value:        
Derivative liabilities, Carrying value 21,072 23,696    
Financial assets not measured at fair value:        
Cash and cash equivalents 112,657 165,232    
Restricted cash 135,748 146,302    
Accounts receivable, Carrying value 57,428 45,692    
Notes receivable, net, Carrying value 9,642 7,369    
Financial liabilities not measured at fair value:        
Indebtedness, Carrying value 3,017,302 3,038,139    
Debt associated with hotels in receivership 355,120 355,120    
Accounts payable and accrued expenses 133,982 129,554    
Accrued interest payable 13,291 13,040    
Accrued interest associated with hotels in receivership 23,040 14,024    
Dividends and distributions declared but not paid 3,651 3,566    
Carrying Value | Ashford, Inc.        
Financial liabilities not measured at fair value:        
Other accounts payable 9,805 13,262    
Carrying Value | Related Party        
Financial liabilities not measured at fair value:        
Other accounts payable 2,295 5,874    
Carrying Value | Nonrelated Party        
Financial assets not measured at fair value:        
Other receivables (23,531) (21,681)    
Financial liabilities not measured at fair value:        
Other accounts payable 1,487 1,193    
Estimated Fair Value        
Financial assets measured at fair value:        
Derivative assets, Estimated fair value 12,398 13,696    
Financial liabilities measured at fair value:        
Derivative liabilities, Estimated fair value 21,072 23,696    
Financial assets not measured at fair value:        
Cash and cash equivalents, Estimated fair value 112,657 165,232    
Restricted cash, Estimated fair value 135,748 146,302    
Accounts receivable, Estimated fair value 57,428 45,692    
Notes receivable, net, Estimated fair value 9,642 7,369    
Financial liabilities not measured at fair value:        
Indebtedness, Estimated fair value 2,942,453 2,960,630    
Debt associated with hotels in receivership, Estimated fair value 355,120 355,120    
Accounts payable and accrued expenses, Estimated fair value 133,982 129,554    
Accrued interest payable, Estimated fair value 13,291 13,040    
Accrued interest associated with hotels in receivership, Estimated fair value 23,040 14,024    
Dividends payable, Estimated fair value 3,651 3,566    
Estimated Fair Value | Ashford, Inc.        
Financial liabilities not measured at fair value:        
Other accounts payable, Estimated fair value 9,805 13,262    
Estimated Fair Value | Related Party        
Financial liabilities not measured at fair value:        
Due to related parties, net, Estimated fair value 2,295 5,874    
Estimated Fair Value | Nonrelated Party        
Financial assets not measured at fair value:        
Other receivables, Estimated fair value (23,531) (21,681)    
Financial liabilities not measured at fair value:        
Other accounts payable, Estimated fair value $ 1,487 $ 1,193