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Mortgage Notes, Lines of Credit and Bonds Payable (Details) - USD ($)
1 Months Ended 12 Months Ended
Jan. 01, 2026
Jun. 30, 2024
Dec. 31, 2025
Dec. 31, 2024
Sep. 30, 2025
Oct. 17, 2024
Oct. 16, 2024
Mortgage notes payable              
Principal outstanding     $ 161,591,000 $ 204,574,000      
Book Value of Collateral     621,665,000        
Debt issuance costs     (749,000) (891,000)      
Mortgage notes and bonds payable, net     160,842,000 203,683,000      
Debt issuance costs incurred     300,000 200,000      
Accumulated amortization of deferred financing fees     3,000,000 2,600,000      
Interest expense              
Mortgage notes payable              
Amortization expense     $ 400,000 700,000      
Subsequent Event              
Mortgage notes payable              
Amount borrowed $ 76,200,000            
Farmer Mac Facility              
Mortgage notes payable              
Interest Rate (as a percent)     5.37%        
Book Value of Collateral     $ 110,398,000        
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]     us-gaap:SecuredOvernightFinancingRateSofrMember        
Remaining borrowing capacity     $ 62,600,000 42,400,000      
Margin added to reference rate (as a percent)     1.50%        
Additional bond purchase amount     $ 200        
Farmer Mac Facility | Secured Debt              
Mortgage notes payable              
Outstanding debt     $ 0 25,000,000      
Margin added to reference rate (as a percent)     1.50%        
Farmer Mac Facility | Secured Debt | Minimum              
Mortgage notes payable              
Margin added to reference rate (as a percent)     1.30%        
Farmer Mac Facility | Secured Debt | Maximum              
Mortgage notes payable              
Margin added to reference rate (as a percent)     1.50%        
Loan-to-value ratio (as a percent)     60.00%        
MetLife Facility              
Mortgage notes payable              
Interest Rate (as a percent)     5.95%        
Book Value of Collateral     $ 72,328,000        
Margin added to reference rate (as a percent)     1.95%        
MetLife Facility | Term Loan              
Mortgage notes payable              
Outstanding debt     $ 156,700,000 167,800,000      
Remaining borrowing capacity     $ 50,000,000        
Maximum loan to value ratio     60.00%        
MetLife Facility | Term Loan | Minimum              
Mortgage notes payable              
Percentage of prepayment equal to unpaid principal balance     20.00%        
MetLife Facility | Term Loan | Maximum              
Mortgage notes payable              
Percentage of prepayment equal to unpaid principal balance     100.00%        
MetLife Facility | Term Loan              
Mortgage notes payable              
Notional amount     $ 0        
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]     us-gaap:SecuredOvernightFinancingRateSofrMember        
Margin added to reference rate (as a percent)     1.95%        
Amount borrowed     $ 50,000,000        
Rutledge Credit Facilities              
Mortgage notes payable              
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]     us-gaap:SecuredOvernightFinancingRateSofrMember        
Outstanding debt     $ 0 0      
Remaining borrowing capacity     $ 51,000,000        
Margin added to reference rate (as a percent)   1.40% 1.40%        
Commitment fee percentage   0.20%          
Elimination of annual reduction (in percent)   2.50%          
Maximum borrowing capacity   $ 75,000,000 $ 51,000,000   $ 51,000,000    
Recognized non-cash loss     $ 70,000.00 60,000.00      
Farmer Mac Bond #6              
Mortgage notes payable              
Interest Rate (as a percent)     3.69%        
Principal outstanding       13,827,000      
Farmer Mac Bond #7              
Mortgage notes payable              
Interest Rate (as a percent)     3.68%        
Principal outstanding       11,160,000      
MetLife Term Loan #1              
Mortgage notes payable              
Interest Rate (as a percent)     5.55%        
Principal outstanding     $ 67,086,000 67,086,000      
Book Value of Collateral     $ 89,071,000        
MetLife Term Loan #4              
Mortgage notes payable              
Interest Rate (as a percent)     5.55%        
Interest Rate Terms     3 years        
Principal outstanding     $ 1,200,000 1,550,000      
Book Value of Collateral     $ 2,695,000        
MetLife Term Loan #5              
Mortgage notes payable              
Interest Rate (as a percent)     5.63%        
Interest Rate Terms     3 years        
Principal outstanding     $ 1,827,000 1,827,000      
Book Value of Collateral     $ 5,370,000        
MetLife Term Loan #6              
Mortgage notes payable              
Interest Rate (as a percent)     5.55%        
Interest Rate Terms     3 years        
Principal outstanding     $ 16,226,000 16,226,000      
Book Value of Collateral     $ 26,230,000        
MetLife Term Loan #7              
Mortgage notes payable              
Interest Rate (as a percent)     5.87%        
Interest Rate Terms     3 years        
Principal outstanding     $ 6,934,000 6,934,000      
Book Value of Collateral     $ 12,120,000        
MetLife Term Loan #8              
Mortgage notes payable              
Interest Rate (as a percent)     4.12%        
Interest Rate Terms     10 years        
Principal outstanding     $ 35,200,000 44,000,000      
Book Value of Collateral     $ 110,042,000        
Metlife Term Loan #9              
Mortgage notes payable              
Interest Rate (as a percent)     6.37%        
Interest Rate Terms     3 years        
Principal outstanding     $ 6,400,000 8,400,000      
Book Value of Collateral     $ 12,434,000        
Metlife Term Loan #10              
Mortgage notes payable              
Interest Rate (as a percent)     6.36%        
Principal outstanding     $ 21,806,000 21,806,000      
Book Value of Collateral     $ 35,874,000        
Rabobank              
Mortgage notes payable              
Interest Rate (as a percent)     5.69%        
Principal outstanding     $ 4,912,000 $ 11,758,000      
Book Value of Collateral     $ 8,633,000        
Margin added to reference rate (as a percent)     1.81%        
Rabobank | Interest Rate Swap | Cash Flow Hedging | Designated as Hedging Instrument              
Mortgage notes payable              
Notional amount     $ 4,900,000     $ 11,800,000 $ 33,200,000
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]     us-gaap:SecuredOvernightFinancingRateSofrMember        
Derivative basis spread on variable rate     2.114%        
Weighted average rate percentage     3.81%        
Adjustment amount of notional amount     $ 4,900,000        
Ratio of floating rate debt to total debt (as percent)     0.00% 3.00%      
Rabobank | Secured Debt              
Mortgage notes payable              
Outstanding debt     $ 4,900,000 $ 11,800,000      
Rutledge Facility              
Mortgage notes payable              
Interest Rate (as a percent)     5.39%        
Book Value of Collateral     $ 136,470,000        
Margin added to reference rate (as a percent)     1.40%