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CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY - USD ($)
$ in Thousands
Common Stock
Paid-in Capital
Accumulated Other Comprehensive Income (Loss)
Accumulated Distributions in Excess of Net Income
Non-Controlling Interests in Consolidated Joint Ventures
Total
Balances at Dec. 31, 2019 $ 19,251 $ 301,517 $ (1,623) $ (28,382) $ 1,221 $ 291,984
Distributions - common stock            
Cash       (29,736)   (29,736)
Stock 404 6,424   (6,828)    
Restricted stock and RSU vesting 146 (146)        
Shares issued through dividend reinvestment plan 77 949       1,026
Contribution from non-controlling interest         10 10
Distributions to non-controlling interests         (40) (40)
Compensation expense - restricted stock and RSUs   4,686       4,686
Net income       27,407 6 27,413
Other comprehensive income     (3,379)   (4) (3,383)
Balances at Dec. 31, 2020 19,878 313,430 (5,002) (37,539) 1,193 291,960
Distributions - common stock            
Cash       (37,505)   (37,505)
Restricted stock and RSU vesting 220 (220)        
Shares issued through equity offering program - net 106 3,208       3,314
Shares issued through dividend reinvestment plan 35 942       977
Contribution from non-controlling interest         25 25
Distributions to non-controlling interests         (457) (457)
Compensation expense - restricted stock and RSUs   5,433       5,433
Net income       38,857 177 39,034
Other comprehensive income     3,489   8 3,497
Balances at Dec. 31, 2021 20,239 322,793 (1,513) (36,187) 946 306,278
Distributions - common stock            
Cash       (38,092)   (38,092)
Restricted stock and RSU vesting 212 (212)        
Repurchases of common stock - net (208) (5,032)       (5,240)
Shares issued through equity offering program - net 17 546       563
Shares issued through dividend reinvestment plan 102 2,293       2,395
Distributions to non-controlling interests         (52) (52)
Compensation expense - restricted stock and RSUs   5,507       5,507
Net income       42,177 76 42,253
Other comprehensive income     3,323   2 3,325
Balances at Dec. 31, 2022 $ 20,362 $ 325,895 $ 1,810 $ (32,102) $ 972 $ 316,937