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DEBT OBLIGATIONS (Tables)
3 Months Ended
Mar. 31, 2025
DEBT OBLIGATIONS  
Schedule of mortgages payable, net

The following table details the Mortgages payable, net, balances per the consolidated balance sheets (amounts in thousands):

March 31, 

December 31, 

    

2025

    

2024

Mortgages payable, gross

$

470,763

$

424,978

Unamortized deferred financing costs

 

(4,159)

 

(3,756)

Unamortized mortgage intangible assets

(633)

(667)

Mortgages payable, net

$

465,971

$

420,555

Schedule of principal repayments

The following table sets forth, as of March 31, 2025, scheduled principal repayments with respect to the Company’s mortgage debt during the nine months ending December 31, 2025 and for each of the subsequent twelve months through maturity (amounts in thousands):

    

2025

    

2026

    

2027

    

2028

    

2029

    

Thereafter

    

Total

Amortization payments

$

8,291

$

11,038

$

9,999

$

9,356

$

7,284

$

30,987

$

76,955

Principal due at maturity

 

13,129

 

18,461

 

44,332

 

30,155

 

79,386

 

208,345

 

393,808

Total

$

21,420

$

29,499

$

54,331

$

39,511

$

86,670

$

239,332

$

470,763