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Maren consolidation at stabilization (Details) - USD ($)
$ in Thousands
Sep. 30, 2021
Mar. 31, 2021
Dec. 31, 2020
Condensed Cash Flow Statements, Captions [Line Items]      
Land $ 123,397   $ 91,744
Project under construction 13,799   4,879
Accounts receivable 991   923
Assets 678,753   536,360
Long-term Debt 178,334   89,964
Other liabilities 1,886   1,886
Equity – FRP 396,990   367,654
     Total Liabilities and Capital $ 678,753   $ 536,360
Riverfront Holdings I I L L C [Member]      
Condensed Cash Flow Statements, Captions [Line Items]      
Land   $ 29,330  
Building and improvements, net   110,800  
Project under construction   258  
Value of leases in place   4,750  
Cash   3,704  
Cash held in escrow   336  
Accounts receivable   707  
Prepaid expenses   197  
Assets   150,082  
Long-term Debt   88,000  
Amortizable debt costs   (1,072)  
Other liabilities   441  
Equity – FRP   44,200  
Equity - MRP   18,513  
     Total Liabilities and Capital   150,082  
Riverfront Holdings I I L L C [Member]      
Condensed Cash Flow Statements, Captions [Line Items]      
Land   6,472  
Building and improvements, net   87,269  
Project under construction   258  
Value of leases in place   0  
Cash   3,704  
Cash held in escrow   336  
Accounts receivable   707  
Prepaid expenses   197  
Assets   98,943  
Long-term Debt   88,000  
Amortizable debt costs   (1,072)  
Other liabilities   441  
Equity – FRP   7,026  
Equity - MRP   4,548  
     Total Liabilities and Capital   98,943  
Remeasurement Gain [Member]      
Condensed Cash Flow Statements, Captions [Line Items]      
Land   22,858  
Building and improvements, net   23,531  
Project under construction   0  
Value of leases in place   4,750  
Cash   0  
Cash held in escrow   0  
Accounts receivable   0  
Prepaid expenses   0  
Assets   51,139  
Long-term Debt   0  
Amortizable debt costs   0  
Other liabilities   0  
Equity – FRP   37,174  
Equity - MRP   13,965  
     Total Liabilities and Capital   $ 51,139