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Consolidated Statements of Equity - USD ($)
$ in Thousands
Total
Preferred Shares
Common Shares
Total Shareholders’ Equity
Total Shareholders’ Equity
Preferred Shares
Total Shareholders’ Equity
Common Shares
Preferred Shares
Preferred Shares
Preferred Shares
Common Shares
Common Shares
Common Shares
Additional Paid - In Capital
Additional Paid - In Capital
Preferred Shares
Additional Paid - In Capital
Common Shares
Accumulated Deficit
Noncontrolling Interest in Operating Partnership
Beginning Balance (in shares) at Dec. 31, 2019             0   46,928,445            
Beginning Balance at Dec. 31, 2019 $ 775,024     $ 762,377     $ 0   $ 469   $ 904,273     $ (142,365) $ 12,647
Increase (Decrease) in Stockholders' Equity [Roll Forward]                              
Issuance of common shares pursuant to Equity Incentive Plan (in shares)                 24,516            
Issuance of common shares pursuant to Equity Incentive Plan 450     450             450        
Issuance of shares, net of offering costs (in shares)                 20,512            
Issuance of shares, net of offering costs 134     134         $ 1   133        
Amortization of share based compensation 4,436     30             30       4,406
Dividends declared on common shares (10,330)     (10,330)                   (10,330)  
Distributions declared on LTIP units (234)                           (234)
Reallocation of noncontrolling interest 0     1,114             1,114       (1,114)
Net (loss) income (77,020)     (76,023)                   (76,023) (997)
Ending Balance (in shares) at Dec. 31, 2020             0   46,973,473            
Ending Balance at Dec. 31, 2020 692,460     677,752     $ 0   $ 470   906,000     (228,718) 14,708
Increase (Decrease) in Stockholders' Equity [Roll Forward]                              
Issuance of common shares pursuant to Equity Incentive Plan (in shares)                 40,203            
Issuance of common shares pursuant to Equity Incentive Plan 450     450             450        
Issuance of shares, net of offering costs (in shares)               4,800,000   1,745,214          
Issuance of shares, net of offering costs   $ 115,937 $ 23,790   $ 115,937 $ 23,790   $ 48   $ 17   $ 115,889 $ 23,773    
Issuance of restricted time-based shares (in shares)                 10,000            
Issuance of restricted time-based shares 0                            
Amortization of share based compensation 4,336     43             43       4,293
Forfeited distributions on LTIP units 40                           40
Dividends accrued on preferred shares (3,975)     (3,975)                   (3,975)  
Reallocation of noncontrolling interest 0     1,915             1,915       (1,915)
Net (loss) income (18,845)     (18,410)                   (18,410) (435)
Ending Balance (in shares) at Dec. 31, 2021             4,800,000   48,768,890            
Ending Balance at Dec. 31, 2021 814,193     797,502     $ 48   $ 487   1,048,070     (251,103) 16,691
Increase (Decrease) in Stockholders' Equity [Roll Forward]                              
Issuance of common shares pursuant to Equity Incentive Plan (in shares)                 34,672            
Issuance of common shares pursuant to Equity Incentive Plan 487     487         $ 1   486        
Issuance of shares, net of offering costs (in shares)                 4,543            
Issuance of shares, net of offering costs (50)     (50)             (50)        
Amortization of share based compensation 5,011     38             38       4,973
Dividends declared on common shares (3,417)     (3,417)                   (3,417)  
Distributions declared on LTIP units (148)                           (148)
Dividends accrued on preferred shares (7,950)     (7,950)                   (7,950)  
Reallocation of noncontrolling interest 0     (1,521)             (1,521)       1,521
Net (loss) income 9,871     9,805                   9,805 66
Ending Balance (in shares) at Dec. 31, 2022             4,800,000   48,808,105            
Ending Balance at Dec. 31, 2022 $ 817,997     $ 794,894     $ 48   $ 488   $ 1,047,023     $ (252,665) $ 23,103