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Fair Value of Financial Instruments - Summary of Fair Value Assets and Liabilities Measured on Recurring Basis (Detail) - USD ($)
$ in Thousands
Dec. 31, 2020
Dec. 31, 2019
Assets:    
Total $ 108,500 $ 13,674
Liabilities:    
Notes payable at fair value, net of debt issuance cost 157,747 3,313
Total 165,862 6,656
Fair Value, Recurring    
Assets:    
Interest rate swaps at fair value   9
Total   9
Liabilities:    
Notes payable at fair value, net of debt issuance cost 157,747 3,313
Total 157,747 3,313
Fair Value, Recurring | Level 1    
Assets:    
Interest rate swaps at fair value   0
Total   0
Liabilities:    
Notes payable at fair value, net of debt issuance cost 0 0
Total 0 0
Fair Value, Recurring | Level 2    
Assets:    
Interest rate swaps at fair value   9
Total   9
Liabilities:    
Notes payable at fair value, net of debt issuance cost 157,747 3,313
Total 157,747 3,313
Fair Value, Recurring | Level 3    
Assets:    
Interest rate swaps at fair value   0
Total   0
Liabilities:    
Notes payable at fair value, net of debt issuance cost 0 0
Total $ 0 $ 0