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Summary of Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Mar. 31, 2016
Dec. 31, 2015
Financial assets and liabilities measured at fair value:        
Derivative assets $ 414 $ 1,149    
Derivative assets, Estimated fair value 414 1,149    
Financial assets not measured at fair value:        
Cash and cash equivalents, Carrying value 161,314 126,790 $ 101,891 $ 105,039
Cash and cash equivalents, Estimated fair value 161,314 126,790    
Restricted cash, Carrying value 35,779 37,855 $ 36,374 $ 33,135
Restricted cash, Estimated fair value 35,779 37,855    
Accounts receivable, Carrying value 24,912 18,194    
Accounts receivable, Estimated fair value 24,912 18,194    
Note receivable. Carrying value 8,098 8,098    
Due from related party, net, Carrying value 598 377    
Due from related party, net, Estimated fair value 598 377    
Due from third-party hotel managers, Carrying value 9,936 7,555    
Due from third-party hotel managers, Estimated fair value 9,936 7,555    
Financial liabilities not measured at fair value:        
Indebtedness, Carrying value 864,690 766,964    
Accounts payable and accrued expenses, Carrying value 52,939 44,791    
Accounts payable and accrued expenses, Estimated fair value 52,939 44,791    
Dividends and distributions payable, Carrying value 8,025 5,038    
Dividends and distributions payable, Estimated fair value 8,025 5,038    
Due to affiliate, net, Carrying Value 0 2,500    
Due to Affiliate, Fair Value Disclosure 0 2,500    
Due to third-party hotel managers, Carrying value 962 973    
Due to third-party hotel managers, Estimated fair value 962 973    
Minimum [Member]        
Financial assets not measured at fair value:        
Notes receivable, Estimated fair value 8,490 8,511    
Financial liabilities not measured at fair value:        
Indebtedness, Estimated fair value 812,563 726,774    
Maximum [Member]        
Financial assets not measured at fair value:        
Notes receivable, Estimated fair value 9,384 9,407    
Financial liabilities not measured at fair value:        
Indebtedness, Estimated fair value 898,094 803,276    
Ashford Inc. [Member]        
Financial liabilities not measured at fair value:        
Due to affiliate, net, Carrying Value 3,525 5,085    
Due to Affiliate, Fair Value Disclosure 3,525 5,085    
AQUA U.S. Fund [Member]        
Financial assets not measured at fair value:        
Due from affiliate, Estimated Fair Value 0 2,289    
Due from affiliates, Fair Value Disclosure 0 2,289    
Ashford Trust OP [Member]        
Financial assets not measured at fair value:        
Due from affiliate, Estimated Fair Value 0 488    
Due from affiliates, Fair Value Disclosure 0 488    
Financial liabilities not measured at fair value:        
Due to affiliate, net, Carrying Value 6 0    
Due to Affiliate, Fair Value Disclosure 6 0    
Ashford Inc. [Member]        
Financial assets and liabilities measured at fair value:        
Investment in Ashford Inc., at fair value $ 11,498 $ 8,407