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Consolidated Statement of Equity - USD ($)
Total
Limited Partners' Interest In Operating Partnership [Member]
Restated [Member]
Restated [Member]
Limited Partners' Interest In Operating Partnership [Member]
Preferred Stock [Member]
Preferred Stock [Member]
Restated [Member]
Common Stock [Member]
Common Stock [Member]
Restated [Member]
Treasury Stock, At Cost [Member]
Treasury Stock, At Cost [Member]
Restated [Member]
Additional Paid-In Capital [Member]
Additional Paid-In Capital [Member]
Restated [Member]
Cumulative Distributions In Excess Of Net Income [Member]
Cumulative Distributions In Excess Of Net Income [Member]
Restated [Member]
Accumulated Other Comprehensive Income [Member]
Accumulated Other Comprehensive Income [Member]
Restated [Member]
Cedar Realty Trust, Inc. [Member]
Cedar Realty Trust, Inc. [Member]
Restated [Member]
Minority Interests In Consolidated Joint Ventures [Member]
Minority Interests In Consolidated Joint Ventures [Member]
Restated [Member]
Noncontrolling Interests [Member]
Noncontrolling Interests [Member]
Restated [Member]
Balance at Dec. 31, 2017 $ 630,111,000 $ 2,384,000     $ 207,508,000   $ 5,479,000   $ (18,463,000)   $ 875,062,000   $ (446,944,000)   $ 5,694,000   $ 628,336,000   $ (609,000)   $ 1,775,000  
Balance, shares at Dec. 31, 2017         8,450,000   91,317,000                              
Net (loss) income (16,620,000) (87,000)                     (16,668,000)       (16,668,000)   135,000   48,000  
Unrealized gain (loss) on change in fair value of cash flow hedges 5,890,000 22,000                         5,868,000   5,868,000       22,000  
Share-based compensation, net 251,000           $ 24,000   5,000   222,000           251,000          
Share-based compensation, net, shares             393,000                              
Redemptions of Series B Shares (50,016,000)       $ (47,967,000)           1,458,000   (3,507,000)       (50,016,000)          
Redemptions of Series B Shares, Shares         (2,000,000)                                  
Common stock sales, net of issuance expenses 1,000                   1,000           1,000          
Preferred stock dividends (2,799,000)                       (2,799,000)       (2,799,000)          
Distributions to common shareholders/noncontrolling interests (4,612,000) (17,000)                     (4,595,000)       (4,595,000)       (17,000)  
Reallocation adjustment of limited partners' interest   (184,000)                 184,000           184,000       (184,000)  
Balance at Mar. 31, 2018 562,206,000 2,118,000     $ 159,541,000   $ 5,503,000   (18,458,000)   876,927,000   (474,513,000)   11,562,000   560,562,000   (474,000)   1,644,000  
Balance, shares at Mar. 31, 2018         6,450,000   91,710,000                              
Balance at Dec. 31, 2017 630,111,000 2,384,000     $ 207,508,000   $ 5,479,000   (18,463,000)   875,062,000   (446,944,000)   5,694,000   628,336,000   (609,000)   1,775,000  
Balance, shares at Dec. 31, 2017         8,450,000   91,317,000                              
Unrealized gain (loss) on change in fair value of cash flow hedges 9,956,000                                          
Balance at Sep. 30, 2018 570,954,000 3,446,000     $ 159,541,000   $ 5,473,000   (16,650,000)   876,865,000   (473,098,000)   15,592,000   567,723,000   (215,000)   3,231,000  
Balance, shares at Sep. 30, 2018         6,450,000   91,211,000                              
Balance at Dec. 31, 2017 630,111,000 2,384,000     $ 207,508,000   $ 5,479,000   (18,463,000)   875,062,000   (446,944,000)   5,694,000   628,336,000   (609,000)   1,775,000  
Balance, shares at Dec. 31, 2017         8,450,000   91,317,000                              
Prior period adjustment - adoption of lease accounting standard | Accounting Standards Update 2016-02 [Member] (515,000)                       (515,000)       (515,000)          
Balance at Dec. 31, 2018 558,716,000 3,403,000 $ 558,201,000 $ 3,403,000 $ 159,541,000 $ 159,541,000 $ 5,426,000 $ 5,426,000 (16,572,000) $ (16,572,000) 875,565,000 $ 875,565,000 (475,726,000) $ (476,241,000) 7,191,000 $ 7,191,000 555,425,000 $ 554,910,000 (112,000) $ (112,000) 3,291,000 $ 3,291,000
Balance, shares at Dec. 31, 2018         6,450,000 6,450,000 90,436,000 90,436,000                            
Balance at Mar. 31, 2018 562,206,000 2,118,000     $ 159,541,000   $ 5,503,000   (18,458,000)   876,927,000   (474,513,000)   11,562,000   560,562,000   (474,000)   1,644,000  
Balance, shares at Mar. 31, 2018         6,450,000   91,710,000                              
Net (loss) income 9,937,000 27,000                     9,777,000       9,777,000   133,000   160,000  
Unrealized gain (loss) on change in fair value of cash flow hedges 1,937,000 7,000                         1,930,000   1,930,000       7,000  
Share-based compensation, net 962,000           $ (30,000)   1,729,000   (737,000)           962,000          
Share-based compensation, net, shares             (496,000)                              
Common stock sales, net of issuance expenses 4,000                   4,000           4,000          
Common stock sales, net of issuance expenses, shares             1,000                              
Preferred stock dividends (2,688,000)                       (2,688,000)       (2,688,000)          
Distributions to common shareholders/noncontrolling interests (4,602,000) (17,000)                     (4,585,000)       (4,585,000)       (17,000)  
Reallocation adjustment of limited partners' interest   15,000                 (15,000)           (15,000)       15,000  
Balance at Jun. 30, 2018 567,756,000 2,150,000     $ 159,541,000   $ 5,473,000   (16,729,000)   876,179,000   (472,009,000)   13,492,000   565,947,000   (341,000)   1,809,000  
Balance, shares at Jun. 30, 2018         6,450,000   91,215,000                              
Net (loss) income 6,305,000 19,000                     6,160,000       6,160,000   126,000   145,000  
Unrealized gain (loss) on change in fair value of cash flow hedges 2,129,000 29,000                         2,100,000   2,100,000       29,000  
Share-based compensation, net 1,073,000               79,000   994,000           1,073,000          
Share-based compensation, net, shares             (5,000)                              
Preferred stock dividends (2,688,000)                       (2,688,000)       (2,688,000)          
Preferred stock dividends, shares             1,000                              
Distributions to common shareholders/noncontrolling interests (4,589,000) (28,000)                     (4,561,000)       (4,561,000)       (28,000)  
Redemption of OP Units (7,000) (7,000)                                     (7,000)  
Issuance of OP Units 975,000 975,000                                     975,000  
Reallocation adjustment of limited partners' interest   308,000                 (308,000)           (308,000)       308,000  
Balance at Sep. 30, 2018 570,954,000 3,446,000     $ 159,541,000   $ 5,473,000   (16,650,000)   876,865,000   (473,098,000)   15,592,000   567,723,000   (215,000)   3,231,000  
Balance, shares at Sep. 30, 2018         6,450,000   91,211,000                              
Balance at Dec. 31, 2018 558,716,000 3,403,000 558,201,000 3,403,000 $ 159,541,000 $ 159,541,000 $ 5,426,000 $ 5,426,000 (16,572,000) (16,572,000) 875,565,000 875,565,000 (475,726,000) (476,241,000) 7,191,000 7,191,000 555,425,000 554,910,000 (112,000) (112,000) 3,291,000 3,291,000
Balance, shares at Dec. 31, 2018         6,450,000 6,450,000 90,436,000 90,436,000                            
Net (loss) income 2,989,000 2,000                     2,882,000       2,882,000   105,000   107,000  
Unrealized gain (loss) on change in fair value of cash flow hedges (5,442,000) (33,000)                         (5,409,000)   (5,409,000)       (33,000)  
Share-based compensation, net 753,000           $ 39,000   22,000   692,000           753,000          
Share-based compensation, net, shares             650,000                              
Common stock sales, net of issuance expenses 5,000                   5,000           5,000          
Common stock sales, net of issuance expenses, shares             1,000                              
Common stock repurchases (6,844,000)           $ (123,000)       (6,721,000)           (6,844,000)          
Common stock repurchases. Shares             (2,050,000)                              
Preferred stock dividends (2,688,000)                       (2,688,000)       (2,688,000)          
Distributions to common shareholders/noncontrolling interests (4,483,000) (28,000)                     (4,455,000)       (4,455,000)       (28,000)  
Reallocation adjustment of limited partners' interest   12,000                 (12,000)           (12,000)       12,000  
Balance at Mar. 31, 2019 542,491,000 3,356,000     $ 159,541,000   $ 5,342,000   (16,550,000)   869,529,000   (480,502,000)   1,782,000   539,142,000   (7,000)   3,349,000  
Balance, shares at Mar. 31, 2019         6,450,000   89,037,000                              
Balance at Dec. 31, 2018 558,716,000 3,403,000 $ 558,201,000 $ 3,403,000 $ 159,541,000 $ 159,541,000 $ 5,426,000 $ 5,426,000 (16,572,000) $ (16,572,000) 875,565,000 $ 875,565,000 (475,726,000) $ (476,241,000) 7,191,000 $ 7,191,000 555,425,000 $ 554,910,000 (112,000) $ (112,000) 3,291,000 $ 3,291,000
Balance, shares at Dec. 31, 2018         6,450,000 6,450,000 90,436,000 90,436,000                            
Unrealized gain (loss) on change in fair value of cash flow hedges (17,137,000)                                          
Balance at Sep. 30, 2019 527,175,000 3,158,000     $ 159,541,000   $ 5,341,000   (16,391,000)   871,682,000   (486,617,000)   (9,842,000)   523,714,000   303,000   3,461,000  
Balance, shares at Sep. 30, 2019         6,450,000   89,021,000                              
Balance at Mar. 31, 2019 542,491,000 3,356,000     $ 159,541,000   $ 5,342,000   (16,550,000)   869,529,000   (480,502,000)   1,782,000   539,142,000   (7,000)   3,349,000  
Balance, shares at Mar. 31, 2019         6,450,000   89,037,000                              
Net (loss) income 5,544,000 17,000                     5,383,000       5,383,000   144,000   161,000  
Unrealized gain (loss) on change in fair value of cash flow hedges (8,596,000) (53,000)                         (8,543,000)   (8,543,000)       (53,000)  
Share-based compensation, net 1,132,000           $ (1,000)   80,000   1,053,000           1,132,000          
Share-based compensation, net, shares             (13,000)                              
Common stock sales, net of issuance expenses 3,000                   3,000           3,000          
Common stock sales, net of issuance expenses, shares             1,000                              
Preferred stock dividends (2,688,000)                       (2,688,000)       (2,688,000)          
Distributions to common shareholders/noncontrolling interests (4,479,000) (28,000)                     (4,451,000)       (4,451,000)       (28,000)  
Reallocation adjustment of limited partners' interest   3,000                 (3,000)           (3,000)       3,000  
Balance at Jun. 30, 2019 533,407,000 3,295,000     $ 159,541,000   $ 5,341,000   (16,470,000)   870,582,000   (482,258,000)   (6,761,000)   529,975,000   137,000   3,432,000  
Balance, shares at Jun. 30, 2019         6,450,000   89,025,000                              
Net (loss) income 2,947,000 1,000                     2,780,000       2,780,000   166,000   167,000  
Unrealized gain (loss) on change in fair value of cash flow hedges (3,099,000) (18,000)                         (3,081,000)   (3,081,000)       (18,000)  
Share-based compensation, net 1,120,000               79,000   1,041,000           1,120,000          
Share-based compensation, net, shares             (9,000)                              
Common stock sales, net of issuance expenses 10,000                   10,000           10,000          
Common stock sales, net of issuance expenses, shares             5,000                              
Preferred stock dividends (2,688,000)                       (2,688,000)       (2,688,000)          
Distributions to common shareholders/noncontrolling interests (4,479,000) (28,000)                     (4,451,000)       (4,451,000)       (28,000)  
Redemption of OP Units (43,000) (43,000)                                     (43,000)  
Reallocation adjustment of limited partners' interest   (49,000)                 49,000           49,000       (49,000)  
Balance at Sep. 30, 2019 $ 527,175,000 $ 3,158,000     $ 159,541,000   $ 5,341,000   $ (16,391,000)   $ 871,682,000   $ (486,617,000)   $ (9,842,000)   $ 523,714,000   $ 303,000   $ 3,461,000  
Balance, shares at Sep. 30, 2019         6,450,000   89,021,000