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Mortgage Loan (Details)
$ in Thousands
9 Months Ended 12 Months Ended
Mar. 29, 2018
USD ($)
ft²
Jan. 30, 2018
USD ($)
ft²
building
Jul. 14, 2017
USD ($)
ft²
Mar. 15, 2017
USD ($)
Aug. 31, 2018
USD ($)
item
Aug. 31, 2017
USD ($)
Nov. 30, 2017
USD ($)
Long-Term Debt              
Loans, net of debt issuance costs         $ 141,113   $ 129,203
Debt disclosures              
Ineffectiveness on cash flow hedges         0    
Anticipated ineffectiveness on cash flow hedges         0    
Net fair value of interest rate swap agreements         2,873    
Number of buildings used as collateral | building   2          
Proceeds from issuance of debt         26,806 $ 34,750  
Term of debt 15 years            
Amortization period of debt 25 years            
Construction closed of a permanent mortgage loan (the “State Farm Loan”) with State Farm Life Insurance Company $ 13,800            
Area Of Building | ft² 234,000            
Interest rate 4.51%            
Payment for termination of interest rate swap agreement           341  
Other assets              
Debt disclosures              
Net fair value of interest rate swap agreements         2,973    
Other liabilities              
Debt disclosures              
Net fair value of interest rate swap agreements         $ 100    
Maximum              
Debt disclosures              
Construction closed of a permanent mortgage loan (the “State Farm Loan”) with State Farm Life Insurance Company $ 14,288            
Interest rate swap agreement              
Debt disclosures              
Number of agreements containing credit risk related contingent features | item         0    
Recognized net losses (included in other comprehensive loss), before taxes, on interest rate swap agreements         $ 3,236 $ 1,045  
Loss expected to be reclassified over next twelve months from accumulated other comprehensive loss to interest expense         74    
Mortgage loans              
Long-Term Debt              
Loans, prior to debt issuance costs         135,257   130,977
Debt issuance costs, net         (1,780)   (1,774)
Loans, net of debt issuance costs         $ 133,477   $ 129,203
Weighted average interest rate         4.30%   4.26%
Construction loan              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 8,025    
Debt issuance costs, net         (389)    
Loans, net of debt issuance costs         $ 7,636    
Interest rate (as a percent)         4.51%    
3.91%, due January 27, 2020              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 3,378   $ 3,478
Interest rate (as a percent)         3.91%    
4.72%, due October 3, 2022              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 4,297   4,367
Interest rate (as a percent)         4.72%    
4.39%, due January 2, 2025              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 19,811   20,221
Interest rate (as a percent)         4.39%    
4.17%, due May 1, 2026              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 13,577   13,844
Interest rate (as a percent)         4.17%    
3.79%, November 17, 2026              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 25,573   26,076
Interest rate (as a percent)         3.79%    
4.39%, due August 1, 2027              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 10,345   10,523
Interest rate (as a percent)         4.39%    
Debt disclosures              
New mortgage     $ 10,600        
Area of collateralized properties (in square feet) | ft²     304,000        
Fixed interest rate pursuant to interest rate swap agreement (as a percent)     4.39%        
Term of debt     10 years        
Amortization period of debt     25 years        
4.39%, due August 1, 2027 | LIBOR              
Debt disclosures              
Variable interest rate margin (as a percent)     2.05%        
3.97%, due September 1, 2027              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 11,953   12,115
Interest rate (as a percent)         3.97%    
4.57%, due February 1, 2028              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 18,581    
Interest rate (as a percent)         4.57%    
5.09%, due July 1, 2029 GCD mortgage loan              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 6,280   6,597
Interest rate (as a percent)         5.09%    
5.09%, due July 1, 2029 TD mortgage Loan              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 4,400   4,622
Interest rate (as a percent)         5.09%    
4.33%, due August 1, 2030 mortgage loan              
Long-Term Debt              
Loans, prior to debt issuance costs         $ 17,062   17,308
Interest rate (as a percent)         4.33%    
4.45%, due March 1, 2027              
Long-Term Debt              
Loans, prior to debt issuance costs             11,826
Interest rate (as a percent)         4.45%    
2018 PUB Mortgage              
Long-Term Debt              
Loans, prior to debt issuance costs   $ 11,781          
Debt disclosures              
Area of collateralized properties (in square feet) | ft²   275,000          
Proceeds from issuance of debt   $ 7,000          
Term of debt   10 years          
Amortization period of debt   25 years          
2018 PUB Mortgage | Interest rate swap agreement              
Debt disclosures              
Fixed interest rate pursuant to interest rate swap agreement (as a percent)   4.57%          
2018 PUB Mortgage | LIBOR              
Debt disclosures              
Variable interest rate margin (as a percent)   1.95%          
2018 PUB Mortgage | NE Tradeport              
Debt disclosures              
Area of collateralized properties completed (in square feet) | ft²   137,000          
Nonrecourse variable rate loans, due February 1, 2019              
Long-Term Debt              
Loans, net of debt issuance costs     $ 10,120        
Debt disclosures              
Fixed interest rate pursuant to interest rate swap agreement (as a percent)     6.35%        
Nonrecourse variable rate loans, due February 1, 2019 | Interest rate swap agreement              
Debt disclosures              
Payment for termination of interest rate swap agreement             $ 341
Nonrecourse variable rate loans, due February 1, 2019 | LIBOR              
Debt disclosures              
Variable interest rate margin (as a percent)     2.75%        
2017 PUB Mortgage              
Debt disclosures              
New mortgage       $ 12,000