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Supplemental Financial Statement Information (Tables)
3 Months Ended
Mar. 31, 2022
Supplemental Financial Statement Information  
Schedule of other assets

     

March 31, 2022

     

December 31, 2021

Deposits on building and land acquisitions

$

12,175

$

9,800

Deferred leasing costs, net

6,439

6,310

Straight-line rents

6,310

5,909

Intangible assets, net

 

5,228

 

5,495

Prepaid expenses

 

2,380

 

3,236

Accounts receivable (primarily leases)

1,330

399

Interest rate swap asset

1,220

188

Deferred financing costs related to revolving lines of credit

828

917

Right-of-use assets

563

593

Registration statement costs

341

341

Furniture, fixtures and equipment, net

316

369

Prepaid development costs

136

143

Other

 

384

 

402

Total other assets

$

37,650

$

34,102

Schedule of accounts payable and accrued liabilities

    

March 31, 2022

    

December 31, 2021

Accrued construction costs and retainage

$

9,201

$

5,800

Trade payables

1,085

481

Accrued lease commissions

837

468

Accrued interest payable

595

556

Accrued real estate taxes

460

46

Accrued salaries, wages and other compensation

438

1,796

Other

567

524

Total accounts payable and accrued liabilities

$

13,183

$

9,671

Schedule of other liabilities

    

March 31, 2022

    

December 31, 2021

Deferred compensation plan

$

4,809

$

5,097

Intangible liability, net

2,898

3,000

Prepaid rent from tenants

1,481

1,483

Security deposits of tenants

915

900

Lease liabilities

595

626

Interest rate swap liabilities

365

3,995

Other

153

153

Total other liabilities

$

11,216

$

15,254

Schedule of interest payments and Capitalized interest

Interest payments were as follows:

For the Three Months Ended

March 31, 2022

    

March 31, 2021

$

1,608

 

$

1,691

Capitalized interest related to real estate assets was as follows:

For the Three Months Ended

March 31, 2022

    

March 31, 2021

$

356

$

122

Schedule of cash flows from discontinued operations

For the Three Months Ended

March 31, 2022

    

March 31, 2021

Net cash provided by operating activities of discontinued operations

$

56

$

62

Net cash provided by investing activities of discontinued operations

26

Net cash provided by financing activities of discontinued operations