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Summary Of Significant Accounting Policies (Tables)
3 Months Ended
Mar. 31, 2022
Summary Of Significant Accounting Policies [Line Items]  
Fair Value Measurement Inputs and Valuation Techniques [Table Text Block] The Company follows the authoritative guidance for fair value measurements when valuing its financial instruments for disclosure purposes. The table below presents the financial instruments that are being valued for disclosure purposes as well as the Level at which they are categorized (as defined in Accounting Standards Codification (“ASC”) 820 “Fair Value Measurements and Disclosures” (“ASC 820”)).
Financial InstrumentLevel
Unsecured senior notes (1)Level 1
Related party note receivableLevel 3
Notes receivableLevel 3
Mortgage notes payableLevel 3
Unsecured line of creditLevel 3
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(1)If trading value for the period is low, the valuation could be categorized as Level 2.
Because the Company’s valuations of its financial instruments are based on the above Levels and involve the use of estimates, the actual fair values of its financial instruments may differ materially from those estimates.
Fair Value, by Balance Sheet Grouping [Table Text Block]
The following table presents the aggregate carrying value of the Company’s related party note receivable, net, notes receivable, net, mortgage notes payable, net, unsecured senior notes, net and unsecured line of credit and the Company’s corresponding estimate of fair value as of March 31, 2022 and December 31, 2021 (in thousands):
 March 31, 2022December 31, 2021
 Carrying
Amount
Estimated
Fair Value
Carrying
Amount
Estimated
Fair Value
Related party note receivable, net$78,544 $82,059 $78,336 $82,867 
Notes receivable, net9,674 10,000 9,641 10,000 
Total$88,218 $92,059 $87,977 $92,867 
Mortgage notes payable, net$3,268,745 $3,178,851 $3,267,914 $3,395,569 
Unsecured senior notes, net9,486,379 9,302,108 9,483,695 9,966,591 
Unsecured line of credit255,000 255,000 145,000 145,317 
Total$13,010,124 $12,735,959 $12,896,609 $13,507,477