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Redeemable Noncontrolling Interests - Summary of the Activity of Redeemable Noncontrolling Interests (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2023
Jun. 30, 2022
Temporary Equity        
Balance, beginning of period $ 457,778 $ 546,049 $ 481,310 $ 522,725
Redemptions (11,726) (1,762) (26,155) (7,776)
LTIP Units issued in lieu of cash compensation 757 987 5,213 6,584
Net income (loss) (1,398) 18,248 1,965 18,258
Other comprehensive income (loss) 1,781 1,311 (444) 4,277
Distributions (3,927) (4,189) (3,927) (4,258)
Share-based compensation expense 9,606 12,369 19,149 24,896
Adjustment to redemption value 3,015 (51,621) (21,225) (43,314)
Balance, end of period 455,886 521,392 455,886 521,392
JBG Smith, LP        
Temporary Equity        
Balance, beginning of period 457,778 536,725 480,663 513,268
Redemptions (11,726) (1,762) (25,508) (7,776)
LTIP Units issued in lieu of cash compensation 757 987 5,213 6,584
Net income (loss) (1,398) 18,240 1,965 18,237
Other comprehensive income (loss) 1,781 1,311 (444) 4,277
Distributions (3,927) (4,110) (3,927) (4,110)
Share-based compensation expense 9,606 12,369 19,149 24,896
Adjustment to redemption value 3,015 (50,334) (21,225) (41,950)
Balance, end of period $ 455,886 513,426 455,886 513,426
Consolidated Real Estate Venture        
Temporary Equity        
Balance, beginning of period   9,324 647 9,457
Redemptions     $ (647)  
Net income (loss)   8   21
Distributions   (79)   (148)
Adjustment to redemption value   (1,287)   (1,364)
Balance, end of period   $ 7,966   $ 7,966