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CONDENSED CONSOLIDATED STATEMENTS OF EQUITY (Unaudited) - USD ($)
$ in Thousands
Shares of Beneficial Interest [Member]
Treasury Shares at Cost [Member]
Undistributed Earnings (Dividends in Excess of Net Income) [Member]
Accumulated Other Comprehensive Loss [Member]
Total Common Equity [Member]
Noncontrolling Interests [Member]
Total
Balance at Oct. 31, 2019 $ 28,847 $ (4,330) $ (6,762) $ (2,040) $ 15,715 $ 333 $ 16,048
Stock based compensation expense 12       12   12
Vested share units granted to Trustees and consultant 211       211   211
Vested share units issued to consultant and retired Trustee [1] (1,401) 1,401      
Distributions to noncontrolling interests           (583) (583)
Net (loss) income     (2,262)   (2,262) 241 (2,021)
Net unrealized gain (loss) on interest rate cap and swap contracts       (261) (261) (129) (390)
Balance at Jan. 31, 2020 27,669 (2,929) (9,024) (2,301) 13,415 (138) 13,277
Balance at Oct. 31, 2019 28,847 (4,330) (6,762) (2,040) 15,715 333 16,048
Deconsolidation of subsidiary             3,596
Net (loss) income             25,115
Balance at Apr. 30, 2020 27,781 (2,863) 18,196 (4,443) 38,671 2,534 41,205
Balance at Jan. 31, 2020 27,669 (2,929) (9,024) (2,301) 13,415 (138) 13,277
Stock based compensation expense 12       12   12
Vested share units granted to Trustees 166       166   166
Vested share units issued to retired Trustee [1] (66) 66      
Deconsolidation of subsidiary           3,596 3,596
Net (loss) income     27,220   27,220 (84) 27,136
Net unrealized gain (loss) on interest rate cap and swap contracts       (2,142) (2,142) (840) (2,982)
Balance at Apr. 30, 2020 27,781 (2,863) 18,196 (4,443) 38,671 2,534 41,205
Balance at Oct. 31, 2020 27,960 (2,863) 13,791 (3,986) 34,902 (4,039) 30,863
Stock based compensation expense 12       12   12
Vested share units granted to Trustees 118       118   118
Net (loss) income     558   558 221 779
Dividends declared, including payable in share units (per share)     (350)   (350)   (350)
Net unrealized gain (loss) on interest rate cap and swap contracts       387 387 111 498
Balance at Jan. 31, 2021 28,090 (2,863) 13,999 (3,599) 35,627 (3,707) 31,920
Balance at Oct. 31, 2020 27,960 (2,863) 13,791 (3,986) 34,902 (4,039) 30,863
Deconsolidation of subsidiary            
Net (loss) income             716
Balance at Apr. 30, 2021 28,143 (2,791) 13,658 (2,742) 36,268 (3,969) 32,299
Balance at Jan. 31, 2021 28,090 (2,863) 13,999 (3,599) 35,627 (3,707) 31,920
Stock based compensation expense 12       12   12
Vested share units granted to Trustees 113       113   113
Vested share units issued to retired Trustee [1] (72) 72      
Distributions to noncontrolling interests           (510) (510)
Net (loss) income     9   9 (72) (63)
Dividends declared, including payable in share units (per share)     (350)   (350)   (350)
Net unrealized gain (loss) on interest rate cap and swap contracts       857 857 320 1,177
Balance at Apr. 30, 2021 $ 28,143 $ (2,791) $ 13,658 $ (2,742) $ 36,268 $ (3,969) $ 32,299
[1] Represents the issuance of treasury shares to consultant and retired Trustee for share units earned.