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OTHER OPERATING (EXPENSE) INCOME, NET (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Other Income and Expenses [Abstract]      
(Loss) gain on foreign currency remeasurement, net of cash flow hedges $ (8,458) $ (5,251) $ 6,823
Gain on sale or disposal of property plant & equipment 37 40 75
Gain on investment in Timber Funds 0 0 7,482
Log trading marketing fees 0 0 6
Equity income (loss) related to Bainbridge Landing LLC joint venture 0 15,477 102
Miscellaneous income (expense), net 115 (562) (404)
Total $ (8,306) 9,704 $ 14,084
Equity income from sale   16,000  
Equity income attributable to Rayonier   $ 4,500