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Liquidity - Schedule of Material Financial Obligations (Details)
Sep. 30, 2020
USD ($)
2021 (9 Months) $ 18,185,000
2022 17,739,000
2023 36,619,000
2024 113,092,000
2025 4,965,000
Thereafter 30,264,000
Total 220,864,000
Mortgage and Subordinated Notes Payable [Member]  
2021 (9 Months) 10,445,000
2022 3,100,000
2023 28,244,000
2024 108,113,000
2025 3,494,000
Thereafter 24,190,000
Total 177,586,000
Other Notes Payable [Member]  
2021 (9 Months) 854,000
2022 6,220,000
2023 750,000
2024 567,000
2025 567,000
Thereafter 1,740,000
Total 10,698,000
Interest [Member]  
2021 (9 Months) 6,886,000
2022 8,419,000
2023 7,625,000
2024 4,412,000
2025 904,000
Thereafter 4,334,000
Total $ 32,580,000