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Liquidity - Schedule of Material Financial Obligations (Details)
Mar. 31, 2021
USD ($)
2021 (3 Months) $ 3,078,000
2022 17,744,000
2023 37,201,000
2024 113,735,000
2025 5,607,000
Thereafter 46,006,000
Total 223,371,000
Mortgage and Subordinated Notes Payable [Member]  
2021 (3 Months) 764,000
2022 3,199,000
2023 28,470,000
2024 108,407,000
2025 3,797,000
Thereafter 36,404,000
Total 181,041,000
SBA Loans and Other Notes Payable [Member]  
2021 (3 Months) 119,000
2022 5,200,000
2023 183,000
2024
2025
Thereafter 2,000,000
Total 7,502,000
Related Party Notes Payable [Member]  
2021 (3 Months) 379,000
2022 567,000
2023 567,000
2024 567,000
2025 567,000
Thereafter 1,581,000
Total 4,228,000
Interest [Member]  
2021 (3 Months) 1,816,000
2022 8,778,000
2023 7,981,000
2024 4,761,000
2025 1,243,000
Thereafter 6,021,000
Total $ 30,600,000