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Loans Payable and Secured Line of Credit - Additional Information (Details) - USD ($)
12 Months Ended
Feb. 14, 2024
Dec. 31, 2023
Jun. 30, 2024
Oct. 31, 2021
Jun. 30, 2021
Dec. 31, 2019
Loans Payable and Secured Line of Credit            
Long-term Line of Credit   $ 40,791,000        
Loans payable, net   194,628,000        
TPH Greenwich Holdings LLC            
Loans Payable and Secured Line of Credit            
Interest rate basis (as a percent) 100.00%          
77G Mortgage Loan            
Loans Payable and Secured Line of Credit            
Maximum borrowing capacity       $ 166,700,000    
Loans payable, net $ 98,000,000.0          
Accrued PIK interest 11,900,000          
Repayment of loans and secured line of credit   71,100,000        
Seventy Seven Mortgage Original Building Loan            
Loans Payable and Secured Line of Credit            
Principal amount 2,850,000          
Loans payable, net $ 125,347,878          
Percentage of membership interests agreed to Pledge 100.00%          
77G Mezzanine Loan            
Loans Payable and Secured Line of Credit            
Debt instrument extension term 1 year          
77G Mezzanine Loan | TPH Greenwich Holdings LLC            
Loans Payable and Secured Line of Credit            
Principal amount $ 60,800,000          
237 11th Senior Loan            
Loans Payable and Secured Line of Credit            
Principal amount 50,000,000.0       $ 50,000,000.0  
237 11th Mezz Loan            
Loans Payable and Secured Line of Credit            
Principal amount 10,000,000.0       $ 10,000,000  
Corporate Credit Facility            
Loans Payable and Secured Line of Credit            
Maximum borrowing capacity           $ 70,000,000.0
Long-term Line of Credit 52,800,000          
Accrued interest 11,300,000          
Deferred finance fees 170,000          
Corporate Credit Facility | TPH Greenwich Holdings LLC            
Loans Payable and Secured Line of Credit            
Principal amount $ 272,609          
Corporate Credit Facility | PIK interest rate | TPH Greenwich Holdings LLC            
Loans Payable and Secured Line of Credit            
Interest rate basis (as a percent) 10.325%          
Corporate Credit Facility | PIK interest rate | TPH Greenwich Holdings LLC | Upon Selection Of Both Cash And Kind Interest Payment            
Loans Payable and Secured Line of Credit            
Interest rate basis (as a percent) 5.45%          
Corporate Credit Facility | Cash pay interest rate | TPH Greenwich Holdings LLC | Upon Selection Of Both Cash And Kind Interest Payment            
Loans Payable and Secured Line of Credit            
Interest rate basis (as a percent) 4.875%          
Secured Line of Credit            
Loans Payable and Secured Line of Credit            
Maximum borrowing capacity     $ 11,750,000      
Loans payable, net $ 11,750,000 $ 11,750,000        
Debt Instrument interest rate effective percentage 2.50% 2.50%