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Bonds Payable (Tables)
12 Months Ended
Dec. 31, 2023
Debt Disclosure [Abstract]  
Schedule of Bonds Payable
The outstanding balance of our Bonds at December 31, 2022 was as follows:
Interest Rate
Bond IssuanceAmountMaturity
Series A Bonds(1)$28,971 7.30 %7/31/23
Series B Bonds(1)35,806 6.80 %7/31/25
Series C Bonds(2)66,546 4.65 %1/31/23
131,323 
Less unamortized deferred issuance costs(2,105)
$129,218 
(1)    The bonds were collateralized by the assets of SPC.
(2)    The bonds were collateralized by a trust deed in Browning Place, a 625,297 square foot office building in Dallas, Texas.