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Financial Instruments and Fair Value Measurements - Liabilities measured at FV (Details) - USD ($)
$ in Thousands
Jun. 30, 2020
Dec. 31, 2019
Jun. 30, 2019
Jan. 31, 2019
Pier Park TPS JV        
Financial instruments and fair value measurements        
Notional amount       $ 14,400
Interest rate swap        
Financial instruments and fair value measurements        
Notional amount     $ 20,000  
Level 2 | Interest rate swap | Other liabilities.        
Financial instruments and fair value measurements        
Derivative liabilities $ 1,200 $ 300    
Recurring basis        
Financial instruments and fair value measurements        
Liabilities 2,043 336    
Recurring basis | Interest rate swap | Other liabilities.        
Financial instruments and fair value measurements        
Derivative liabilities 1,202 336    
Recurring basis | Interest rate swap | Investment in unconsolidated joint ventures        
Financial instruments and fair value measurements        
Derivative liabilities 841      
Recurring basis | Level 2        
Financial instruments and fair value measurements        
Liabilities 2,043 336    
Recurring basis | Level 2 | Interest rate swap | Pier Park TPS JV        
Financial instruments and fair value measurements        
Derivative liabilities 800      
Recurring basis | Level 2 | Interest rate swap | Other liabilities.        
Financial instruments and fair value measurements        
Derivative liabilities 1,202 $ 336    
Recurring basis | Level 2 | Interest rate swap | Investment in unconsolidated joint ventures        
Financial instruments and fair value measurements        
Derivative liabilities $ 841