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Debt, Net - Debt Agreements (Details)
$ in Thousands
1 Months Ended 120 Months Ended
Nov. 30, 2020
USD ($)
Apr. 30, 2020
USD ($)
Mar. 31, 2020
USD ($)
Oct. 31, 2019
USD ($)
Jun. 30, 2019
USD ($)
May 31, 2019
USD ($)
Jun. 30, 2030
Dec. 31, 2020
USD ($)
Dec. 31, 2019
USD ($)
Aug. 31, 2019
USD ($)
May 31, 2018
USD ($)
item
Feb. 28, 2018
USD ($)
Mar. 31, 2017
USD ($)
Oct. 31, 2015
USD ($)
Debt instruments                            
Outstanding debt               $ 161,418 $ 94,507          
Total Community Development District debt               15,800 17,800          
PPN JV Loan, due November 2025, bearing interest at 4.1%                            
Debt instruments                            
Loan amount                           $ 48,200
Outstanding debt               44,568 45,514          
PPC JV Loan, due June 2060, bearing interest at 4.0%                            
Debt instruments                            
Loan amount                     $ 36,600      
Outstanding debt               36,084 34,610          
PPC JV Loan, due June 2060, bearing interest at 4.0% | Minimum | Forecast                            
Debt instruments                            
Prepayment premium, as a percent of principal repaid             1.00%              
PPC JV Loan, due June 2060, bearing interest at 4.0% | Maximum | Forecast                            
Debt instruments                            
Prepayment premium, as a percent of principal repaid             10.00%              
Watersound Origins Crossings JV Loan, due May 2024, bearing interest at 5.0%                            
Debt instruments                            
Loan amount           $ 37,900                
Outstanding debt               27,179 2,868          
Debt instrument, period subject to interest payments only           30 months                
PPC II JV Loan, due October 2024, bearing interest at LIBOR plus 2.3%                            
Debt instruments                            
Loan amount       $ 17,500                    
Outstanding debt               15,921            
Debt instrument, period subject to interest payments only       24 months                    
Watercrest JV Loan, due June 2047, bearing interest at LIBOR plus 2.2%                            
Debt instruments                            
Loan amount         $ 22,500                  
Outstanding debt               18,066            
Debt instrument, period subject to interest payments only         36 months                  
Notional amount         $ 20,000                  
Fixed interest rate (as a percent)         4.37%                  
Community Development District debt, secured by certain real estate or other collateral, due May 2023 through May 2039, bearing interest at 3.6% to 6.0%                            
Debt instruments                            
Outstanding debt               6,294 6,977          
Beckrich Building III Loan, due August 2029, bearing interest at LIBOR plus 1.7%                            
Debt instruments                            
Loan amount                   $ 5,500        
Outstanding debt               5,421            
Airport Hotel Loan, due March 2025, bearing interest at LIBOR plus 2.0%                            
Debt instruments                            
Loan amount     $ 15,300                      
Outstanding debt               3,548            
Debt instrument, period subject to interest payments only     36 months                      
Beach Homes Loan, due May 2029, bearing interest at LIBOR plus 1.7%.                            
Debt instruments                            
Loan amount                     $ 1,700      
Outstanding debt               1,545 1,594          
Number of homes financed | item                     2      
Pier Park Outparcel Construction Loan, due March 2027, bearing interest at LIBOR plus 1.7%                            
Debt instruments                            
Loan amount                         $ 1,600  
Outstanding debt               1,458 1,535          
WaterColor Crossings Construction Loan, due February 2029, bearing interest at LIBOR plus 1.7%                            
Debt instruments                            
Loan amount                       $ 1,900    
Outstanding debt               1,334 $ 1,409          
Pier Park Resort Hotel JV Loan                            
Debt instruments                            
Loan amount   $ 52,500                        
Outstanding debt               0            
Debt instrument, period subject to interest payments only   36 months                        
Debt Instrument, Guarantor, Debt Service Coverage Period   12 months                        
Loan costs               1,100            
Pier Park Resort Hotel JV Loan | Maximum                            
Debt instruments                            
Loan amount   $ 60,000                        
Breakfast Point Hotel Loan, Due November 2042                            
Debt instruments                            
Loan amount $ 16,800                          
Outstanding debt               0            
Debt instrument, period subject to interest payments only 24 months                          
Loan costs               200            
Self-Storage Facility Loan, Due November 2025                            
Debt instruments                            
Loan amount $ 5,800                          
Outstanding debt               0            
Debt instrument, period subject to interest payments only 48 months                          
Loan costs               $ 100            
Self-Storage Facility Loan, Due November 2025 | Maximum                            
Debt instruments                            
Amount of liability as guarantor $ 2,900