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Commitments and Contingencies - (Details) - USD ($)
$ in Thousands
1 Months Ended
Nov. 30, 2020
Nov. 30, 2019
Jan. 31, 2019
Nov. 12, 2035
Mar. 31, 2021
Dec. 31, 2020
Jun. 30, 2020
Obligations              
Accrued liabilities for other litigation, claims, other disputes and governmental proceedings         $ 700 $ 700  
Amount of letters of credit outstanding         4,600 6,600  
Purchase obligations, total         167,400    
Notes receivable, net         12,077 10,877  
Principal balance         172,309 161,418  
Allowance for credit losses within other liabilities         100 100  
Pier Park TPS JV Loan              
Obligations              
Guarantor liability, Scenario 1 (as a percent)     50.00%        
Guarantor liability, Scenario 2 (as a percent)     25.00%        
Busy Bee JV Construction and Equipment Loans              
Obligations              
Guarantor liability upon substantial completion (as a percent)   50.00%          
Period of financial reporting and financial covenant obligations upon completion at specified rate   12 months          
Latitude Margaritaville Watersound JV              
Obligations              
Amount as lender of secured revolving promissory note         10,000   $ 10,000
Amount committed to fund             $ 10,000
Notes receivable, net         4,800 2,700  
Surety bonds              
Obligations              
Commitment obligations         24,200 24,200  
Unconsolidated joint ventures              
Obligations              
Principal balance         44,126 33,088  
Pier Park TPS JV              
Obligations              
Principal balance         $ 14,340 14,388  
Pier Park TPS JV | Pier Park TPS JV Loan              
Obligations              
Loan amount     $ 14,400        
Debt interest rate (as a percent)         5.21%    
Principal balance         $ 14,300 14,400  
Pier Park TPS JV | Pier Park TPS JV Loan | LIBOR              
Obligations              
Basis spread on variable rate (as a percent)     2.50%        
Pier Park TPS JV | Interest rate swap              
Obligations              
Notional amount         14,400    
Busy Bee JV (SJBB, LLC)              
Obligations              
Principal balance         6,539 6,614  
Busy Bee JV (SJBB, LLC) | Busy Bee JV Construction and Equipment Loans | LIBOR              
Obligations              
Basis spread on variable rate (as a percent)   1.50%          
Busy Bee JV (SJBB, LLC) | Busy Bee JV Construction Loan, due November 2035              
Obligations              
Loan amount   $ 5,400          
Principal balance           5,400  
Busy Bee JV (SJBB, LLC) | Busy Bee JV Equipment Loan, due November 2027              
Obligations              
Loan amount   $ 1,200          
Principal balance           1,200  
Busy Bee JV (SJBB, LLC) | Busy Bee JV Equipment Loan, due November 2027 | LIBOR              
Obligations              
Basis spread on variable rate (as a percent)   1.50%          
Busy Bee JV (SJBB, LLC) | Interest rate swap | Forecast              
Obligations              
Notional amount       $ 2,800      
Busy Bee JV (SJBB, LLC) | Interest rate swap | Busy Bee JV Construction Loan, due November 2035              
Obligations              
Notional amount   $ 5,400          
Fixed interest rate (as a percent)   2.68%          
Busy Bee JV (SJBB, LLC) | Interest rate swap | Busy Bee JV Equipment Loan, due November 2027              
Obligations              
Notional amount   $ 1,200          
Fixed interest rate (as a percent)   2.08%          
Latitude Margaritaville Watersound JV              
Obligations              
Principal balance         7,599 3,297  
Latitude Margaritaville Watersound JV | Latitude Margaritaville Watersound JV Loan, due November 2023              
Obligations              
Loan amount $ 25,000            
Principal balance         $ 2,700 $ 600  
Floor rate (as a percent) 3.25%            
Latitude Margaritaville Watersound JV | Latitude Margaritaville Watersound JV Loan, due November 2023 | LIBOR              
Obligations              
Basis spread on variable rate (as a percent) 2.50%