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Commitments and Contingencies - (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2024
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2023
Dec. 31, 2019
Obligations            
Accrued liabilities for other litigation, claims, other disputes and governmental proceedings $ 400       $ 400  
Amount of letters of credit outstanding 600       200  
Purchase obligations, total 37,800          
Outstanding debt 457,400       459,221  
Accounts payable and other liabilities            
Obligations            
Allowance for credit losses 100       100  
Secured revolving promissory note with unconsolidated Latitude Margaritaville Watersound JV, homesite development - 5.0% interest rate, due June 2025            
Obligations            
Amount committed to fund       $ 10,000    
Note receivable 0       0  
Latitude Margaritaville Watersound JV            
Obligations            
Amount as lender of secured revolving promissory note 10,000       10,000  
Surety bonds            
Obligations            
Commitment obligations $ 27,700       40,000  
Pier Park TPS JV | Pier Park TPS JV Loan            
Obligations            
Guarantor liability, Current (as a percent) 25.00%          
Watersound Fountains Independent Living JV | Watersound Fountains JV Loan, due April 2026            
Obligations            
Guarantor liability, Current (as a percent) 50.00%          
Guarantor liability, Scenario 2 (as a percent)     25.00%      
Guarantor liability, Scenario 3 (as a percent)     0.00%      
Electric Cart Watersound JV | Electric Cart Watersound JV Loan            
Obligations            
Guarantor liability, Scenario 1 (as a percent)   50.00%        
Initial period of loan after which the Company's liability as guarantor under the loan will be reduced upon reaching certain conditions   48 months        
Unconsolidated joint ventures            
Obligations            
Outstanding debt $ 111,050       115,456  
Pier Park TPS JV            
Obligations            
Outstanding debt 13,420       13,503  
Pier Park TPS JV | Pier Park TPS JV Loan            
Obligations            
Loan amount           $ 14,400
Outstanding debt $ 13,400       13,500  
Pier Park TPS JV | Pier Park TPS JV Loan | SOFR            
Obligations            
Basis spread on variable rate (as a percent) 2.60%          
Pier Park TPS JV | Interest rate swaps            
Obligations            
Notional amount           $ 14,400
Pier Park TPS JV | Interest rate swaps | Pier Park TPS JV Loan            
Obligations            
Fixed interest rate (as a percent)           5.20%
Latitude Margaritaville Watersound JV            
Obligations            
Outstanding debt $ 26,792       37,445  
Latitude Margaritaville Watersound JV | Latitude Margaritaville Watersound JV Loan, due December 2025            
Obligations            
Loan amount       $ 45,000    
Outstanding debt 26,800       37,400  
Floor rate (as a percent)       3.00%    
Latitude Margaritaville Watersound JV | Latitude Margaritaville Watersound JV Loan, due December 2025 | SOFR            
Obligations            
Basis spread on variable rate (as a percent)       2.50%    
Watersound Fountains Independent Living JV            
Obligations            
Outstanding debt 40,867       38,062  
Watersound Fountains Independent Living JV | Watersound Fountains JV Loan, due April 2026            
Obligations            
Loan amount     $ 41,900      
Outstanding debt 40,300       38,100  
Floor rate (as a percent)     2.60%      
Debt instrument, period subject to interest payments only     48 months      
Debt instrument, period by which maturity date may be extended     12 months      
Watersound Fountains Independent Living JV | Watersound Fountains JV Loan, due April 2026 | SOFR            
Obligations            
Basis spread on variable rate (as a percent)     2.10%      
Electric Cart Watersound JV            
Obligations            
Outstanding debt 4,661       4,732  
Electric Cart Watersound JV | Electric Cart Watersound JV Loan            
Obligations            
Loan amount   $ 5,400        
Outstanding debt $ 4,400       $ 4,400  
Floor rate (as a percent)   2.10%        
Debt instrument, period subject to interest payments only   24 months        
Electric Cart Watersound JV | Electric Cart Watersound JV Loan | SOFR            
Obligations            
Basis spread on variable rate (as a percent)   1.80%