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Basis of Presentation and Significant Accounting Policies (Tables)
6 Months Ended
Jun. 30, 2023
Accounting Policies [Abstract]  
Schedule of Variable Interest Entities The Company’s unconsolidated VIEs are summarized below by date of initial involvement. For further discussion of the nature of the relationships, including the sources of exposure to these VIEs, see the notes to our condensed consolidated financial statements cross-referenced below ($ in thousands).
DateNameSource of ExposureCarrying Amount Maximum Exposure to LossNote Reference
2014Senior LivingNotes and straight-line receivable$90,059 $93,809 Notes 3, 4
2016Senior Living ManagementNotes$24,500 $24,500 
2018BickfordNotes and funding commitment$17,105 $29,912 Notes 3, 4
2019Encore Senior Living
Various1
$49,582 $56,166 
2020Timber Ridge OpCo
Various2
$2,605 $7,605 Notes 6, 7
2020Watermark RetirementNotes and straight-line receivable$8,754 $11,278 
2021Montecito Medical Real EstateNotes and funding commitment$20,372 $50,117 Note 4
2021Vizion HealthNotes and straight-line receivable$18,994 $18,994 
2021Navion Senior Solutions
Various3
$8,820 $8,820 
2023Kindcare Senior LivingNotes$704 $704 
Schedule of Cash and Cash Equivalents The following table sets forth our “Cash and cash equivalents and restricted cash” reported within the Company’s Condensed Consolidated Statements of Cash Flows ($ in thousands):
June 30,
2023
June 30,
2022
Beginning of period:
Cash and cash equivalents$19,291 $37,412 
Restricted cash (included in Other assets, net)2,225 2,073 
     Cash, cash equivalents, and restricted cash$21,516 $39,485 
End of period:
Cash and cash equivalents$17,411 $43,435 
Restricted cash (included in Other assets, net)1,863 2,625 
     Cash, cash equivalents, and restricted cash$19,274 $46,060 
Restrictions on Cash and Cash Equivalents The following table sets forth our “Cash and cash equivalents and restricted cash” reported within the Company’s Condensed Consolidated Statements of Cash Flows ($ in thousands):
June 30,
2023
June 30,
2022
Beginning of period:
Cash and cash equivalents$19,291 $37,412 
Restricted cash (included in Other assets, net)2,225 2,073 
     Cash, cash equivalents, and restricted cash$21,516 $39,485 
End of period:
Cash and cash equivalents$17,411 $43,435 
Restricted cash (included in Other assets, net)1,863 2,625 
     Cash, cash equivalents, and restricted cash$19,274 $46,060