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Note 13 - Mortgages and Construction Loan Payable (Tables) - Mortgages [Member]
12 Months Ended
Dec. 31, 2018
Notes Tables  
Schedule of Long-term Debt Instruments [Table Text Block]
   
Carrying Amount at
December 31,
   
Interest Rate at
December 31,
   
Maturity Date at
 
   
201
8
   
2017
   
201
8
   
2017
   
December 31,
201
8
 
Mortgages payable
  $
430.8
    $
867.1
     
3.23%
-
9.75%
     
2.60%
-
9.75%
   
 
Jan-2020 – Aug-2031
 
Construction loan payable
   
51.0
     
-
     
4.23%
     
n/a
   
 
Aug-2020
 
Fair value debt adjustments, net
   
13.1
     
19.3
     
n/a
     
n/a
     
n/a
 
Deferred financing costs, net
   
(2.5
)    
(3.6
)    
n/a
     
n/a
     
n/a
 
   
$
492.4
   
$
882.8
   
 
4.89%*
   
 
4.57%*
   
 
 
 
Schedule of Maturities of Long-term Debt [Table Text Block]
   
201
9
   
20
20
   
202
1
   
202
2
   
202
3
   
Thereafter
   
Total
 
Principal payments
  $
12.7
    $
160.3
    $
144.9
    $
140.1
    $
15.5
    $
8.3
    $
481.8