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Note 13 - Mortgages and Construction Loan Payable (Tables) - Mortgages [Member]
12 Months Ended
Dec. 31, 2019
Notes Tables  
Schedule of Long-term Debt Instruments [Table Text Block]
   

Carrying Amount at

December 31,

   

Interest Rate at

December 31,

   

Maturity Date at

 
   

2019

   

2018

   

2019

   

2018

    December 31, 2019  

Mortgages payable

  $ 410.6     $ 430.8       3.23% - 7.23%       3.23% - 9.75%    

 

May-2020 – Apr-2028  

Construction loan payable

    67.0       51.0       3.56%       4.23%    

 

Aug-2020  

Fair value debt adjustments, net

    7.9       13.1       n/a       n/a       n/a  

Deferred financing costs, net

    (1.5 )     (2.5 )     n/a       n/a       n/a  
    $ 484.0     $ 492.4       4.97%*       4.89%*          
Schedule of Maturities of Long-term Debt [Table Text Block]
   

2020

   

2021

   

2022

   

2023

   

2024

   

Thereafter

   

Total

 

Principal payments

  $ 169.3     $ 144.8     $ 144.5     $ 15.1     $ 1.7     $ 2.2     $ 477.6