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Mortgages and Other Notes Payable (Tables)
3 Months Ended
Mar. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Debt
The following table summarizes our mortgages and other notes payable as of March 31, 2022 and December 31, 2021:
Carrying value
Property / EntityMarch 31, 2022December 31, 2021Effective
Interest Rate
Maturity Date
770 South Post Oak11,596 11,635 4.40 %6/1/2025
Athens1,155 1,155 4.00 %8/28/2022
Chelsea7,996 8,037 3.40 %12/1/2050
EQK Portage - Land3,350 3,350 10.00 %11/13/2024
Forest Grove7,220 7,263 3.75 %5/5/2024
Landing Bayou14,345 14,407 3.50 %9/1/2053
Legacy at Pleasant Grove13,275 13,352 3.60 %4/1/2048
New Concept Energy3,542 3,542 6.00 %9/30/2022
Parc at Denham Springs Phase II15,919 15,962 4.10 %2/1/2060
RCM HC Enterprises5,086 5,086 9.50 %12/17/2026
Stanford Center(1)38,844 38,979 6.00 %2/26/2023
Sugar Mill Phase III9,196 9,216 4.50 %2/1/2060
Toulon(2)— 13,697 3.20 %12/1/2051
Villas at Bon Secour19,496 19,492 3.08 %9/1/2031
Vista Ridge9,792 9,830 4.00 %8/1/2053
Windmill Farms8,393 8,389 5.00 %2/28/2023
$169,205 $183,392 
(1)     On March 3, 2022, the loan was extended to February 26, 2023.
(2)    On January 14, 2022, the loan was paid off in connection with the sale of the underlying property (See Note 7 - Real Estate Activity).