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Consolidated Statements of Changes in Partners' Capital - USD ($)
Total
Sotherly Hotels LP [Member]
Sotherly Hotels LP [Member]
General Partner [Member]
Sotherly Hotels LP [Member]
Limited Partner [Member]
Sotherly Hotels LP [Member]
Preferred Units [Member]
Sotherly Hotels LP [Member]
Preferred Units [Member]
Series B Preferred Units [Member]
Sotherly Hotels LP [Member]
Preferred Units [Member]
Series C Preferred Units [Member]
Sotherly Hotels LP [Member]
Preferred Units [Member]
Series D Preferred Units [Member]
Balances, beginning at Dec. 31, 2022   $ 54,171,249 $ (106,022) $ (39,143,494)   $ 34,344,086 $ 31,571,778 $ 27,504,901
Balances, units, beginning at Dec. 31, 2022     197,767 19,578,946 3,973,310      
Amortization of restricted unit awards $ 22,883 22,883 $ 229 $ 22,654        
Unit based compensation   185,637 $ 1,857 $ 183,780        
Unit based compensation, number of units     2,843 281,435        
Net income 1,387,514 1,387,514 $ 13,875 $ 1,373,639        
Balances, ending at Mar. 31, 2023   55,767,283 $ (90,061) $ (37,563,421)   34,344,086 31,571,778 27,504,901
Balances, units, ending at Mar. 31, 2023     200,610 19,860,381 3,973,310      
Balances, beginning at Dec. 31, 2022   54,171,249 $ (106,022) $ (39,143,494)   34,344,086 31,571,778 27,504,901
Balances, units, beginning at Dec. 31, 2022     197,767 19,578,946 3,973,310      
Net income 6,645,185 6,645,185            
Balances, ending at Jun. 30, 2023   57,051,076 $ (77,223) $ (36,292,466)   34,344,086 31,571,778 27,504,901
Balances, units, ending at Jun. 30, 2023     200,610 19,860,381 3,973,310      
Balances, beginning at Mar. 31, 2023   55,767,283 $ (90,061) $ (37,563,421)   34,344,086 31,571,778 27,504,901
Balances, units, beginning at Mar. 31, 2023     200,610 19,860,381 3,973,310      
Amortization of restricted unit awards 41,771 41,770 $ 417 $ 41,353        
Preferred distributions paid   (3,988,625) (39,886) (3,948,739)        
Unit based compensation   (27,022) (270) (26,752)        
Net income 5,257,670 5,257,670 52,577 5,205,093        
Balances, ending at Jun. 30, 2023   57,051,076 $ (77,223) $ (36,292,466)   34,344,086 31,571,778 27,504,901
Balances, units, ending at Jun. 30, 2023     200,610 19,860,381 3,973,310      
Balances, beginning at Dec. 31, 2023   49,643,191 $ (171,830) $ (43,605,744)   $ 34,344,086 31,571,778 27,504,901
Balances, units, beginning at Dec. 31, 2023     205,220 19,855,771   3,973,310    
Amortization of restricted unit awards 44,270 44,270 $ 443 $ 43,827        
Preferred distributions paid   (1,994,313) (19,943) (1,974,370)        
Unit based compensation   174,252 $ 1,742 $ 172,510        
Unit based compensation, number of units     1,524 150,836        
Net income 1,322,821 1,322,821 $ 23,869 $ 1,298,952        
Balances, ending at Mar. 31, 2024   49,190,221 $ (165,719) $ (44,064,825)   $ 34,344,086 31,571,778 27,504,901
Balances, units, ending at Mar. 31, 2024     206,744 20,006,607 3,973,310      
Balances, beginning at Dec. 31, 2023   49,643,191 $ (171,830) $ (43,605,744)   $ 34,344,086 31,571,778 27,504,901
Balances, units, beginning at Dec. 31, 2023     205,220 19,855,771   3,973,310    
Net income 5,987,053 5,987,053            
Balances, ending at Jun. 30, 2024   51,880,005 $ (155,317) $ (41,385,443)   $ 34,344,086 31,571,778 27,504,901
Balances, units, ending at Jun. 30, 2024     206,744 20,006,607 3,973,310      
Balances, beginning at Mar. 31, 2024   49,190,221 $ (165,719) $ (44,064,825)   34,344,086 31,571,778 27,504,901
Balances, units, beginning at Mar. 31, 2024     206,744 20,006,607 3,973,310      
Amortization of restricted unit awards 41,770 41,770 $ 418 $ 41,352        
Preferred distributions paid   (1,994,310) (19,943) (1,974,367)        
Unit based compensation   (21,908) (219) (21,689)        
Net income $ 4,664,232 4,664,232 30,146 4,634,086        
Balances, ending at Jun. 30, 2024   $ 51,880,005 $ (155,317) $ (41,385,443)   $ 34,344,086 $ 31,571,778 $ 27,504,901
Balances, units, ending at Jun. 30, 2024     206,744 20,006,607 3,973,310