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CONSOLIDATED STATEMENTS OF CASH FLOWS - Supplemental Disclosures - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2024
Sep. 30, 2023
CASH AND CASH EQUIVALENTS AND RESTRICTED DEPOSITS AT END OF PERIOD    
Cash and cash equivalents $ 11,145 $ 17,896
Restricted deposits 9,781 9,294
TOTAL CASH AND CASH EQUIVALENTS AND RESTRICTED DEPOSITS, END OF PERIOD 20,926 27,190
SCHEDULE OF CASH FLOW INFORMATION    
Cash paid during the period for interest 16,650 15,493
SUPPLEMENTARY SCHEDULE OF NONCASH INVESTING AND FINANCING ACTIVITIES    
Dividends reinvested 5,579 5,848
Dividends declared and not paid 3,364 3,207
UPREIT distributions declared and not paid 5,368 5,344
Shares issued pursuant to trustee compensation plan 72 72
Acquisition of assets in exchange for the issuance of noncontrolling interest units in UPREIT 7,396  
Assumed loans 80,774  
Increase in land improvements due to increase in special assessments payable 1,013 300
Unrealized (loss) gain on interest rate swaps (471) $ 1,984
Acquisition of assets through assumption of debt and liabilities 653  
Capitalized interest and real estate taxes related to construction in progress $ 133