Commitments and Contingencies Disclosure [Abstract]
COMMITMENTS AND CONTINGENCIES
Commitments and Contingencies Disclosure [Text Block]
Income Tax Disclosure [Abstract]
Income Tax Examination [Table]
Income Tax Examination [Table]
Legal Entity [Axis]
Legal Entity [Axis]
Entity [Domain]
Entity [Domain]
ACRE Capital Sale
A C R E Capital Holdings L L C [Member]
Represents information pertaining to ACRE Capital Holdings LLC.
Income Tax Examination [Line Items]
Income Tax Examination [Line Items]
Components of the company's income tax provision
Components of Income Tax Expense (Benefit), Continuing Operations [Abstract]
Current
Current Income Tax Expense (Benefit)
Deferred
Deferred Income Tax Expense (Benefit)
Excise tax
Excise and Sales Taxes
Total income tax expense, including excise tax
Income Tax Expense (Benefit)
Excise tax rate
Excise Taxes Rate
Represents the percentage of excise tax rate.
Statement of Financial Position [Abstract]
ASSETS
Assets [Abstract]
Cash and cash equivalents
Cash and Cash Equivalents, at Carrying Value
Restricted cash
Restricted Cash and Cash Equivalents
Loans held for investment ($289,599 and $341,158 related to consolidated VIEs, respectively)
Mortgage Loans On Real Estate Total Commitment Amount Including Noncontrolling Interest
Represents the total commitment amount of the mortgage loan including non-controlling interest.
Other assets ($765 and $945 of interest receivable related to consolidated VIEs, respectively; $51,559 of other receivables related to consolidated VIEs as of June 30, 2018)
Other Assets
Total assets
Assets
LIABILITIES AND STOCKHOLDERS' EQUITY
Liabilities and Equity [Abstract]
LIABILITIES
Liabilities [Abstract]
Secured funding agreements
Long-term Line of Credit
Secured term loan
Secured Debt
Collateralized loan obligation securitization debt (consolidated VIE)
Variable Interest Entity Collateralized Loan Obligation Securities Long Term Debt
Represents the carrying amount of collateralized loan obligation securities debt issued by the Variable Interest Entity included in the reporting entity's statement of financial position.
Due to affiliate
Due to Related Parties
Dividends payable
Dividends Payable
Other liabilities ($465 and $414 of interest payable related to consolidated VIEs, respectively)
Other Liabilities
Total liabilities
Liabilities
Commitments and contingencies (Note 5)
Commitments and Contingencies
STOCKHOLDERS' EQUITY
Stockholders' Equity Attributable to Parent [Abstract]
Common stock, par value $0.01 per share, 450,000,000 shares authorized at June 30, 2018 and December 31, 2017, and 28,698,600 and 28,598,916 shares issued and outstanding at June 30, 2018 and December 31, 2017, respectively
Common Stock, Value, Issued
Additional paid-in capital
Additional Paid in Capital, Common Stock
Accumulated earnings (deficit)
Retained Earnings (Accumulated Deficit)
Total stockholders' equity
Stockholders' Equity Attributable to Parent
Total liabilities and stockholders' equity
Liabilities and Equity
Fair Value Disclosures [Abstract]
Fair Value, by Balance Sheet Grouping [Table]
Fair Value, by Balance Sheet Grouping [Table]
Measurement Basis [Axis]
Measurement Basis [Axis]
Fair Value Measurement [Domain]
Fair Value Measurement [Domain]
Portion at Fair Value Measurement
Portion at Fair Value Measurement [Member]
Carrying Value
Reported Value Measurement [Member]
Fair Value
Estimate of Fair Value Measurement [Member]
Fair Value, Hierarchy [Axis]
Fair Value, Hierarchy [Axis]
Fair Value Hierarchy [Domain]
Fair Value Hierarchy [Domain]
Level II
Fair Value, Inputs, Level 2 [Member]
Level III
Fair Value, Inputs, Level 3 [Member]
Carrying value and estimated fair value of the financial assets on the consolidated balance sheet
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]
Loans held for investment
Mortgage Loans on Real Estate, Commercial and Consumer, Net
Financial liabilities:
Financial Instruments, Financial Liabilities, Balance Sheet Groupings [Abstract]
Secured funding agreements
Lines of Credit, Fair Value Disclosure
Secured term loan
Long-term Debt, Fair Value
Collateralized loan obligation securitization debt (consolidated VIE)
Collateralized Agreements
Schedule of components of the TRS's income tax provision
Schedule of Components of Income Tax Expense (Benefit) [Table Text Block]
Receivables [Abstract]
Mortgage Loans on Real Estate Schedule [Table]
Mortgage Loans on Real Estate Schedule [Table]
Debt Instrument [Axis]
Debt Instrument [Axis]
Debt Instrument, Name [Domain]
Debt Instrument, Name [Domain]
LIBOR Plus 4.35%, Due October 2018
LIBOR Plus 4 Point 35 Percent, Due October 2018 [Member]
LIBOR Plus 4 Point 35 Percent, Due October 2018 [Member]
LIBOR Plus 3.60%, Due July 2020
LIBOR Plus 3 Point 6 Percent, Due July 2020 [Member]
LIBOR Plus 3 Point 6 Percent, Due July 2020 [Member]
LIBOR Plus 4.75%, Due September 2019, Instrument 1
LIBOR Plus 4 Point 75 Percent, Due September 2019, Instrument1 [Member]
LIBOR Plus 4 Point 75 Percent, Due September 2019, Instrument1 [Member]
LIBOR Plus 4.75%, Due October 2018
LIBOR Plus 4 Point 75 Percent, Due October 2018 [Member]
LIBOR Plus 4 Point 75 Percent, Due October 2018 [Member]
LIBOR Plus 3.25%, Due December 2020
LIBOR Plus 3 Point 25 Percent, Due December 2020 [Member]
LIBOR Plus 3 Point 25 Percent, Due December 2020 [Member]
LIBOR Plus 3.45% Percent, Due December May 2021
LIBOR Plus 3 Point 45 Percent, Due December May 2021 [Member]
LIBOR Plus 3 Point 45 Percent, Due December May 2021 [Member]
LIBOR Plus 3.75%, Due December 2020
LIBOR Plus 3 Point 75 Percent, Due December 2020 [Member]
LIBOR Plus 3 Point 75 Percent, Due December 2020 [Member]
LIBOR Plus 3.99%, Due August 2019
LIBOR Plus 3 Point 99 Percent, Due August 2019 [Member]
LIBOR Plus 3 Point 99 Percent, Due August 2019 [Member]
LIBOR Plus 3.95%, Due June 2021
LIBOR Plus 3 Point 95 Percent, Due June 2021 [Member]
LIBOR Plus 3 Point 95 Percent, Due June 2021 [Member]
LIBOR Plus 4.15%, Due June 2021
LIBOR Plus 4 Point 15 Percent, Due June 2021 [Member]
LIBOR Plus 4 Point 15 Percent, Due June 2021 [Member]
LIBOR Plus 3.65%, Due March 2021
LIBOR Plus 3 Point 65 Percent, Due March 2021 [Member]
LIBOR Plus 3 Point 65 Percent, Due March 2021 [Member]
LIBOR Plus 3.15%, Due December 2020
LIBOR Plus 3 Point 15 Percent, Due December 2020 [Member]
LIBOR Plus 3 Point 15 Percent, Due December 2020 [Member]
LIBOR Plus 4.65%, Due June 2020
LIBOR Plus 4 Point 65 Percent, Due June 2020 [Member]
LIBOR Plus 4 Point 65 Percent, Due June 2020 [Member]
LIBOR Plus 4.00%, Due April 2021
LIBOR Plus 4 Point 00 Percent, Due April 2021 [Member]
LIBOR Plus 4 Point 00 Percent, Due April 2021 [Member]
LIBOR Plus 4.75%, Due September 2019, Instrument 2
LIBOR Plus 4 Point 75 Percent, Due September 2019, Instrument2 [Member]
LIBOR Plus 4 Point 75 Percent, Due September 2019, Instrument2 [Member]
LIBOR Plus 3.30%, Due December 2020
LIBOR Plus 3 Point 30 Percent, Due December 2020 [Member]
LIBOR Plus 3 Point 30 Percent, Due December 2020 [Member]
LIBOR Plus 3.95%, Due July 2020
LIBOR Plus 3 Point 95 Percent, Due July 2020 [Member]
LIBOR Plus 3 Point 95 Percent, Due July 2020 [Member]
LIBOR Plus 4.75%, Due Jan 2021
LIBOR Plus 4 Point 75 Percent, Due Jan 2021 [Member]
LIBOR Plus 4 Point 75 Percent, Due Jan 2021 [Member]
LIBOR Plus 4.12%, Due January 2021
LIBOR Plus 4 Point 12 Percent, Due January 2021 [Member]
LIBOR Plus 4 Point 12 Percent, Due January 2021 [Member]
LIBOR Plus 4.00%, Due February 2019
LIBOR Plus 4 Point 00 Percent, Due February 2019 [Member]
LIBOR Plus 4 Point 00 Percent, Due February 2019 [Member]
LIBOR Plus 3.36%, Due May 2021
LIBOR Plus 3 Point 36 Percent, Due May 2021 [Member]
LIBOR Plus 3 Point 36 Percent, Due May 2021 [Member]
LIBOR Plus 4.75%, Due June 2018
LIBOR Plus 4 Point 75 Percent, Due June 2018 [Member]
LIBOR Plus 4 Point 75 Percent, Due June 2018 [Member]
LIBOR Plus 4.15%, Due July 2018
LIBOR Plus 4 Point 15 Percent, Due July 2018 [Member]
LIBOR Plus 4 Point 15 Percent, Due July 2018 [Member]
LIBOR Plus 4.55%, Due February 2019
LIBOR Plus 4 Point 55 Percent, Due 2019 [Member]
LIBOR Plus 4 Point 55 Percent, Due 2019 [Member]
LIBOR Plus 3.20%, Due December 2020
LIBOR Plus 3 Point 20 Percent, Due December 2020 [Member]
LIBOR Plus 3 Point 20 Percent, Due December 2020 [Member]
LIBOR Plus 3.75%, Due October 2018
LIBOR Plus 3 Point 75 Percent, Due October 2018 [Member]
LIBOR Plus 3 Point 75 Percent, Due October 2018 [Member]
LIBOR Plus 3.20%, Due October 2020
LIBOR Plus 3 Point 20 Percent, Due October 2020 [Member]
LIBOR Plus 3 Point 20 Percent, Due October 2020 [Member]
LIBOR Plus 4.20%, Due May 2019
LIBOR Plus 4 Point 20 Percent, Due May 2019 [Member]
LIBOR Plus 4 Point 20 Percent, Due May 2019 [Member]
LIBOR Plus 3.85%, Due July 2020
LIBOR Plus 3 Point 85 Percent, Due July 2020 [Member]
LIBOR Plus 3 Point 85 Percent, Due July 2020 [Member]
LIBOR Plus 4.45%, Due February 2020
LIBOR Plus 4 Point 45 Percent, Due 2020 [Member]
LIBOR Plus 4 Point 45 Percent, Due 2020 [Member]
LIBOR Plus 4.10%, Due January 2021
LIBOR Plus 4 Point 10 Percent, Due January 2021 [Member]
LIBOR Plus 4 Point 10 Percent, Due January 2021 [Member]
LIBOR Plus 3.90%, Due March 2021
LIBOR Plus 3 Point 90 Percent, Due 2021 [Member]
LIBOR Plus 3 Point 90 Percent, Due 2021 [Member]
LIBOR Plus 4.25%, Due February 2019
LIBOR Plus 4 Point 25 Percent, Due February 2019 [Member]
LIBOR Plus 4 Point 25 Percent, Due February 2019 [Member]
LIBOR Plus 4.70%, Due March 2020
LIBOR Plus 4 Point 70 Percent, Due March 2020 [Member]
LIBOR Plus 4 Point 70 Percent, Due March 2020 [Member]
LIBOR Plus 4.40%, Due May 2021
LIBOR Plus 4 Point 40 Percent, Due May 2021 [Member]
LIBOR Plus 4 Point 40 Percent, Due May 2021 [Member]
LIBOR Plus 4.00%, Due November 2020
LIBOR Plus 4 Point 00 Percent, Due November 2020 [Member]
LIBOR Plus 4 Point 00 Percent, Due November 2020 [Member]
LIBOR Plus 4.30%, Due April 2020
LIBOR Plus 4 Point 30 Percent, Due April 2020 [Member]
LIBOR Plus 4 Point 30 Percent, Due April 2020 [Member]
LIBOR Plus 3.30%, Due February 2021
LIBOR Plus 3 Point 30 Percent, Due February 2021 [Member]
LIBOR Plus 3 Point 30 Percent, Due February 2021 [Member]
LIBOR Plus 4.35%, Due November 2018
LIBOR Plus 4 Point 35 Percent, Due November 2018 [Member]
LIBOR Plus 4 Point 35 Percent, Due November 2018 [Member]
LIBOR Plus 3.80%, Due July 2020
LIBOR Plus 3 Point 80 Percent, Due July 2020 [Member]
LIBOR Plus 3 Point 80 Percent, Due July 2020 [Member]
LIBOR Plus 8.07%, Due January 2019
LIBOR Plus 8 Point 07 Percent, Due January 2019 [Member]
LIBOR Plus 8 Point 07 Percent, Due January 2019 [Member]
LIBOR Plus 8.25%, Due November 2021
LIBOR Plus 8 Point 25 Percent, Due November 2021 [Member]
LIBOR Plus 8 Point 25 Percent, Due November 2021 [Member]
LIBOR Plus 12.25%, Due November 2021
LIBOR Plus 12 Point 25 Percent, Due November 2021 [Member]
LIBOR Plus 12 Point 25 Percent, Due November 2021 [Member]
Mortgage Loans on Real Estate, Loan Type [Axis]
Mortgage Loans on Real Estate, Loan Type [Axis]
Mortgage Loans on Real Estate, Loan Type [Domain]
Mortgage Loans on Real Estate, Loan Type [Domain]
Senior Mortgage Loans
Senior Mortgage Loans [Member]
Senior Mortgage Loans [Member]
Subordinated debt and preferred equity investments
Subordinated Debt And Preferred Equity Investments In Mortgage Loans [Member]
Represents subordinated debt and preferred equity investments in mortgage loans on real estate.
Real Estate, Type of Property [Axis]
Real Estate, Type of Property [Axis]
Real Estate [Domain]
Real Estate [Domain]
Self Storage
Self Storage [Member]
Self Storage [Member]
Retail and Office Property [Member]
Retail and Office Property [Member]
Retail and Office Property [Member]
Office
Office Building [Member]
Multifamily
Multifamily [Member]
Various
Various Properties [Member]
Various Properties [Member]
Retail Site [Member]
Retail Site [Member]
Industrial
Industrial Property [Member]
Mixed-use
Mixed Use [Member]
Mixed Use [Member]
Hotel
Hotel [Member]
Student Housing
Student Housing Property [Member]
Student Housing Property [Member]
Residential
Residential Real Estate [Member]
Geographical [Axis]
Geographical [Axis]
Geographical [Domain]
Geographical [Domain]
Diversified
Diversified Properties [Member]
Represents information pertaining to diversified properties in various locations.
TEXAS
TEXAS
FLORIDA
FLORIDA
UTAH
UTAH
OREGON / WASHINGTON
Oregon and Washington [Member]
Oregon and Washington [Member]
ILLINOIS
ILLINOIS
COLORADO
COLORADO
MINNESOTA
MINNESOTA
NEW JERSEY
NEW JERSEY
CALIFORNIA
CALIFORNIA
NORTH CAROLINA
NORTH CAROLINA
SOUTH CAROLINA
SOUTH CAROLINA
NEW YORK
NEW YORK
MICHIGAN
MICHIGAN
OHIO
OHIO
ALABAMA
ALABAMA
PENNSYLVANIA
PENNSYLVANIA
Variable Rate [Axis]
Variable Rate [Axis]
Variable Rate [Domain]
Variable Rate [Domain]
LIBOR
London Interbank Offered Rate (LIBOR) [Member]
Range [Axis]
Range [Axis]
Range [Domain]
Range [Domain]
Minimum
Minimum [Member]
Maximum
Maximum [Member]
Mortgage Loans on Real Estate [Line Items]
Mortgage Loans on Real Estate [Line Items]
Outstanding Principal
Mortgage Loans on Real Estate, Face Amount of Mortgages
Carrying Amount
Basis spread on variable rate
Loans Receivable, Basis Spread on Variable Rate
Fixed interest rate
Mortgage Loans on Real Estate, Interest Rate
Unleveraged Effective Yield
Mortgage Loans on Real Estate Unleveraged Effective Yield
Represents the unleveraged effective yield on the investment, when the investment is financed entirely by equity (i.e. no debt).
Number of extension options
Mortgage Loans on Real Estate Number of Extension Options
Represents the number of extension options to which mortgage loans on real estate are subject to.
Extension period of maturity date
Debt Instrument, Maturity Date, Length of Extension Period
Length of the extension period for the date when the debt instrument is scheduled to be fully repaid, which may be presented in a variety of ways (years, months or days).
Mortgage Loans on Real Estate, Principal Amount of Delinquent Loans
Mortgage Loans on Real Estate, Principal Amount of Delinquent Loans
Mortgage Loans on Real Estate, Delinquent Principal or Interest, Acquired from Affiliates
Mortgage Loans on Real Estate, Delinquent Principal or Interest, Acquired from Affiliates
Mortgage Loans on Real Estate, Write-down or Reserve, Amount
Mortgage Loans on Real Estate, Write-down or Reserve, Amount
Mortgage Loans on Real Estate, Recourse Payment Guarantee
Mortgage Loans on Real Estate, Recourse Payment Guarantee
Mortgage Loans on Real Estate, Recourse Payment Guarantee
Organization, Consolidation and Presentation of Financial Statements [Abstract]
ORGANIZATION
Business Description and Basis of Presentation [Text Block]
Total commitments
Commitments
Represents the total commitments to fund various stretch senior and transitional mortgage loans, as well as subordinated debt investments.
Less: funded commitments
Funded Commitments
Represents the portion in cash provided under agreements to advance to borrowers.
Total unfunded commitments
Unfunded Commitments
Represents the off-balance sheet unfunded commitments of the entity.
DIVIDENDS AND DISTRIBUTIONS
Dividends per share amount declared (in dollars per share)
Common Stock, Dividends, Per Share, Declared
Total cash dividends
Dividends, Cash
Document and Entity Information
Entity Registrant Name
Entity Registrant Name
Entity Central Index Key
Entity Central Index Key
Document Type
Document Type
Document Period End Date
Document Period End Date
Amendment Flag
Amendment Flag
Current Fiscal Year End Date
Current Fiscal Year End Date
Entity Filer Category
Entity Filer Category
Entity Common Stock, Shares Outstanding
Entity Common Stock, Shares Outstanding
Document Fiscal Year Focus
Document Fiscal Year Focus
Document Fiscal Period Focus
Document Fiscal Period Focus
Debt Disclosure [Abstract]
Line of Credit Facility [Table]
Line of Credit Facility [Table]
Lender Name [Axis]
Lender Name [Axis]
Line of Credit Facility, Lender [Domain]
Line of Credit Facility, Lender [Domain]
Wells Fargo Facility
Wells Fargo Bank National Association [Member]
Represents the credit facility provided by Wells Fargo Bank, National Association.
Citibank Facility
Citibank N A [Member]
Represents the credit facility provided by Citibank, N.A.
BAML Facility
Baml Facility [Member]
Represents credit facility provided by BAML.
City National Bank Facility
City National Bank [Member]
Represents the credit facility provided by City National Bank.
April 2014 UBS Facility
April2014 Ubs Real Estate Securities Inc [Member]
Represents the credit facility provided by UBS Real Estate Securities Inc. through April 2014 facility.
U.S. Bank Facility
U.S. Bank Facility [Member]
U.S. Bank Facility [Member]
MetLife Facility
Metropolitan Life Insurance Company [Member]
Represents information pertaining to Metropolitan Life Insurance Company (Met Life).
Mortgage Debt Period [Axis]
Mortgage Debt Period [Axis]
The information pertaining to mortgage debt period.
Mortgage Debt Period [Domain]
Mortgage Debt Period [Domain]
n/a
Assets subject to an advance for one year or less
Assets Mortgaged For Period Of One Year Or Less [Member]
Represents the information pertaining to assets advanced for a period of one year or less period.
Assets subject to an advance in excess of one year but less than two years
Assets Mortgaged For Period In Excess Of One Year But Less Than Two Year [Member]
Represents the assets advanced for a period of more than one year but less than two.
Assets subject to an advance for greater than two years
Assets Mortgaged For Period In Excess Of Two Years [Member]
Represents the information pertaining to assets advances for a period of more than two years.
Secured revolving funding facility
Revolving Credit Facility [Member]
March 2014 CNB Facility
March2014 City National Bank Facility [Member]
Represents information pertaining to March 2014 City National Bank Facility.
Revolving master repurchase facility
Revolving Master Repurchase Facility [Member]
Represents information pertaining to revolving master repurchase facility.
Secured term loan
Secured Term Loan [Member]
Represents the information related to secured term loan.
Secured funding facility
Secured Debt [Member]
LIBOR for a one, two, three, six or 12-month
Debt Instrument Variable Rate Base One Two Three Six Or12 Month L I B O R [Member]
The London Interbank Offered Rate (LIBOR) for a one, two, three, six or 12-month interest period used to calculate the variable interest rate of the debt instrument.
30 day LIBOR
Debt Instrument Variable Rate Base Libor30 Day [Member]
The London Interbank Offered Rate (LIBOR) for a 30 day interest period used to calculate the variable interest rate of the debt instrument.
One-month LIBOR
Debt Instrument Variable Rate Base L I B O R One Month [Member]
The London Interbank Offered Rate (LIBOR) for a one-month interest period used to calculate the variable interest rate of the debt instrument.
Federal funds rate
Debt Instrument Variable Rate Base Federal Funds Rate [Member]
Represents the federal funds rate used to calculate the variable interest rate of the debt instrument.
Base rate
Base Rate [Member]
Scenario [Axis]
Scenario [Axis]
Scenario, Unspecified [Domain]
Scenario, Unspecified [Domain]
Scenario, Forecast
Scenario, Forecast [Member]
Funding agreements
Line of Credit Facility [Line Items]
Line of credit facility, maximum borrowing capacity
Line of Credit Facility, Maximum Borrowing Capacity
Number of extension periods available for maturity date
Line of Credit Facility, Number of Extensions
The number of times which the maturity date of the secured credit facility can be extended.
Debt Instrument, Interest Rate, Increase (Decrease)
Debt Instrument, Interest Rate, Increase (Decrease)
Interest rate margin (as a percent)
Debt Instrument, Basis Spread on Variable Rate
Non-utilization fee on average available balance (as a percent)
Line of Credit Facility, Unused Capacity, Commitment Fee Percentage
Non-utilization threshold percentage (less than) (as a percent)
Threshold Percent for Unused Capacity Commitment Fee
Represents the threshold percent for determining unused capacity commitment fee.
Non-utilization/commitment fee
Line of Credit Facility, Commitment Fee Amount
Amount of debt discount on the initial draw down amount
Debt Issue Discount On Initial Draw Down
Amount of discount on initial draw down of debt.
Term of debt
Debt Instrument, Term
Interest rate (as a percent)
Line of Credit Facility, Interest Rate at Period End
Facility used on average (at least) (as a percent)
Line of Credit Facility Used Capacity Percentage
Represents the percentage of used credit capacity under the credit facility.
Aggregate principal amount
Debt Instrument, Face Amount
Debt discount on initial draw down (as a percent)
Percentage Of Debt Discount On Initial Draw Down
Represents the percentage of debt discount on initial draw down of debt.
Accounting Policies [Abstract]
SIGNIFICANT ACCOUNTING POLICIES
Significant Accounting Policies [Text Block]
Schedule of Long-term Debt Instruments [Table]
Schedule of Long-term Debt Instruments [Table]
Secured Term Loan
Debt Instrument [Line Items]
Debt Instrument [Line Items]
Outstanding Balance
Long-term Debt, Gross
Total Commitment
Income Statement [Abstract]
Net interest margin:
Interest Income (Expense), Net [Abstract]
Interest income from loans held for investment
Interest and Fee Income, Loans and Leases Held-in-portfolio
Interest expense
Interest Expense, Borrowings
Net interest margin
Interest Income (Expense), Net
Expenses:
Noninterest Expense [Abstract]
Management and incentive fees to affiliate
Costs and Expenses, Related Party
Professional fees
Professional Fees
General and administrative expenses
General and Administrative Expense
General and administrative expenses reimbursed to affiliate
General and Administrative Expenses Reimbursed to Affiliate
The aggregate expenses of managing and administering the affairs of the affiliates of the entity, reimbursed during the period.
Total expenses
Noninterest Expense
Income before income taxes
Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Noncontrolling Interest
Income tax expense, including excise tax
Net income attributable to ACRE
Net Income (Loss) Attributable to Parent
Less: Net income attributable to non-controlling interests
Net Income (Loss) Attributable to Noncontrolling Interest
Net income attributable to common stockholders
Net Income (Loss) Available to Common Stockholders, Basic
Earnings Per Share [Abstract]
Earnings Per Share [Abstract]
Basic and diluted earnings per common share (in dollars per share)
Income (Loss) from Continuing Operations, Per Basic and Diluted Share
Weighted average number of common shares outstanding:
Weighted Average Number of Shares Outstanding Reconciliation [Abstract]
Basic weighted average shares of common stock outstanding (in shares)
Weighted Average Number of Shares Outstanding, Basic
Diluted weighted average shares of common stock outstanding (in shares)
Weighted Average Number of Shares Outstanding, Diluted
Dividends declared per share of common stock (in dollars per share)
Statement of Stockholders' Equity [Abstract]
Statement [Table]
Statement [Table]
Equity Components [Axis]
Equity Components [Axis]
Equity Component [Domain]
Equity Component [Domain]
Common Stock
Common Stock [Member]
Additional Paid-in Capital
Additional Paid-in Capital [Member]
Accumulated Earnings (Deficit)
Retained Earnings [Member]
Statement
Statement [Line Items]
Increase (Decrease) in Stockholders' Equity
Increase (Decrease) in Stockholders' Equity [Roll Forward]
Beginning Balance (in shares)
Common Stock, Shares, Issued
Beginning Balance
Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest
Stock-based compensation (in shares)
Stock Issued During Period, Shares, Share-based Compensation, Gross
Stock‑based compensation
Adjustments to Additional Paid in Capital, Share-based Compensation, Requisite Service Period Recognition
Net income
Dividends declared
Ending Balance (in shares)
Ending Balance
INCOME TAX
Income Tax Disclosure [Text Block]
Loans held for investment related to consolidated VIE
Variable Interest Entity Mortgage Loans on Real Estate Commercial and Consumer Net
Represents the carrying amount of the Variable Interest Entity's loans held for investment included in the reporting entity's statement of financial position.
Other assets, interest receivable related to consolidated VIE
Variable Interest Entity Other Assets
Represents the carrying amount of the Variable Interest Entity's other assets included in the reporting entity's statement of financial position.
Other assets, other receivable related to consolidated VIE
Variable Interest Entity Other Assets Certificates Receivable
Represents the carrying amount of the Variable Interest Entity's other assets certificates receivable included in the reporting entity's statement of financial position.
Other liabilities, interest payable related to consolidated VIE
Variable Interest Entity Due to Related Parties Current and Noncurrent
Represents the carrying amount due to affiliate by the Variable Interest Entity included in the reporting entity's statement of financial position.
Common stock, par value (in dollars per share)
Common Stock, Par or Stated Value Per Share
Common stock, shares authorized
Common Stock, Shares Authorized
Common stock, shares issued
Common stock, shares outstanding
Common Stock, Shares, Outstanding
Stockholders' Equity Note [Abstract]
Schedule of Share-based Compensation Arrangements by Share-based Payment Award [Table]
Schedule of Share-based Compensation Arrangements by Share-based Payment Award [Table]
Award Type [Axis]
Award Type [Axis]
Equity Award [Domain]
Equity Award [Domain]
Restricted stock
Restricted Stock [Member]
Award Date [Axis]
Award Date [Axis]
Award Date [Domain]
Award Date [Domain]
May 1, 2012
Grant Date1 May2012 [Member]
Represents information pertaining to grant of awards made on May 01, 2012.
June 18, 2012
Grant Date18 June2012 [Member]
Represents information pertaining to grant of awards made on June 18, 2012.
July 9, 2012
Grant Date09 July2012 [Member]
Represents the information pertaining to grant of awards made on July 09, 2012.
June 26, 2013
Grant Date26 June2013 [Member]
Represents information pertaining to grant of awards made on June 26, 2013.
November 25, 2013
Grant Date25 November2013 [Member]
Represents the information pertaining to third grant of awards made on November 25, 2013.
January 31, 2014
Grant Date31 January2014 [Member]
Represents information pertaining to grant of awards made on January 31, 2014.
February 26, 2014
Grant Date26 February2014 [Member]
Represents information pertaining to grant of awards made on February 26, 2014.
February 27, 2014
Grant Date27 February2014 [Member]
Represents information pertaining to grant of awards made on February 27, 2014.
June 24, 2014
Grant Date24 June2014 [Member]
Represents information pertaining to grant of awards made on June 24, 2014.
June 24, 2015
Grant Date24 June2015 [Member]
Represents information pertaining to grant of awards made on June 24, 2015.
April 25, 2016
April 25, 2016 [Member]
April 25, 2016 [Member]
June 27, 2016
June 27, 2016 [Member]
June 27, 2016 [Member]
April 25, 2017
April 25, 2017 [Member]
April 25, 2017 [Member]
June 7, 2017
June 7, 2017 [Member]
June 7, 2017 [Member]
October 17, 2017
October 17, 2017 [Member]
October 17, 2017 [Member]
December 15, 2017
December 15, 2017 [Member]
December 15, 2017 [Member]
May 14, 2018
May 14, 2018 [Member]
May 14, 2018 [Member]
June 26, 2018
June 26, 2018 [Member]
June 26, 2018 [Member]
Title of Individual [Axis]
Title of Individual [Axis]
Relationship to Entity [Domain]
Relationship to Entity [Domain]
Directors
Director [Member]
Officer
Officer [Member]
Equity Incentive Plan
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]
Award vesting period
Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period
Shares Granted (in shares)
Share Based Compensation Arrangement by Share Based Payment Award Equity Instruments Other than Options Granted
Represents the number of non-vested equity-based payment instruments, excluding stock (or unit) options, that are granted as of the balance sheet date.
Restricted stock activity
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Number of Shares [Roll Forward]
Balance at the beginning of the period (in shares)
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Number
Granted (in shares)
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period
Vested (in shares)
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period
Forfeited (in shares)
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Forfeited in Period
Balance at the end of the period (in shares)
Future Anticipated Vesting Schedule
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest [Abstract]
2018 (in shares)
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in the Remainder of the Year
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in the Remainder of the Year
2019 (in shares)
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in Year Two
Represents the number of shares, excluding stock (or unit) options that are expected to vest in the second fiscal year following the latest fiscal year.
2020 (in shares)
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in Year Three
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in Year Three
2021 (in shares)
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in Year Four
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in Year Four
2022 (in shares)
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in Year Five
Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Expected to Vest in Year Five
Total (in shares)
Share Based Compensation Arrangement by Share Based Payment Award Equity Instruments Other than Options Outstanding Grants to Date
The number of outstanding grants made as of the reporting period on other than stock (or unit) option plans (for example, phantom stock or unit plan, stock or unit appreciation rights plan, performance target plan).
Related Party Transactions [Abstract]
Schedule of Related Party Transactions, by Related Party [Table]
Schedule of Related Party Transactions, by Related Party [Table]
Consolidated Entities [Axis]
Consolidated Entities [Axis]
Consolidated Entities [Domain]
Consolidated Entities [Domain]
Parent Company
Parent Company [Member]
Related Party Transaction [Axis]
Related Party Transaction [Axis]
Related Party Transaction [Domain]
Related Party Transaction [Domain]
Loan Origination Commitments
Loan Origination Commitments [Member]
Related Party [Axis]
Related Party [Axis]
Related Party [Domain]
Related Party [Domain]
ACREM
Affiliated Entity [Member]
Other investment vehicles managed by affiliates of our Manager
Other Affiliates [Member]
Related Party Transaction [Line Items]
Related Party Transaction [Line Items]
Base management fees as a percentage of stockholders' equity per annum
Related Party Transaction, Base Management Fees as Percentage of Stockholders Equity, Per Annum
Represents the base management fees incurred as a percentage of stockholder's equity per annum.
Incentive fee payable (not less than)
Related Party Transaction Incentive Fee Payable on Cumulative Core Earnings Less than Zero
Represents the incentive fee payable on cumulative core earnings that are equal to or less than zero.
Percentage multiplied to arrive at first value affecting calculation of incentive fees
Related Party Transaction, Percentage Multiplied to Arrive at First Value Affecting Calculation of Incentive Fees
Represents the percentage multiplied to arrive at the first value which is affecting calculation of incentive fees.
Previous period for which core earnings are considered to arrive at first value affecting calculation of incentive fees
Related Party Transaction, Previous Period for which Core Earnings is Considered to Arrive at First Value Affecting Calculation of Incentive Fees
Represents the previous period for which core earnings are considered to arrive at the first value which is affecting calculation of incentive fees.
Previous period for product of weighted average price per share and weighted average number of shares of common stock and other shares
Related Party Transaction, Previous Period for Product Weighted Average Price Per Share and Weighted Average Number of Shares of Common Stock and Other Shares
Represents the previous period to calculate the product of weighted average price per share and weighted average number of shares of common stock and other shares.
Percentage multiplied to arrive at difference of first value affecting calculation of incentive fees
Related Party Transaction, Percentage Multiplied to Arrive at Difference of First Value Affecting Calculation of Incentive Fees
Represents the percentage multiplied to arrive at difference of the first value which is affecting calculation of incentive fees.
Period for which cumulative core earnings must be greater than zero
Related Party Transaction, Number of Quarter of Previous Year For which Cumulative Core Earnings Must be Greater than Zero
Represents the period for which cumulative core earnings must be greater than zero.
Period whose fiscal quarters are considered to arrive at first value affecting calculation of incentive fees
Related Party Transaction, Period whose Fiscal Quarters is Considered to Arrive at Second Value Affecting Calculation of Incentive Fees
Represents the period whose fiscal quarters is considered to arrive at the first value which is affecting the calculation of incentive fees.
Period considered to arrive at second value affecting calculation of incentive fees
Related Party Transaction, Number of Fiscal Quarters Considered to Arrive at Second Value Affecting Calculation of Incentive Fees
Represents the number of fiscal quarters considered to arrive at the first value which is affecting the calculation of incentive fees.
Minimum cumulative core earnings, number of quarters
Related Party Transaction, Minimum Cumulative Core Earnings for Calculation of Incentive Fee, Number of Quarters
Related Party Transaction, Minimum Cumulative Core Earnings for Calculation of Incentive Fee, Number of Quarters
Incentive fees incurred
Revenue from Related Parties
Management fee look back period
Related Party Transactions, Management Fee Look Back Period
Related Party Transactions, Management Fee Look Back Period
Multiplier of average annual base management fee to arrive at termination fee
Related Party Transaction, Multiplier of Average Annual Base Management and Incentive Fee to Arrive at Termination Fee
Represents the multiplier of average annual base management and incentive fee to arrive at termination fee.
Face amount of mortgages
Mortgage Loans on Real Estate
Mortgage Loans on Real Estate
LOANS HELD FOR INVESTMENT
Loans, Notes, Trade and Other Receivables Disclosure [Text Block]
EARNINGS PER SHARE
Earnings Per Share [Text Block]
Management fees
Management Fees [Member]
Represents management fees costs incurred in the related party transaction.
Incentive fees
Incentive Fees [Member]
Incentive Fees [Member]
General and administrative expenses
General and Administrative Expense [Member]
Direct costs
Direct Third Party Costs [Member]
Represents the direct third party costs incurred in the related party transaction to be reimbursed by the entity.
Operating Activities [Axis]
Operating Activities [Axis]
Operating Activities [Domain]
Operating Activities [Domain]
Continuing Operations
Continuing Operations [Member]
Income Statement Location [Axis]
Income Statement Location [Axis]
Income Statement Location [Domain]
Income Statement Location [Domain]
Incurred
Related Party Transaction, Expenses from Transactions with Related Party
Payable
Investment Type [Axis]
Investment Type [Axis]
Investments [Domain]
Investments [Domain]
Loans held for investment, carrying amount
Schedule of loan commitments
Schedule of Loan Commitments [Table Text Block]
Tabular disclosure of certain off-balance sheet commitments of the entity to fund loan commitments to portfolio companies.
Minimum period of past due for loans to be placed on non accrual status
Minimum Period Of Past Due For Loans To Be Placed On Non Accrual
Represents the minimum period of past due for loans to be placed on non-accrual status.
Mortgage Loans on Real Estate, Description, Loan Category [Axis]
Mortgage Loans on Real Estate, Description, Loan Category [Axis]
Mortgage Loans on Real Estate, Loan Category [Domain]
Mortgage Loans on Real Estate, Loan Category [Domain]
Senior mortgage loans
Mortgage Receivable [Member]
Weighted Average Minimum Loan Borrowing Spread
Weighted Average Unleveraged Effective Yield
Weighted Average Remaining Life
Mortgage Loans on Real Estate Remaining Life
Represents the remaining life of the mortgage loans held for investment.
Summary of related-party costs incurred by the Company and amounts payable to the Manager
Schedule of Related Party Transactions [Table Text Block]
Subsequent Events [Abstract]
SUBSEQUENT EVENTS
Subsequent Events [Text Block]
Schedule of outstanding balances and total commitments under Financing Agreements
Schedule of Line of Credit Facilities [Table Text Block]
DEBT
Debt Disclosure [Text Block]
Schedule of restricted stock grants awarded
Schedule of Restricted Stock Vesting Grants Awarded [Table Text Block]
Tabular disclosure of restricted stock grants awarded.
Schedule of restricted stock award activity
Schedule of Nonvested Share Activity [Table Text Block]
Future anticipated vesting schedule of restricted stock awards
Schedule of Restricted Stock Vesting Schedule [Table Text Block]
Tabular disclosure of vesting schedule of restricted stock awards.
Schedule of computations of basic and diluted earnings per share
Schedule of Earnings Per Share, Basic and Diluted [Table Text Block]
Net income attributable to common stockholders
Income (Loss) from Continuing Operations, Net of Tax, Attributable to Parent
Divided by:
Non-vested restricted stock (in shares)
Incremental Common Shares Attributable to Dilutive Effect of Share-based Payment Arrangements
Diluted weighted average shares of common stock outstanding (in shares)
Cash and cash equivalents
Total cash, cash equivalents and restricted cash shown in the Company's consolidated statements of cash flows
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents
Subsequent Event [Table]
Subsequent Event [Table]
Subsequent Event Type [Axis]
Subsequent Event Type [Axis]
Subsequent Event Type [Domain]
Subsequent Event Type [Domain]
Subsequent event
Subsequent Event [Member]
Subsequent Events
Subsequent Event [Line Items]
DIVIDENDS AND DISTRIBUTIONS
Dividends and Distributions Disclosures [Text Block]
Represents information related to dividends declared during the reporting period.
Revenue Recognition [Abstract]
Revenue Recognition [Abstract]
Interest income from loans held for investment, excluding non-controlling interests
Interest and Fee Income, Loans and Leases Held-in-portfolio, Excluding Noncontrolling Interest
Represents interest income from loans held for investment, excluding non-controlling interests.
Interest income from non-controlling interest investment held by third parties
Interest And Fee Income, Loans And Leases Held-in-portfolio, Attributable to Noncontrolling Interest
Represents interest income from loans held for investment, attributable to non-controlling interests.
Interest income from loans held for investment
STOCKHOLDERS' EQUITY
Stockholders' Equity Note Disclosure [Text Block]
Basis of Presentation
Basis of Accounting, Policy [Policy Text Block]
Variable Interest Entities
Consolidation, Variable Interest Entity, Policy [Policy Text Block]
Loans Held for Investment
Finance, Loan and Lease Receivables, Held-for-investment, Policy [Policy Text Block]
Debt Issuance Costs
Underwriting Commissions and Offering Costs [Policy Text Block]
Describes the entity's accounting policies for costs associated with the underwriting commission and issuance of equity or debt securities.
Revenue Recognition
Revenue from Contract with Customer [Policy Text Block]
Revenue from Contract with Customer [Policy Text Block]
Net Interest Margin and Interest Expense
Net Interest Margin and Interest Expense, Policy [Policy Text Block]
Disclosure of accounting policy for net interest margin and interest expense.
Comprehensive Income
Comprehensive Income, Policy [Policy Text Block]
Recent Accounting Pronouncements
New Accounting Pronouncements, Policy [Policy Text Block]
FAIR VALUE OF FINANCIAL INSTRUMENTS
Fair Value Disclosures [Text Block]
Secured funding agreements and securitizations debt
Offered Certificates And Offered Notes [Member]
Offered Certificates and Offered Notes Member
Interest expense
Schedule of loans held for investments
Schedule of Loans Held for Investment [Table Text Block]
Tabular disclosure of the loans held for investment by the entity.
Schedule of current investment portfolio
Schedule of Portfolio of Loans Held for Investment [Table Text Block]
Tabular disclosure of investment portfolio of the entity related to the loans held for investment.
Schedule of activity in loan portfolio
Schedule of Activity in Loan Portfolio [Table Text Block]
Tabular disclosure of the activity in loan portfolio of the entity.
RELATED PARTY TRANSACTIONS
Related Party Transactions Disclosure [Text Block]
Statement of Cash Flows [Abstract]
Operating activities:
Net Cash Provided by (Used in) Operating Activities, Continuing Operations [Abstract]
Adjustments to reconcile net income to net cash provided by (used in) operating activities:
Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract]
Amortization of deferred financing costs
Amortization of Debt Issuance Costs
Accretion of deferred loan origination fees and costs
Amortization of Deferred Loan Origination Fees, Net
Stock-based compensation
Share-based Compensation
Changes in operating assets and liabilities:
Increase (Decrease) in Operating Capital [Abstract]
Other assets
Increase (Decrease) in Other Operating Assets
Due to affiliate
Increase (Decrease) in Due to Affiliates
Other liabilities
Increase (Decrease) in Other Operating Liabilities
Net cash provided by (used in) operating activities
Net Cash Provided by (Used in) Operating Activities
Investing activities:
Net Cash Provided by (Used in) Investing Activities, Continuing Operations [Abstract]
Issuance of and fundings on loans held for investment
Payments to Acquire Loans Held-for-investment
Principal repayment of loans held for investment
Proceeds from Collection of Loans Receivable
Receipt of origination fees
Proceeds from Loan and Lease Originations and Principal Collections
Net cash provided by (used in) investing activities
Net Cash Provided by (Used in) Investing Activities
Financing activities:
Net Cash Provided by (Used in) Financing Activities, Continuing Operations [Abstract]
Proceeds from secured funding agreements
Proceeds from Issuance of Secured Debt
Repayments of secured funding agreements
Repayments of Secured Debt
Payment of secured funding costs
Payments Of Secured Funding Costs
Represents the Value related to the payment of cash outflow for loan and debt issuance costs.
Proceeds from issuance of debt of consolidated VIEs
Proceeds from Related Party Debt
Dividends paid
Payments of Ordinary Dividends, Common Stock
Contributions from non-controlling interests
Proceeds from Noncontrolling Interests
Distributions to non-controlling interests
Payments to Noncontrolling Interests
Net cash provided by (used in) financing activities
Net Cash Provided by (Used in) Financing Activities, Continuing Operations
Change in cash, cash equivalents and restricted cash
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect
Cash, cash equivalents and restricted cash, end of period
Cash, cash equivalents and restricted cash, beginning of period
VARIABLE INTEREST ENTITIES
Variable Interest Entity Disclosure [Text Block]
Change in the activity of loan portfolio
Movement in Mortgage Loans on Real Estate [Roll Forward]
Balance at the beginning of the period
Initial funding
Mortgage Loans on Real Estate, New Mortgage Loans
Origination fees and discounts, net of costs
Mortgage Loans on Real Estate Receipt of Origination Fee
The amount of origination fee collected on mortgage loans on real estate during the reporting period.
Additional funding
Mortgage Loans on Real Estate, Other Additions
Amortizing payments
Mortgage Loans on Real Estate Amortizing Payments
The amount of amortizing payments received on mortgage loans on real estate during the reporting period.
Loan payoffs
Mortgage Loans on Real Estate Loan Paid Off
The amount of loans paid off on mortgage loans on real estate during the reporting period.
Origination fee accretion
Balance at the end of the period
Impairment charges recognized
Mortgage Loans on Real Estate Impairment Charges Recognized
Represents the amount of impairment charges recognized on mortgage loans on real estate.
Summary of the Company's dividends declared
Schedule of Dividends Payable [Table Text Block]
Schedule of Cash and Cash Equivalents
Schedule of Cash and Cash Equivalents [Table Text Block]
Restrictions on Cash and Cash Equivalents
Restrictions on Cash and Cash Equivalents [Table Text Block]
Reconciliation of interest income from loan held for investment
Interest Income Reconciliation Table Text Block
The schedule of interest income revenue reconciliation showing noncontrolling interest income from investments held by third parties.
Schedule of interest expense
Net Interest Margin [Table Text Block]
The schedule of interest expense incurred by the entity.
Number of loans originated or co-originated
Mortgage Loans on Real Estate, Number of Loans
Number of loans repaid or sold
Mortgage Loans on Real Estate Number of Loans Repaid or Sold
Represents the number of mortgage loans repaid or sold.
Total Commitment
Mortgage Loans on Real Estate Total Commitment Amount
Represents the total commitment amount of the mortgage loan.
Loans held for investment
Mortgage Loans On Real Estate Total Commitment Amount Excluding Noncontrolling Interest
Mortgage Loans On Real Estate Total Commitment Amount Excluding Noncontrolling Interest
Amount funded
Payments To Acquire Loans Held For Investment Including Non Cash Upsize And Excluding Capitalized Funding
The cash outflow associated with purchasing loans held for investment purposes during the period and including noncash upsize and excluding capitalized funding.
Amount of repayments
Mortgage Loans on Real Estate, Collections of Principal
Percentage of loans held for investment having LIBOR floors
Percentage of Loans Held for Investment Having LIBOR Floors
Represents the percentage of loans held for investment having LIBOR floors.
Weighted average floor (as a percent)
Loans Receivable Description of Variable Rate Basis Weighted Average Floor
Represents the weighted average floor of the reference rate for the variable rate of the loans receivable, such as LIBOR or the US Treasury rate and the maturity of the reference rate used, such as three months or six months LIBOR.
Schedule of carrying value and estimated fair value of the Company's financial instruments not carried at fair value on the consolidated balance sheet
Fair Value, by Balance Sheet Grouping [Table Text Block]
Common stock shares issued in public or private offerings
Common Stock Subscription Agreement Shares Issued
Represents the common shares sold by the entity in a private placement pursuant to the agreement.
Schedule of Variable Interest Entities [Table]
Schedule of Variable Interest Entities [Table]
ACRE Commercial Mortgage 2017-FL3 Ltd And ACRE Commercial Mortgage 2017-FL3 LLC
ACRE Commercial Mortgage 2017-FL3 Ltd And ACRE Commercial Mortgage 2017-FL3 LLC [Member]
ACRE Commercial Mortgage 2017-FL3 Ltd And ACRE Commercial Mortgage 2017-FL3 LLC [Member]
Holdco
Subsidiaries [Member]
Floating Rate Notes, Weighted Average Coupon Rate, LIBOR Plus 1.85%
Floating Rate Notes, Weighted Average Coupon Rate, LIBOR Plus 1 point 85 Percent [Member]
Floating Rate Notes, Weighted Average Coupon Rate, LIBOR Plus 1 point 85 Percent [Member]
Offered Certificates
Offered Certificates [Member]
Represents information pertaining to Class A, Class B, Class C and Class D Certificates.
Mortgaged Assets
Offered Notes [Member]
Represents details pertaining to Offered Notes.
Variable Interest Entities [Axis]
Variable Interest Entities [Axis]
Variable Interest Entity, Classification [Domain]
Variable Interest Entity, Classification [Domain]
Primary beneficiary
Variable Interest Entity, Primary Beneficiary [Member]
Variable Interest Entity [Line Items]
Variable Interest Entity [Line Items]
Preferred equity fully funded amount
Preferred Equity Investment Fully Funded Amount
Represents the fully funded amount of preferred equity investment.
Number of properties collateralized for mortgage loan
Number of Properties Collateralized for Mortgage Loans
Represents the number of properties collateralized for mortgage loan.
Collateral amount
Debt Instrument, Collateral Amount
Receivables related to repayments of outstanding principal
Loans and Leases Receivable, Gross, Consumer, Mortgage
Principal amount of certificates retained by wholly owned subsidiary of the entity
Debt Instrument Principal Amount Retained by Entity
Represents the principal amount of debt instrument retained by the entity.
Prepayment fee, percent
Debt Instrument, Prepayment Fee, Percent
Debt Instrument, Prepayment Fee, Percent
Maximum exposure to loss
Variable Interest Entity, Reporting Entity Involvement, Maximum Loss Exposure, Amount
Interest expense
Interest Expense, Debt