XML 40 R30.htm IDEA: XBRL DOCUMENT v3.23.3
NOTES (Tables) - Notes Payable 2026
9 Months Ended
Sep. 30, 2023
Notes  
Schedule of interest expense and deferred financing costs

    

For the three months ended

 

For the nine months ended

    

September 30, 2023

September 30, 2022

 

September 30, 2023

September 30, 2022

Interest expense

$

1,218,750

$

1,218,750

$

3,662,250

$

3,656,250

Deferred financing costs

 

112,598

 

112,598

 

334,122

 

339,122

Total interest and financing expenses

$

1,331,348

$

1,331,348

$

3,996,372

$

3,995,372

Weighted average interest rate

 

4.8

%

 

4.8

%

 

4.9

%

 

4.9

%

Effective interest rate (including fee amortization)

 

5.3

%

 

5.3

%

 

5.3

%

 

5.3

%

Average debt outstanding

$

100,000,000

$

100,000,000

$

100,000,000

$

100,000,000

Cash paid for interest

$

2,437,500

$

2,437,500

$

4,881,000

$

4,880,000

Schedule of notes payable, net of deferred financing costs

    

September 30, 2023

December 31, 2022

Notes payable

$

100,000,000

$

100,000,000

Deferred financing costs

 

(1,116,186)

 

(1,450,308)

Notes payable, net of deferred financing costs

$

98,883,814

$

98,549,692