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Indebtedness (Details)
6 Months Ended
Jun. 10, 2024
USD ($)
May 19, 2023
USD ($)
Dec. 06, 2022
USD ($)
Aug. 23, 2022
USD ($)
extension_option
Jun. 30, 2024
USD ($)
Jun. 21, 2024
USD ($)
Jun. 14, 2024
USD ($)
Dec. 31, 2023
USD ($)
Aug. 29, 2023
USD ($)
Jun. 29, 2023
USD ($)
Line of Credit | Amended And Restated Credit Agreement                    
Indebtedness                    
Aggregate capacity under the credit facility       $ 550,000,000.0            
Accordion feature maximum borrowing capacity       1,000,000,000.0            
Line of Credit | M&T Term Loan Agreement                    
Indebtedness                    
Aggregate capacity under the credit facility     $ 100,000,000              
Accordion feature maximum borrowing capacity     $ 200,000,000              
Line of Credit | TD Term Loan Facility                    
Indebtedness                    
Aggregate capacity under the credit facility   $ 75,000,000                
Accordion feature maximum borrowing capacity   $ 150,000,000                
Line of Credit | Revolving credit facility | Amended And Restated Credit Agreement                    
Indebtedness                    
Aggregate capacity under the credit facility       $ 250,000,000.0         $ 355,000,000.0  
Number of extension options | extension_option       2            
Duration of extension option       6 months            
Extension fee percentage       0.075%            
Increased the capacity of the revolving credit facility             $ 50,000,000   105,000,000  
Credit spread adjustment       0.10%            
Line of credit, amount outstanding         $ 187,000,000.0     $ 267,000,000.0    
Interest rate on credit facility as of end of period         6.94%          
Interest rate on credit facility as of end of period after giving effect to interest rate caps and swaps         4.80%          
Line of Credit | Revolving credit facility | M&T Term Loan Agreement                    
Indebtedness                    
Duration of extension option     1 year              
Extension fee percentage     0.075%              
Increased the capacity of the revolving credit facility           $ 35,000,000        
Credit spread adjustment     0.10%              
Line of credit, amount outstanding         $ 135,000,000 $ 135,000,000   100,000,000    
Interest rate on credit facility as of end of period         5.05%          
Interest rate on credit facility as of end of period after giving effect to interest rate caps and swaps         6.89%          
Line of Credit | Revolving credit facility | TD Term Loan Facility                    
Indebtedness                    
Aggregate capacity under the credit facility                   $ 95,000,000
Duration of extension option   1 year                
Extension fee percentage   0.15%                
Credit spread adjustment   0.10%                
Line of credit, amount outstanding         $ 95,000,000     95,000,000    
Interest rate on credit facility as of end of period         6.99%          
Interest rate on credit facility as of end of period after giving effect to interest rate caps and swaps         4.85%          
Line of Credit | Revolving credit facility | Chronicle Mill                    
Indebtedness                    
Duration of extension option         1 year          
Line of Credit | Revolving credit facility | Secured Overnight Financing Rate (SOFR) | M&T Term Loan Agreement                    
Indebtedness                    
Stated interest rate, basis spread on variable rate     1.00%              
Line of Credit | Revolving credit facility | Secured Overnight Financing Rate (SOFR) | TD Term Loan Facility                    
Indebtedness                    
Stated interest rate, basis spread on variable rate   1.00%                
Line of Credit | Revolving credit facility | Federal Funds Rate | M&T Term Loan Agreement                    
Indebtedness                    
Stated interest rate, basis spread on variable rate     0.50%              
Line of Credit | Revolving credit facility | Federal Funds Rate | TD Term Loan Facility                    
Indebtedness                    
Stated interest rate, basis spread on variable rate   0.50%                
Line of Credit | Revolving credit facility | Base Rate | TD Term Loan Facility                    
Indebtedness                    
Stated interest rate, basis spread on variable rate   1.00%                
Line of Credit | Revolving credit facility | Minimum | Amended And Restated Credit Agreement                    
Indebtedness                    
Basis points on unused commitment fee       0.15%            
Line of Credit | Revolving credit facility | Minimum | Secured Overnight Financing Rate (SOFR) | Amended And Restated Credit Agreement                    
Indebtedness                    
Stated interest rate, basis spread on variable rate       1.30%            
Line of Credit | Revolving credit facility | Maximum | Amended And Restated Credit Agreement                    
Indebtedness                    
Basis points on unused commitment fee       0.25%            
Line of Credit | Revolving credit facility | Maximum | Secured Overnight Financing Rate (SOFR) | Amended And Restated Credit Agreement                    
Indebtedness                    
Stated interest rate, basis spread on variable rate       1.85%            
Line of Credit | Term Loan Facility | Amended And Restated Credit Agreement                    
Indebtedness                    
Aggregate capacity under the credit facility       $ 300,000,000.0     $ 350,000,000   $ 655,000,000.0  
Credit spread adjustment       0.10%            
Line of credit, amount outstanding         $ 350,000,000.0     $ 300,000,000    
Interest rate on credit facility as of end of period         6.89%          
Interest rate on credit facility as of end of period after giving effect to interest rate caps and swaps         4.98%          
Line of Credit | Term Loan Facility | Minimum | Secured Overnight Financing Rate (SOFR) | Amended And Restated Credit Agreement                    
Indebtedness                    
Stated interest rate, basis spread on variable rate       1.25%            
Line of Credit | Term Loan Facility | Maximum | Secured Overnight Financing Rate (SOFR) | Amended And Restated Credit Agreement                    
Indebtedness                    
Stated interest rate, basis spread on variable rate       1.80%            
Construction loans                    
Indebtedness                    
Borrowings under construction loans         $ 23,000,000          
Secured debt | Red Mill Commons                    
Indebtedness                    
Extinguishment of debt $ 1,760,000