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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2016
Fair Value Disclosures [Abstract]  
Schedule of fair value of other financial instruments
The following table presents the fair value of the Trust’s financial instruments (in thousands): 
 
June 30,
2016
 
December 31,
2015
 
Carrying
Amount
 
Fair
Value
 
Carrying
Amount
 
Fair
Value
Real estate loans receivable
$
38,774

 
$
38,774

 
$
39,349

 
$
39,349

Notes receivable
$
16,618

 
$
16,618

 
$
20,620

 
$
20,620

Credit facility
$
(378,000
)
 
$
(378,000
)
 
$
(395,000
)
 
$
(395,000
)
Notes payable
$
(150,000
)
 
$
(150,000
)
 
$

 
$

Mortgage debt
$
(114,893
)
 
$
(117,553
)
 
$
(94,600
)
 
$
(95,275
)
Derivative liabilities
$
(6,211
)
 
$
(6,211
)
 
$
(8,216
)
 
$
(8,216
)