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Fair Value Measurements - Fair Value Financial Instruments (Details) - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Assets:    
Notes receivable, net $ 1,097 $ 23,760
Liabilities:    
Credit facility (267,641) (412,322)
Notes payable (1,464,008) (968,653)
Secured Debt (180,269) (57,875)
Carrying Amount    
Assets:    
Real estate loans receivable, net 117,844 198,800
Notes receivable, net 1,097 23,760
Liabilities:    
Credit facility (274,000) (416,000)
Notes payable (1,475,000) (975,000)
Secured Debt (181,035) (58,074)
Carrying Amount | Derivative liabilities    
Liabilities:    
Derivative liabilities (452) (10,261)
Fair Value    
Assets:    
Real estate loans receivable, net 115,385 198,814
Notes receivable, net 1,097 23,760
Liabilities:    
Credit facility (274,000) (416,000)
Notes payable (1,554,802) (1,063,367)
Secured Debt (182,189) (59,651)
Fair Value | Derivative liabilities    
Liabilities:    
Derivative liabilities $ (452) $ (10,261)