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Fair Value Measurements - Fair Value of Company's Financial Instruments (Details) - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Assets:    
Notes receivable, net $ 365 $ 370
Fair Value 6,749  
Liabilities:    
Credit facility (392,524) (188,328)
Notes payable (1,451,162) (1,465,437)
Mortgage debt (163,926) (164,352)
Carrying Amount    
Assets:    
Real estate loans receivable, net 88,970 104,973
Notes receivable, net 365 370
Liabilities:    
Credit facility (400,000) (193,000)
Notes payable (1,460,000) (1,475,000)
Mortgage debt (164,427) (164,929)
Carrying Amount | Interest Rate Swap    
Assets:    
Fair Value 6,749 2,045
Fair Value    
Assets:    
Real estate loans receivable, net 87,036 102,162
Notes receivable, net 365 370
Liabilities:    
Credit facility (400,000) (193,000)
Notes payable (1,284,250) (1,302,767)
Mortgage debt (162,649) (163,129)
Fair Value | Interest Rate Swap    
Assets:    
Fair Value $ 6,749 $ 2,045