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Mortgage Notes, Lines of Credit and Bonds Payable (Tables)
3 Months Ended
Mar. 31, 2024
Mortgage Notes, Lines of Credit and Bonds Payable  
Schedule of indebtedness outstanding

Book

Annual

 Value of

($ in thousands)

Interest

Principal

Collateral

Rate as of

Next

Outstanding as of

as of

Interest

March 31,

Interest Rate

Adjustment

March 31,

December 31,

Maturity

March 31,

Loan

  

Payment Terms

  

2024

  

Terms

  

Date

  

2024

  

2023

  

Date

  

2024

Farmer Mac Bond #6

Semi-annual

3.69%

Fixed

N/A

$

13,827

$

13,827

April 2025

$

19,478

Farmer Mac Bond #7

Semi-annual

3.68%

Fixed

N/A

11,160

11,160

April 2025

8,258

Farmer Mac Facility

Monthly

6.83%

SOFR + 1.50%

N/A

55,000

30,000

December 2025

92,800

MetLife Term Loan #1

Semi-annual

5.55%

Fixed

N/A

72,586

72,585

March 2026

102,171

MetLife Term Loan #4

Semi-annual

5.55%

Fixed for 3 years

March 2026

5,757

5,756

June 2026

9,534

MetLife Term Loan #5

Semi-annual

5.63%

Fixed for 3 years

January 2026

5,179

5,179

January 2027

7,383

MetLife Term Loan #6

Semi-annual

5.55%

Fixed for 3 years

February 2026

21,726

21,726

February 2027

26,230

MetLife Term Loan #7

Semi-annual

5.87%

Fixed for 3 years

June 2026

15,434

15,434

June 2027

29,770

MetLife Term Loan #8

Semi-annual

4.12%

Fixed for 10 years

December 2027

44,000

44,000

December 2042

110,042

MetLife Term Loan #9

Semi-annual

3.20%

Fixed for 3 years

May 2024 (3)

16,800

16,800

May 2028

33,720

MetLife Term Loan #10

Semi-annual

6.36%

Fixed

N/A

48,986

48,986

October 2030

94,684

MetLife Term Loan #11

Semi-annual

2.85%

Fixed for 3 years

October 2024

12,750

12,750

October 2031

27,497

MetLife Term Loan #12

Semi-annual

3.11%

Fixed for 3 years

December 2024

14,359

14,359

December 2031

14,784

MetLife Facility

Quarterly

7.45%

SOFR + 2.10%

N/A

October 2027

112,630

Rabobank (1)

Semi-annual

7.16%

SOFR + 1.81%

March 2026 (2)

45,399

45,533

March 2028

90,237

Rutledge Facility

Quarterly

7.13%

SOFR + 1.80%

April 2024 (2)

5,000

March 2027

182,157

Total outstanding principal

382,963

363,095

$

961,375

Debt issuance costs

(2,073)

(2,236)

Unamortized premium

Total mortgage notes and bonds payable, net

$

380,890

$

360,859

(1)The Company has an interest rate swap agreement with Rabobank for $33.2 million notional of fixed SOFR at 2.114% until March 2026 for a weighted average rate of approximately 4.7% (see “Note 10—Hedge Accounting”). After adjusting the $33.2 million of swapped Rabobank debt as fixed rate debt, the ratio of floating rate debt to total debt decreased from 26.2% to 17.5%.
(2)The adjustment date included in the table above is for the spread noted under “Interest Rate Terms.”
(3)Effective May 5, 2024, MetLife Term Loan #9 will reprice to 6.37%.
Schedule of aggregate maturities of long-term debt

($ in thousands)

Year Ending December 31,

    

Future Maturities

 

2024 (remaining nine months)

$

2025

79,987

2026

78,343

2027

 

42,339

2028

62,199

Thereafter

120,095

$

382,963