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Mortgage Notes, Lines of Credit and Bonds Payable (Details) - USD ($)
$ in Thousands
1 Months Ended 3 Months Ended
Apr. 01, 2023
Mar. 31, 2024
Mar. 31, 2024
May 05, 2024
Dec. 31, 2023
Mortgage notes payable          
Principal outstanding   $ 382,963 $ 382,963   $ 363,095
Debt issuance costs   (2,073) (2,073)   (2,236)
Mortgage notes and bonds payable, net   380,890 380,890   360,859
Book value of collateral   961,375 961,375    
Accumulated amortization of deferred financing fees   2,100 2,100   1,900
Interest Rate Swap | Cash Flow Hedging | Designated as Hedging Instrument          
Mortgage notes payable          
Notional amount   33,200 33,200    
Farmer Mac Facility          
Mortgage notes payable          
Principal outstanding   $ 55,000 $ 55,000   30,000
Interest Rate (as a percent)   6.83% 6.83%    
Book value of collateral   $ 92,800 $ 92,800    
Remaining borrowing capacity   18,100 18,100   43,100
Additional bond purchase amount   200,000 $ 200,000    
Farmer Mac Facility | Secured notes          
Mortgage notes payable          
Margin added to reference rate (as a percent)     1.50%    
Outstanding debt   $ 80,000 $ 80,000   55,000
Commitment fees percentage     0.20%    
Farmer Mac Facility | Secured notes | Maximum          
Mortgage notes payable          
loan-to-value ratio (as a percent)     60.00%    
MetLife Facility          
Mortgage notes payable          
Interest Rate (as a percent)   7.45% 7.45%    
Book value of collateral   $ 112,630 $ 112,630    
MetLife Facility | Term Loan          
Mortgage notes payable          
Outstanding debt   257,600 $ 257,600   257,600
Maximum loan to value ratio     60.00%    
MetLife Facility | Term Loan | Minimum          
Mortgage notes payable          
Percentage of prepayment equal to unpaid principal balance     20.00%    
MetLife Facility | Term Loan | Maximum          
Mortgage notes payable          
Percentage of prepayment equal to unpaid principal balance     50.00%    
MetLife Facility | Term Loan          
Mortgage notes payable          
Outstanding debt   75,000 $ 75,000    
Amount borrowed     0    
MetLife Facility | Credit Facility          
Mortgage notes payable          
Remaining borrowing capacity   75,000 75,000    
Rutledge Credit Facilities          
Mortgage notes payable          
Maximum borrowing capacity   85,800 85,800    
Outstanding debt   0 $ 0   5,000
Percentage of decrease in debt     2.50%    
Remaining borrowing capacity   85,800 $ 85,800    
SOFR | Farmer Mac Facility          
Mortgage notes payable          
Margin added to reference rate (as a percent)     1.50%    
SOFR | MetLife Facility          
Mortgage notes payable          
Margin added to reference rate (as a percent)     2.10%    
SOFR | MetLife Facility | Term Loan          
Mortgage notes payable          
Margin added to reference rate (as a percent)     2.10%    
SOFR | Rutledge Credit Facilities          
Mortgage notes payable          
Margin added to reference rate (as a percent) 1.80%        
SOFR | Rutledge Credit Facilities | Minimum          
Mortgage notes payable          
Margin added to reference rate (as a percent)     1.80%    
SOFR | Rutledge Credit Facilities | Maximum          
Mortgage notes payable          
Margin added to reference rate (as a percent)     2.25%    
Farmer Mac Bond #6          
Mortgage notes payable          
Principal outstanding   $ 13,827 $ 13,827   13,827
Interest Rate (as a percent)   3.69% 3.69%    
Book value of collateral   $ 19,478 $ 19,478    
Farmer Mac Bond #7          
Mortgage notes payable          
Principal outstanding   $ 11,160 $ 11,160   11,160
Interest Rate (as a percent)   3.68% 3.68%    
Book value of collateral   $ 8,258 $ 8,258    
MetLife Term Loan #1          
Mortgage notes payable          
Principal outstanding   $ 72,586 $ 72,586   72,585
Interest Rate (as a percent)   5.55% 5.55%    
Book value of collateral   $ 102,171 $ 102,171    
MetLife Term Loan #4          
Mortgage notes payable          
Principal outstanding   $ 5,757 $ 5,757   5,756
Interest Rate (as a percent)   5.55% 5.55%    
Interest Rate Terms     3 years    
Book value of collateral   $ 9,534 $ 9,534    
MetLife Term Loan #5          
Mortgage notes payable          
Principal outstanding   $ 5,179 $ 5,179   5,179
Interest Rate (as a percent)   5.63% 5.63%    
Interest Rate Terms     3 years    
Book value of collateral   $ 7,383 $ 7,383    
MetLife Term Loan #6          
Mortgage notes payable          
Principal outstanding   $ 21,726 $ 21,726   21,726
Interest Rate (as a percent)   5.55% 5.55%    
Interest Rate Terms     3 years    
Book value of collateral   $ 26,230 $ 26,230    
MetLife Term Loan #7          
Mortgage notes payable          
Principal outstanding   $ 15,434 $ 15,434   15,434
Interest Rate (as a percent)   5.87% 5.87%    
Interest Rate Terms     3 years    
Book value of collateral   $ 29,770 $ 29,770    
MetLife Term Loan #8          
Mortgage notes payable          
Principal outstanding   $ 44,000 $ 44,000   44,000
Interest Rate (as a percent)   4.12% 4.12%    
Book value of collateral   $ 110,042 $ 110,042    
Metlife Term Loan #9          
Mortgage notes payable          
Principal outstanding   $ 16,800 $ 16,800   16,800
Interest Rate (as a percent)   3.20% 3.20% 6.37%  
Interest Rate Terms     3 years    
Book value of collateral   $ 33,720 $ 33,720    
Metlife Term Loan #10          
Mortgage notes payable          
Principal outstanding   $ 48,986 $ 48,986   48,986
Interest Rate (as a percent)   6.36% 6.36%    
Book value of collateral   $ 94,684 $ 94,684    
Metlife Term Loan #11          
Mortgage notes payable          
Principal outstanding   $ 12,750 $ 12,750   12,750
Interest Rate (as a percent)   2.85% 2.85%    
Interest Rate Terms     3 years    
Book value of collateral   $ 27,497 $ 27,497    
Metlife Term Loan #11 | Three-year U.S. Treasury rate          
Mortgage notes payable          
Adjustment term for interest rate     3 years    
Metlife Term Loan #11 | Three-year U.S. Treasury rate | Minimum          
Mortgage notes payable          
Margin added to reference rate (as a percent)     2.20%    
Metlife Term Loan #11 | Three-year U.S. Treasury rate | Maximum          
Mortgage notes payable          
Margin added to reference rate (as a percent)     2.85%    
Metlife Term Loan #12          
Mortgage notes payable          
Principal outstanding   $ 14,359 $ 14,359   14,359
Interest Rate (as a percent)   3.11% 3.11%    
Interest Rate Terms     3 years    
Book value of collateral   $ 14,784 $ 14,784    
Metlife Term Loan #12 | Three-year U.S. Treasury rate          
Mortgage notes payable          
Adjustment term for interest rate     3 years    
Metlife Term Loan #12 | Three-year U.S. Treasury rate | Minimum          
Mortgage notes payable          
Margin added to reference rate (as a percent)     2.10%    
Metlife Term Loan #12 | Three-year U.S. Treasury rate | Maximum          
Mortgage notes payable          
Margin added to reference rate (as a percent)     2.75%    
Rabobank          
Mortgage notes payable          
Principal outstanding   $ 45,399 $ 45,399   $ 45,533
Interest Rate (as a percent)   7.16% 7.16%    
Book value of collateral   $ 90,237 $ 90,237    
Rabobank | Interest Rate Swap | Cash Flow Hedging | Designated as Hedging Instrument          
Mortgage notes payable          
Adjustment amount of notional amount     $ 33,200    
Ratio of floating rate debt to total debt (as percent)   17.50% 17.50%   26.20%
Rabobank | Secured notes          
Mortgage notes payable          
Outstanding debt   $ 45,400 $ 45,400   $ 45,500
Amortization expense   2,100      
Rabobank | SOFR          
Mortgage notes payable          
Margin added to reference rate (as a percent)     1.81%    
Rabobank | SOFR | Interest Rate Swap | Cash Flow Hedging | Designated as Hedging Instrument          
Mortgage notes payable          
Notional amount   $ 33,200 $ 33,200    
Derivative basis spread on variable rate   2.114% 2.114%    
Weighted average rate percentage   4.70% 4.70%    
Rutledge Note Payable#6 | SOFR          
Mortgage notes payable          
Margin added to reference rate (as a percent)     1.80%    
Rutledge Facility          
Mortgage notes payable          
Principal outstanding         $ 5,000
Interest Rate (as a percent)   7.13% 7.13%    
Book value of collateral   $ 182,157 $ 182,157