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Note 5 - Notes Payable (Tables)
9 Months Ended
Sep. 30, 2023
Notes Tables  
Schedule of Long-Term Debt Instruments [Table Text Block]

Property

Maturity

 

Interest Rate

   

September 30,

2023

   

December 31,

2022

 
                           

Flatbush Gardens, Brooklyn, NY (a)

6/1/2032

    3.125%     $ 329,000     $ 329,000  

250 Livingston Street, Brooklyn, NY (b)

6/6/2029

    3.63%       125,000       125,000  

141 Livingston Street, Brooklyn, NY (c)

3/6/2031

    3.21%       100,000       100,000  

Tribeca House, Manhattan, NY (d)

3/6/2028

    4.506%       360,000       360,000  

Aspen, Manhattan, NY (e)

7/1/2028

    3.68%       61,399       62,554  

Clover House, Brooklyn, NY (f)

12/1/2029

    3.53%       82,000       82,000  

10 West 65th Street, Manhattan, NY (g)

11/1/2027

 

SOFR + 2.50%

      31,929       32,222  

1010 Pacific Street, Brooklyn, NY (h)

9/1/2024

 

LIBOR + 3.60%

            43,477  

1010 Pacific Street, Brooklyn, NY (h)

9/15/2025     5.55%       60,000        

1010 Pacific Street, Brooklyn, NY (h)

9/15/2025     6.370%       20,000        

Dean Street, Brooklyn, NY (i)

9/22/2023

 

Prime + 1.60%

            36,985  

Dean Street, Brooklyn, NY (i)

8/10/2026

 

SOFR + 4%

      37,899        

Dean Street, Brooklyn, NY (i)

8/10/2026

 

SOFR + 10%

      4,629        

Total debt

          $ 1,211,856     $ 1,171,238  

Unamortized debt issuance costs

            (14,578

)

    (9,650

)

Total debt, net of unamortized debt issuance costs

          $ 1,197,278     $ 1,161,588  
Schedule of Maturities of Long-Term Debt [Table Text Block]

2023 (Remainder)

  $ 487  

2024

    1,993  

2025

    82,092  

2026

    44,718  

2027

    33,461  

Thereafter

    1,049,105  

Total

  $ 1,211,856