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Consolidated Statements of Equity and Temporary Equity (Unaudited) - USD ($)
Total
Common Stock
Class P Common Stock
Common Stock
Class A Common Stock
Common Stock
Class T Common Stock
Common Stock
Class W Common Stock
Common Stock
Class Y Common Stock
Common Stock
Class Z Common Stock
Additional Paid-in Capital
Distributions
Accumulated Deficit
Accumulated Other Comprehensive Income (Loss)
Total Strategic Storage Trust VI, Inc. Equity
Noncontrolling Interests
Noncontrolling Interests in our Operating Partnership
Series C Subordinated Units
Noncontrolling Interests in our Operating Partnership
Redeemable Common Stock
Preferred Equity In Our Operating Partnership
Preferred Stock
Beginning Balance at Dec. 31, 2022 $ 113,061,270 $ 10,842 $ 1,767 $ 3,016 $ 248     $ 134,820,961 $ (7,793,929) $ (16,727,700) $ (61,416) $ 110,253,789 $ 2,807,481   $ 2,873,848    
Beginning Balance (in shares) at Dec. 31, 2022   10,841,745 1,766,539 3,015,798 248,369                        
Gross proceeds from issuance of common stock 11,097,130   $ 294 $ 674 $ 141     11,096,021       11,097,130          
Gross proceeds from issuance of common stock (in shares)     294,558 673,565 140,638                        
Offering costs (1,316,106)             (1,316,106)       (1,316,106)          
Reimbursement of offering cost by Advisor 13,220             13,220       13,220          
Changes to redeemable common stock (974,931)             (974,931)       (974,931)     974,931    
Distributions (2,430,525)               (2,430,525)     (2,430,525)          
Distributions to noncontrolling interests (84,089)                       (84,089)        
Distributions to preferred unitholders in our Operating Partnership                               $ (177,917)  
Issuance of shares for distribution reinvestment plan (DRP) 974,931 $ 73 $ 10 $ 16 $ 2     974,830       974,931          
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   73,145 10,180 16,868 2,123                        
Stock based compensation expense 4,842             4,842       4,842          
Gross proceeds from issuance of preferred equity in our Operating Partnership                               15,000,000  
Preferred equity issuance costs                               (189,920)  
Accretion of preferred equity issuance costs                               15,848  
Net loss attributable to Strategic Storage Trust VI, Inc. (6,420,140)                 (6,420,140)   (6,420,140)       177,917  
Net loss attributable to the noncontrolling interests in our Operating Partnership (208,425)                       (208,425)        
Interest rate hedge contracts (158,353)                   (153,361) (153,361) (4,992)        
Foreign currency translation adjustment (437,759)                   (423,852) (423,852) (13,907)        
Ending Balance at Mar. 31, 2023 113,121,065 $ 10,915 $ 2,071 $ 3,706 $ 391     144,618,837 (10,224,454) (23,147,840) (638,629) 110,624,997 2,496,068   3,848,779 $ 14,825,928  
Ending Balance (in shares) at Mar. 31, 2023   10,914,890 2,071,277 3,706,231 391,130                        
Beginning Balance at Dec. 31, 2023 97,082,934 $ 11,100 $ 3,340 $ 5,290 $ 688 $ 383 $ 37 174,586,716 (18,590,483) (64,094,793) 449,185 92,371,463 1,514,388 $ 3,197,083 6,727,982   $ 148,599,723
Beginning Balance (in shares) at Dec. 31, 2023   11,100,444 3,339,780 5,289,743 687,653 382,656 36,559                    
Gross proceeds from issuance of common stock 10,586,193         $ 1,054 $ 84 10,585,055       10,586,193          
Gross proceeds from issuance of common stock (in shares)           1,054,322 83,978                    
Offering costs (1,258,498)             (1,258,498)       (1,258,498)          
Changes to redeemable common stock (1,303,340)             (1,303,340)       (1,303,340)     1,303,340    
Redemption of common stock (13) $ (5)   $ (8)               (13)     (784,542)    
Redemptions of common stock (in shares)   (5,494)   (8,217)                          
Distributions (3,161,870)               (3,161,870)     (3,161,870)          
Distributions to noncontrolling interests (84,790)                       (84,790)        
Distributions to preferred unitholders in our Operating Partnership (3,166,042)                                
Issuance of shares for distribution reinvestment plan (DRP) 1,303,340 $ 74 $ 22 $ 33 $ 5 $ 5   1,303,201       1,303,340          
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   74,503 22,403 33,026 4,978 4,810 412                    
Stock based compensation expense 8,070             8,070       8,070          
Issuance of Series C Subordinated Units 359,926                         359,926      
Distributions to preferred stockholders                                 (3,166,042)
Net loss attributable to Strategic Storage Trust VI, Inc. (11,923,621)                 (11,923,621)   (11,923,621)         3,166,042
Net loss attributable to the noncontrolling interests in our Operating Partnership (225,373)                       (225,373)        
Interest rate hedge contracts 777,342                   758,374 758,374 18,968        
Foreign currency translation adjustment (1,550,882)                   (1,511,559) (1,511,559) (39,323)        
Foreign currency hedge contract (21,170)                   (20,652) (20,652) (518)        
Ending Balance at Mar. 31, 2024 $ 90,588,248 $ 11,169 $ 3,362 $ 5,315 $ 693 $ 1,442 $ 121 $ 183,921,204 $ (21,752,353) $ (76,018,414) $ (324,652) $ 85,847,887 $ 1,183,352 $ 3,557,009 $ 7,246,780   $ 148,599,723
Ending Balance (in shares) at Mar. 31, 2024   11,169,453 3,362,183 5,314,552 692,631 1,441,788 120,949