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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 Loss
Total Strategic Storage Trust VI, Inc. Equity
Noncontrolling Interests
Noncontrolling Interest in our Operating Partnership
Series C Subordinated Units
Noncontrolling Interest in our Operating Partnership
Redeemable Common Stock
Series B Convertible Preferred Stock
Series D Preferred Units in our Operating Partnership
Beginning Balance at Dec. 31, 2024 $ 64,472,918 $ 11,280 $ 3,384 $ 5,374 $ 705 $ 4,050 $ 346 $ 207,773,199 $ (32,142,866) $ (111,392,263) $ (4,432,786) $ 59,830,423 $ 225,081 $ 4,417,414 $ 10,279,772 $ 148,599,723  
Beginning Balance (in shares) at Dec. 31, 2024   11,280,098 3,383,583 5,373,889 704,761 4,049,909 346,393                    
Gross proceeds from issuance of common stock 7,245,070 $ 65       $ 628 $ 41 7,244,336       7,245,070          
Gross proceeds from issuance of common stock (in shares)   64,865       627,757 41,250                    
Offering costs (867,972)             (867,972)       (867,972)          
Changes to redeemable common stock (1,600,498)             (1,600,498)       (1,600,498)     1,600,498    
Redemption of common stock (48) $ (35) $ (8) $ (5)               (48)     (174,331)    
Redemption of common stock (in shares)   (34,616) (7,883) (5,355)                          
Distributions (3,686,874)               (3,686,874)     (3,686,874)          
Distributions to noncontrolling interests (84,008)                       (84,008)        
Distributions to preferred unitholders in our Operating Partnership 3,088,356                             (3,088,356)  
Issuance of shares for distribution reinvestment plan (DRP) 1,600,498 $ 71 $ 21 $ 29 $ 5 $ 32 $ 2 1,600,338       1,600,498          
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   70,472 21,553 29,791 4,969 31,952 1,315                    
Stock based compensation expense 10,977             10,977       10,977          
Issuance of Series C Subordinated Units 294,276                         294,276      
Net loss attributable to Strategic Storage Trust VI, Inc. (10,176,307)                 (10,176,307)   (10,176,307)       3,088,356  
Net loss attributable to the noncontrolling interests in our Operating Partnership (152,735)                       (152,735)        
Interest rate hedge contracts (1,245,793)                   (1,215,280) (1,215,280) (30,513)        
Foreign currency translation adjustment 63,949                   62,709 62,709 1,240        
Foreign currency hedge contract (155,256)                   (151,458) (151,458) (3,798)        
Ending Balance at Mar. 31, 2025 55,718,197 $ 11,381 $ 3,397 $ 5,398 $ 710 $ 4,710 $ 389 214,160,380 (35,829,740) (121,568,570) (5,736,815) 51,051,240 (44,733) 4,711,690 11,705,939 148,599,723  
Ending Balance (in shares) at Mar. 31, 2025   11,380,819 3,397,253 5,398,325 709,730 4,709,618 388,958                    
Beginning Balance at Dec. 31, 2025 26,277,989 $ 11,457 $ 3,253 $ 5,446 $ 720 $ 5,460 $ 577 222,010,592 (47,498,935) (147,963,237) (4,762,249) 21,813,084 (611,660) 5,076,565 13,063,224 148,599,723 $ 34,626,688
Beginning Balance (in shares) at Dec. 31, 2025   11,457,294 3,252,608 5,446,198 720,067 5,459,946 576,712                    
Changes to redeemable common stock (1,653,126)             (1,653,126)       (1,653,126)     1,653,126    
Redemption of common stock (20) $ (17)       $ (3)           (20)     (94,980)    
Redemption of common stock (in shares)   (17,127)       (3,200)                      
Distributions (3,857,152)               (3,857,152)     (3,857,152)          
Distributions to noncontrolling interests (84,088)                       (84,088)        
Distributions to preferred unitholders in our Operating Partnership 3,088,356                             (3,088,356)  
Distributions to Series D preferred unitholders                                 (525,000)
Issuance of shares for distribution reinvestment plan (DRP) 1,653,126 $ 66 $ 21 $ 29 $ 6 $ 40 $ 3 1,652,961       1,653,126          
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   66,156 21,118 29,238 5,558 40,507 2,735                    
Stock based compensation expense 10,873             10,873       10,873          
Net loss attributable to Strategic Storage Trust VI, Inc. (12,076,380)                 (12,076,380)   (12,076,380)       3,088,356 525,000
Net loss attributable to the noncontrolling interests in our Operating Partnership (172,568)                       (172,568)        
Interest rate hedge contracts 814,329                   798,061 798,061 16,268        
Foreign currency translation adjustment (674,141)                   (660,701) (660,701) (13,440)        
Ending Balance at Mar. 31, 2026 $ 10,238,842 $ 11,506 $ 3,274 $ 5,475 $ 726 $ 5,497 $ 580 $ 222,021,300 $ (51,356,087) $ (160,039,617) $ (4,624,889) $ 6,027,765 $ (865,488) $ 5,076,565 $ 14,621,370 $ 148,599,723 $ 34,626,688
Ending Balance (in shares) at Mar. 31, 2026   11,506,323 3,273,726 5,475,436 725,625 5,497,253 579,447